OCONNOR, A Distinct Business Unit of UBS ASSET MANAGEMENT AMERICAS (LLC) Q4 2025 Filing

Filed February 13, 2026

Portfolio Value

$857.8M

Holdings

215

Report Date

Q4 2025

Filing Type

13F-HR

All Holdings (215 positions)

#StockSharesValue% PortfolioType
190,000,000$93.7M10.92%
2
CDTXCIDARA THE
315,474$69.7M8.12%
3
SYU1SYNOVUS FI
699,181$35.0M4.08%
4
AVGOBROADCOM I
118,896$27.3M3.18%Call
5
PTON 0 02/15/26PELOTON IN
27,352,000$27.1M3.16%
6
MATMATTEL INC
973,829$19.3M2.25%
712,300,000$19.0M2.22%
8
DKNG 0 03/15/28DRAFTKINGS
20,000,000$18.3M2.14%
9
NVDANVIDIA COR
97,116$18.1M2.11%
10
AEPAMERICAN E
130,250$15.0M1.75%
11
CNPCENTERPOIN
381,495$14.6M1.70%
12
LNTALLIANT EN
224,205$14.6M1.70%
13
AM6AMICUS THE
1,000,000$14.2M1.66%
14
RHCRH PLC
109,645$13.7M1.60%
15
PHPARKER-HAN
15,460$13.6M1.58%
16
WMWASTE MGMT
61,675$13.6M1.58%
17
IWMISHARES TR
97,000$12.8M1.49%Put
18
BABOEING CO
51,535$11.2M1.30%
19
CROXCROCS INC
205,000$11.0M1.29%Put
20
FE 4 05/01/26FIRSTENERG
10,000,000$10.2M1.19%
21
TLNTALEN ENER
26,225$9.8M1.15%
22
NEENEXTERA EN
109,300$8.8M1.02%
23
BTOB2GOLD COR
1,842,462$8.3M0.97%
24
PANWPALO ALTO
45,000$8.3M0.97%
25
SO 4.5 06/15/27SOUTHERN C
7,500,000$8.0M0.93%
26
GOOGLALPHABET I
25,010$7.8M0.91%
27
JENAJENA ACQUI
700,000$7.1M0.83%
28
TOSTTOAST INC
200,000$7.1M0.83%
29
KNXKNIGHT-SWI
133,935$7.0M0.82%
30
TSLATESLA INC
13,617$6.1M0.71%
31
TELTE CONNECT
26,355$6.0M0.70%
32
FUTUFUTU HLDGS
36,021$5.9M0.69%
33
UALUNITED AIR
50,000$5.6M0.65%
34
SAIASAIA INC
15,840$5.2M0.60%
35
EGHAEGH ACQUIS
500,000$5.1M0.59%
36
MLB1MERCADOLIB
2,500$5.0M0.59%
37
FLSFLOWSERVE
72,341$5.0M0.59%
38
HONHONEYWELL
25,712$5.0M0.58%
39
LYVLIVE NATIO
34,200$4.9M0.57%
40
GTENGORES HLDG
474,941$4.9M0.57%
41
CEPFCANTOR EQU
450,000$4.6M0.54%
42
AXTAAXALTA COA
140,600$4.5M0.53%
43
ETRENTERGY CO
48,830$4.5M0.53%
44
URIUNITED REN
5,400$4.4M0.51%
45
ANSCAGRICULTUR
384,160$4.3M0.50%
46
BKNGBOOKING HO
800$4.3M0.50%
47
CEGCONSTELLAT
12,100$4.3M0.50%
48
LCIDLUCID GROU
2,777,800$4.1M0.48%Put
49
HWMHOWMET AER
20,000$4.1M0.48%
50
DALDELTA AIR
58,731$4.1M0.48%
51
BLZRTRAILBLAZE
400,000$4.0M0.47%
52
SNPSSYNOPSYS I
8,000$3.8M0.44%
53
COHRCOHERENT C
20,257$3.7M0.44%
54
INTCINTEL CORP
100,000$3.7M0.43%
55
VRTVERTIV HOL
22,057$3.6M0.42%
56
PDDPDD HOLDIN
31,107$3.5M0.41%
57
NHICNEWHOLD IN
324,604$3.4M0.39%
58
LOBLIVE OAK A
324,923$3.3M0.39%
59
OACCOAKTREE AC
300,000$3.2M0.37%
60
TKOTKO GROUP
15,000$3.1M0.37%
61
SPRING VY
300,000$3.0M0.35%
62
NCLHNORWEGIAN
323,800$3.0M0.35%Put
63
APHAMPHENOL C
22,110$3.0M0.35%
64
FSLRFIRST SOLA
11,300$3.0M0.34%
65
CHRWC H ROBINS
18,170$2.9M0.34%
66
ACELACCEL ENTE
246,728$2.8M0.33%
67
GPATGP-ACT III
250,000$2.7M0.31%
68
YCYAA MISSION
250,000$2.7M0.31%
69
SVCCUSTELLAR V
250,000$2.6M0.30%
70
BLUWBLUE WTR A
250,000$2.6M0.30%
71
CGCTCARTESIAN
250,000$2.6M0.30%
72
NPACNEW PROVID
250,000$2.6M0.30%
73
PFEPFIZER INC
102,623$2.6M0.30%
74
IPODDUNE ACQUI
250,000$2.5M0.30%
75
FTWEQV VENTUR
242,175$2.5M0.30%
76
TVAITHAYER VEN
250,000$2.5M0.29%
77
TALON CAP
250,000$2.5M0.29%
78
PACHPIONEER AC
250,000$2.5M0.29%
79
OBAOXLEY BRID
250,000$2.5M0.29%
80
SOCASOLARIUS C
250,000$2.5M0.29%
81
GEVGE VERNOVA
3,834$2.5M0.29%
82
MBVIM3-BRIGADE
250,000$2.5M0.29%
83
HVMCHIGHVIEW M
250,000$2.5M0.29%
84
CSLM DIGIT
250,000$2.5M0.29%
85
BEAGBOLD EAGLE
219,217$2.3M0.27%
86
TJXTJX COS IN
15,000$2.3M0.27%
87
RANGE CAP
225,000$2.2M0.26%
88
ASMLASML HOLDI
2,000$2.1M0.25%
89
WABWABTEC
10,000$2.1M0.25%
90
CCIXCHURCHILL
199,274$2.1M0.25%
91
ATIIARCHIMEDES
200,000$2.1M0.24%
92
CCIICOHEN CIRC
200,000$2.0M0.24%
93
GSHRGESHER ACQ
200,000$2.0M0.24%
94
BACCBLUE ACQUI
200,000$2.0M0.24%
95
CRAQCAL REDWOO
200,000$2.0M0.24%
96
BCARD. BORAL A
200,000$2.0M0.23%
97
CHKPCHECK POIN
10,370$1.9M0.22%
98
BURLBURLINGTON
6,500$1.9M0.22%
99
CEPFCANTOR EQU
174,570$1.8M0.21%
100
AXINAXIOM INTE
175,000$1.8M0.21%
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