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Silphium Asset Management LTD

← All funds

13F holdings as of 2026-03-31 · vs 2025-12-31 · long US-listed positions only

2026-03-312025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-30
Reported 13F value
$264.0M
Positions
48
New this quarter
10
Exited this quarter
8
Top-10 concentration
77%
#HoldingSharesValue% of 13FQoQ Δ
1VOOVANGUARD INDEX FDSADD207K$123.6M46.8%+$29.6M
2VPLVANGUARD INTL EQUITY INDEX FADD203K$19.8M7.5%+$3.7M
3URTHISHARES INCNEW68K$12.3M4.7%new
4FXIISHARES TRADD262K$9.4M3.6%+$4.1M
5VGKVANGUARD INTL EQUITY INDEX FADD101K$8.4M3.2%+$892K
6NVDANVIDIA CORPORATIONTRIM41K$7.1M2.7%-$1.5M
7EWJISHARES INCTRIM66K$5.6M2.1%-$828K
8BBCAJ P MORGAN EXCHANGE TRADED FADD58K$5.5M2.1%+$1.5M
9MSFTMICROSOFT CORPTRIM14K$5.2M2.0%-$2.4M
10GOOGLALPHABET INCTRIM18K$5.1M1.9%-$1.9M
11AAPLAPPLE INCTRIM20K$5.1M1.9%-$1.4M
12KBWBINVESCO EXCH TRADED FD TR IITRIM57K$4.5M1.7%-$499K
13AMZNAMAZON COM INCTRIM21K$4.4M1.7%-$1.4M
14XLVSELECT SECTOR SPDR TRADD26K$3.8M1.4%+$550K
15XLUSELECT SECTOR SPDR TRADD80K$3.7M1.4%+$461K
16XLESELECT SECTOR SPDR TRADD57K$3.5M1.3%+$1.3M
17METAMETA PLATFORMS INCADD6K$3.4M1.3%-$423K
18AVGOBROADCOM INCTRIM9K$2.9M1.1%-$975K
19XLFSELECT SECTOR SPDR TRTRIM50K$2.5M0.9%-$817K
20XLBSELECT SECTOR SPDR TRADD44K$2.2M0.8%+$965K
21LLYELI LILLY & COTRIM2K$2.1M0.8%-$415K
22WMTWALMART INCTRIM16K$2.0M0.7%-$566K
23COSTCOSTCO WHOLESALE CORPORATIONTRIM2K$1.9M0.7%-$55K
24COPXGLOBAL X FDSTRIM19K$1.4M0.5%-$196K
25MCKMCKESSON CORPTRIM2K$1.4M0.5%-$189K
26EATON CORP PLCTRIM4K$1.3M0.5%-$369K
27CMECME GROUP INCTRIM4K$1.2M0.5%-$382K
28CATCATERPILLAR INCNEW2K$1.2M0.5%new
29EQTEQT CORPTRIM18K$1.1M0.4%-$837K
30MGAMAGNA INTL INCADD20K$1.1M0.4%+$226K
31ROSTROSS STORES INCNEW5K$1.1M0.4%new
32TERTERADYNE INCTRIM3K$1.0M0.4%-$572K
33APHAMPHENOL CORPTRIM8K$963K0.4%-$375K
34KRESPDR SERIES TRUSTTRIM13K$829K0.3%-$890K
35MAMASTERCARD INCORPORATEDTRIM1K$746K0.3%-$1.5M
36MUMICRON TECHNOLOGY INCNEW2K$688K0.3%new
37WMWASTE MGMT INC DELTRIM3K$656K0.2%-$927K
38ISRGINTUITIVE SURGICAL INCTRIM1K$656K0.2%-$384K
39BABOEING CONEW3K$637K0.2%new
40ODFLOLD DOMINION FREIGHT LINE INTRIM3K$592K0.2%-$187K
41TJXTJX COS INC NEWTRIM3K$515K0.2%-$1.2M
42IBKRINTERACTIVE BROKERS GROUP INTRIM8K$506K0.2%-$191K
43NOKNOKIA CORPNEW62K$499K0.2%new
44CPCANADIAN PACIFIC KANSAS CITYTRIM6K$497K0.2%-$1.1M
45XHBSPDR SERIES TRUSTNEW4K$434K0.2%new
46AMDADVANCED MICRO DEVICES INCNEW2K$431K0.2%new
47INTCINTEL CORPNEW8K$362K0.1%new
48SOLSSOLSTICE ADVANCED MATLS INCNEW3K$206K0.1%new

Source: SEC Form 13F. Values are as-of 2026-03-31 (quarter-end), not live. Percentages are of reported 13F value, not the fund’s full AUM (13F excludes shorts, cash, bonds, most non-US holdings).