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Creek Drive Management Group LLC

Q4 2025 · 13F-HR

Creek Drive Management Group LLCholdings as filed

Filed 2026-02-18 · accession 0001104659-26-016613

$134.4M
Reported value
42
Positions
2025-12-31
Period end
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The Brief · Creek Drive Management Group LLC · Q4 2025

AI · grounded in 13F

Creek Drive Management Group LLC established a new position in GME valued at $19.1M. The fund also initiated new stakes in ABVX for $13.9M and NKTR for $7.8M. Additional new positions include SPHR, GOOG, and ASTS.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
36467W109GMEGAMESTOP CORP NEW$18.1M13.4%900,000CommonSOLE
00370M103ABVXABIVAX SA$14.0M10.4%103,500CommonSOLE
640268306NKTRNEKTAR THERAPEUTICS$7.8M5.84%185,500CommonSOLE
55826T102SPHRSPHERE ENTERTAINMENT CO$7.6M5.62%79,500CommonNONE
02079K107GOOGALPHABET INC$7.0M5.24%22,450CommonSOLE
00217D100ASTSAST SPACEMOBILE INC$6.4M4.73%87,600CommonSOLE
70614W100PTONPELOTON INTERACTIVE INC$5.6M4.13%902,000CommonSOLE
83001C108FUNSIX FLAGS ENTERTAINMENT CORP$5.2M3.86%338,000CommonSOLE
81758H106SERVSERVE ROBOTICS INC$4.9M3.66%473,200CommonNONE
15678C102CBLLCERIBELL INC$4.3M3.17%193,955CommonSOLE
92857W308VODVODAFONE GROUP PLC NEW$3.9M2.90%2,600,000CALLNONE
433000106HIMSHIMS & HERS HEALTH INC$3.8M2.80%116,000CommonSOLE
82835W108SPRYARS PHARMACEUTICALS INC$3.4M2.56%295,863CommonNONE
25400Q105DJTTRUMP MEDIA & TECHNOLOGY GRO$3.3M2.46%250,000CommonNONE
124830878CBLCBL & ASSOC PPTYS INC$3.3M2.44%88,500CommonSOLE
092667104SRTASTRATA CRITICAL MEDICAL INC$2.9M2.18%610,000CommonSOLE
N97284108NBISNEBIUS GROUP N.V.$2.8M2.11%33,800CommonSOLE
65345M108NXDRNEXTDOOR HOLDINGS INC$2.6M1.95%1,250,000CommonSOLE
023634207NWAX/UNEW AMER ACQUISITION I CORP$2.1M1.55%200,000CommonSOLE
75960P104RELYREMITLY GLOBAL INC$2.0M1.51%147,500CommonSOLE
09173B1071B2BITFARMS LTD$2.0M1.49%850,000CommonSOLE
008875304DOMHDOMINARI HOLDINGS INC$1.9M1.39%376,000CommonSOLE
52603A208LCLENDINGCLUB CORP$1.7M1.28%91,000CommonSOLE
21874A106CORZCORE SCIENTIFIC INC NEW$1.6M1.22%112,500CommonNONE
464287655IWMISHARES TR$1.6M1.16%970,000PUTNONE
199908104FIXCOMFORT SYS USA INC$1.5M1.15%1,650CommonSOLE
G81354105SBXDSILVERBOX CORP IV$1.5M1.10%140,000CommonSOLE
30049H102EVLVEVOLV TECHNOLOGIES HLDNGS IN$1.4M1.07%200,000CommonSOLE
81752R100SRGSERITAGE GROWTH PPTYS$1.4M1.06%437,200CommonSOLE
668771116GENVRGEN DIGITAL INC$1.4M1.01%301,011CommonSOLE
03211Q200AMPGAMPLITECH GROUP INC$1.2M0.89%400,000CommonSOLE
36467W109GMEGAMESTOP CORP NEW$1.0M0.78%715,000CALLNONE
14070B309CAPRCAPRICOR THERAPEUTICS INC$1.0M0.77%36,000CommonSOLE
35834F104TET1 ENERGY INC$788,2400.59%118,000CommonSOLE
N90064101QUREUNIQURE NV$779,7150.58%300,000CALLNONE
696389402PALIPALISADE BIO INC$722,6250.54%307,500CommonSOLE
23282W605CYTKCYTOKINETICS INC$635,4000.47%10,000CommonSOLE
17253J106CIFRCIPHER MINING INC$460,3200.34%31,187CommonSOLE
12634H200PMTSCPI CARD GROUP INC$440,4000.33%30,000CommonSOLE
83443Q103SOLSSOLSTICE ADVANCED MATLS INC$301,1960.22%6,200CommonSOLE
03211Q119AMPGWAMPLITECH GROUP INC$2,7760.00%34,658CommonNONE
854936119SDSTWSTARDUST PWR INC$1,5020.00%15,037CommonNONE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.