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Mork Capital Management, LLC

Q1 2026 · 13F-HR

Mork Capital Management, LLCholdings as filed

Filed 2026-05-15 · accession 0001626494-26-000005

$140.9M
Reported value
103
Positions
2026-03-31
Period end
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The Brief · Mork Capital Management, LLC · Q1 2026

AI · grounded in 13F

Mork Capital Management, LLC closed its position in AL for a reduction of $2.89M. The fund also exited positions in MT and MS, totaling $1.97M and $1.89M respectively. On the buy side, the manager established new positions in CROX for $2.08M, MOH for $2M, and FISV for $1.95M. Additionally, the fund increased its stake in ACU by 16.67%.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
002896207ANFABERCROMBIE & FITCH CO$4.1M2.92%45,000CommonSOLE
218937100CNRCORE NATURAL RESOURCES INC$3.7M2.59%34,890CommonSOLE
31428X106FDXFEDEX CORP$3.6M2.53%10,000CommonSOLE
58155Q103MCKMCKESSON CORP$3.5M2.46%4,000CommonSOLE
004816104ACUACME UTD CORP$3.1M2.23%70,000CommonSOLE
37045V100GMGENERAL MTRS CO$2.9M2.03%38,300CommonSOLE
254423106DINDINE BRANDS GLOBAL INC$2.5M1.77%95,000CommonSOLE
088929104BGCBGC GROUP INC$2.4M1.74%250,000CommonSOLE
835495102SONSONOCO PRODS CO$2.4M1.73%45,130CommonSOLE
91307C102UTHRUNITED THERAPEUTICS CORP DEL$2.4M1.73%4,100CommonSOLE
05329W102ANAUTONATION INC$2.1M1.52%11,000CommonSOLE
59156R108METMETLIFE INC$2.1M1.51%30,000CommonSOLE
227046109CROXCROCS INC$2.1M1.47%25,000CommonSOLE
48666K109KBHKB HOME$2.1M1.47%40,000CommonSOLE
880779103TEXTEREX CORP NEW$2.1M1.47%35,000CommonSOLE
20030N101CMCSACOMCAST CORP NEW$2.0M1.43%70,230CommonSOLE
042735100ARWARROW ELECTRS INC$2.0M1.43%14,000CommonSOLE
60855R100MOHMOLINA HEALTHCARE INC$2.0M1.42%15,000CommonSOLE
337738108FISVFISERV INC$2.0M1.39%35,000CommonSOLE
03743Q108APAAPA CORPORATION$1.9M1.34%44,530CommonSOLE
G491BT108IVZINVESCO LTD$1.8M1.27%73,400CommonSOLE
534187109LNCLINCOLN NATL CORP IND$1.8M1.26%50,000CommonSOLE
125523100CITHE CIGNA GROUP$1.7M1.23%6,500CommonSOLE
887389104TKRTIMKEN CO$1.7M1.19%16,600CommonSOLE
88031M109TSTENARIS S A$1.6M1.17%28,320CommonSOLE
24703L202DELLDELL TECHNOLOGIES INC$1.6M1.17%10,000CommonSOLE
043436104ABGASBURY AUTOMOTIVE GROUP INC$1.6M1.14%8,200CommonSOLE
018581108BFHBREAD FINANCIAL HOLDINGS INC$1.5M1.08%20,400CommonSOLE
037833100AAPLAPPLE INC$1.5M1.08%6,000CommonSOLE
26875P101EOGEOG RES INC$1.5M1.07%10,410CommonSOLE
806857108SLBSLB LIMITED$1.5M1.04%28,530CommonSOLE
117043109BCBRUNSWICK CORP$1.5M1.03%20,000CommonSOLE
57637H103MCFTMASTERCRAFT BOAT HLDGS INC$1.4M1.02%70,000CommonSOLE
744320102PRUPRUDENTIAL FINL INC$1.4M1.01%14,600CommonSOLE
296056104ESCAESCALADE INC$1.4M0.98%80,000CommonSOLE
67098H104OIO-I GLASS INC$1.4M0.97%130,200CommonSOLE
92343V104VZVERIZON COMMUNICATIONS INC$1.4M0.96%27,030CommonSOLE
92556V106VTRSVIATRIS INC$1.4M0.96%100,000CommonSOLE
682680103OKEONEOK INC NEW$1.3M0.96%14,900CommonSOLE
248019101DLXDELUXE CORP MEDIUM TERM NTS$1.3M0.95%48,540CommonSOLE
67077M108NTRNUTRIEN LTD$1.3M0.94%17,600CommonSOLE
277432100EMNEASTMAN CHEM CO$1.3M0.93%17,100CommonSOLE
747525103QCOMQUALCOMM INC$1.3M0.91%10,000CommonSOLE
02209S103MOALTRIA GROUP INC$1.3M0.89%19,100CommonSOLE
829933100SIRISIRIUSXM HOLDINGS INC$1.3M0.89%54,400CommonSOLE
717081103PFEPFIZER INC$1.2M0.88%44,020CommonSOLE
57164Y107VACMARRIOTT VACATIONS WORLDWIDE$1.2M0.87%18,830CommonSOLE
011659109ALKALASKA AIR GROUP INC$1.2M0.85%32,600CommonSOLE
031162100AMGNAMGEN INC$1.2M0.84%3,350CommonSOLE
810186106SMGSCOTTS MIRACLE-GRO CO$1.2M0.82%19,060CommonSOLE
F92124100TTETOTALENERGIES SE$1.2M0.82%16,690CommonSOLE
25746U109DDOMINION ENERGY INC$1.2M0.82%18,620CommonSOLE
02079K305GOOGLALPHABET INC$1.2M0.82%4,000CommonSOLE
559222401MGAMAGNA INTL INC$1.1M0.81%20,330CommonSOLE
76009N100UPBDUPBOUND GROUP INC$1.1M0.80%62,610CommonSOLE
00402L107ASOACADEMY SPORTS & OUTDOORS IN$1.1M0.80%20,000CommonSOLE
86272C103STRASTRATEGIC ED INC$1.1M0.80%13,560CommonSOLE
24906P109XRAYDENTSPLY SIRONA INC$1.1M0.79%96,490CommonSOLE
G3922B107GGENPACT LIMITED$1.1M0.79%30,000CommonSOLE
74251V102PFGPRINCIPAL FINANCIAL GROUP IN$1.1M0.79%12,370CommonSOLE
46005L101IMXIINTERNATIONAL MONEY EXPRESS$1.1M0.79%70,000CommonSOLE
N53745100LYBLYONDELLBASELL INDUSTRIES NV$1.1M0.78%13,660CommonSOLE
045487105ASBASSOCIATED BANC-CORP$1.1M0.78%42,420CommonSOLE
763165107RELLRICHARDSON ELECTRS LTD$1.1M0.78%100,000CommonSOLE
013091103ACIALBERTSONS COS INC$1.1M0.77%63,750CommonSOLE
911312106UPSUNITED PARCEL SVCS INC$1.1M0.77%11,040CommonSOLE
126117100CNACNA FINL CORP$1.1M0.77%23,510CommonSOLE
902681105UGIUGI CORP NEW$1.1M0.76%29,360CommonSOLE
197236102COLBCOLUMBIA BKG SYS INC$1.1M0.76%38,940CommonSOLE
902973304USBUS BANCORP$1.1M0.75%20,250CommonSOLE
086516101BBYBEST BUY INC$1.0M0.74%16,220CommonSOLE
854502101SWKSTANLEY BLACK & DECKER INC$1.0M0.74%14,630CommonSOLE
49271V100KDPKEURIG DR PEPPER INC$1.0M0.73%39,080CommonSOLE
681919106OMCOMNICOM GROUP INC$1.0M0.73%13,630CommonSOLE
500754106KHCKRAFT HEINZ CO$1.0M0.72%45,030CommonSOLE
412822108HOGHARLEY DAVIDSON INC$1.0M0.72%50,000CommonSOLE
126650100CVSCVS HEALTH CORP$1.0M0.71%13,960CommonSOLE
G6331P104AOSLALPHA & OMEGA SEMICONDUCTOR$997,2000.71%45,000CommonSOLE
224633206CRD/ACRAWFORD & CO$997,0000.71%100,000CommonSOLE
65336K103NXSTNEXSTAR MEDIA GROUP INC$969,2490.69%5,360CommonSOLE
871332102SLVMSYLVAMO CORP$962,2270.68%22,780CommonSOLE
74144T108TROWPRICE T ROWE GROUP INC$956,3850.68%10,610CommonSOLE
52110M109LAZLAZARD INC$945,1800.67%22,250CommonSOLE
372460105GPCGENUINE PARTS CO$938,0030.67%8,870CommonSOLE
40434L105HPQHP INC$922,6560.66%48,030CommonSOLE
83088M102SWKSSKYWORKS SOLUTIONS INC$913,5630.65%17,060CommonSOLE
959802109WUWESTERN UN CO$873,0000.62%100,000CommonSOLE
600544100MLKNMILLERKNOLL INC$861,2380.61%59,560CommonSOLE
439038100HOFTHOOKER FURNISHINGS CORPORATI$772,8000.55%60,000CommonSOLE
23355L106DXCDXC TECHNOLOGY CO$756,7140.54%60,200CommonSOLE
G38327105GPRKGEOPARK LTD$665,0000.47%70,000CommonSOLE
88830M102TWITITAN INTL INC ILL$621,9000.44%90,000CommonSOLE
786598300SGASAGA COMMUNICATIONS INC$585,0000.42%50,000CommonSOLE
G4388N106HELEHELEN OF TROY LTD$576,8000.41%40,000CommonSOLE
963320106WHRWHIRLPOOL CORP$539,2000.38%10,000CommonSOLE
129500104CALCALERES INC$527,0000.37%50,000CommonSOLE
824889109SCVLSHOE CARNIVAL INC$498,8800.35%32,000CommonSOLE
98421M106XRXXEROX HOLDINGS CORP$483,7500.34%375,000CommonSOLE
29272W109ENRENERGIZER HLDGS INC$464,0290.33%28,260CommonSOLE
00081T108ACCOACCO BRANDS CORP$300,0000.21%100,000CommonSOLE
094235108BLMNBLOOMIN BRANDS INC$270,0000.19%50,000CommonSOLE
00164V103AMCXAMC NETWORKS INC$237,6500.17%35,000CommonSOLE
05580M108RILYBRC GROUP HOLDINGS INC$183,0000.13%25,000CommonSOLE

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.