MondegarAI
KIM, LLC

Q1 2026 · 13F-HR

KIM, LLCholdings as filed

Filed 2026-05-12 · accession 0001888968-26-000002

$975.9M
Reported value
64
Positions
2026-03-31
Period end
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The Brief · KIM, LLC · Q1 2026

AI · grounded in 13F

KIM, LLC closed its position in Marriott Vacations Worldwide [[stock:VAC 0 01/15/26]] for a reduction of $26.97M. The fund also exited positions in JetBlue Airways Corp [[stock:JBLU 0.5 04/01/26]] and Vail Resorts Inc [[stock:MTN 0 01/01/26]], totaling $25.69M and $25.24M respectively. On the buy side, the fund established new positions in Progress Software Corp [[stock:PRGS 1 04/15/26]] for $25.46M and Energy Transfer L P [[stock:ET 9.25 PERP I]] for $24M. Additionally, it increased its share count in Palantir Technologies Inc PLTR by 40%.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
78462F103SPYSTATE STR SPDR S&P 500 ETF T$195.1M20.0%300,000PUTSHARED
69608A108PLTRPALANTIR TECHNOLOGIES INC$102.4M10.5%700,000PUTSHARED
83617A108SPMCSOUND POINT MERIDIAN CAP INC$96.6M9.90%10,790,928CommonSHARED
88636J352RSBYTIDAL TRUST II$46.7M4.78%2,510,000CommonSHARED
04523Y105ASPNASPEN AEROGELS INC$42.0M4.30%12,280,426CommonSHARED
88636J345RSSYTIDAL TRUST II$35.3M3.61%1,585,000CommonSHARED
928298108VSHVISHAY INTERTECHNOLOGY INC$35.0M3.59%1,944,835CommonSHARED
743312AB6PRGS 1 04/15/26PROGRESS SOFTWARE CORP$25.5M2.61%25,500,000CommonSHARED
29273V704ET 9.25 PERP IENERGY TRANSFER L P$24.0M2.46%2,074,034CommonSHARED
50066V107KOREKORE GROUP HLDGS INC$18.0M1.85%2,000,000CommonSHARED
19260QAB3COIN 0.5 06/01/26COINBASE GLOBAL INC$16.6M1.70%16,693,000CommonSHARED
405024AD2HAE 2.5 06/01/29HAEMONETICS CORP MASS$16.2M1.66%17,000,000CommonSHARED
531229AP7SIRI 3.75 03/15/28LIBERTY MEDIA CORP DEL$16.0M1.64%15,400,000CommonSHARED
67059NAK4NTNX 0.5 12/15/29NUTANIX INC$15.8M1.62%17,500,000CommonSHARED
343412AJ1FLR 1.125 08/15/29FLUOR CORP$14.8M1.52%12,000,000CommonSHARED
90353TAM2UBER 0.875 12/01/28 2028UBER TECHNOLOGIES INC$14.2M1.46%11,800,000CommonSHARED
682189AS4ON 0 05/01/27ON SEMICONDUCTOR CORP$12.9M1.32%10,000,000CommonSHARED
88162GAB9TTEK 2.25 08/15/28TETRA TECH INC NEW$12.7M1.30%12,089,000CommonSHARED
69331CAL2PCG 4.25 12/01/27PG&E CORP$12.5M1.28%12,000,000CommonSHARED
501812AD3LCII 3 03/01/30LCI INDS$12.1M1.24%10,000,000CommonSHARED
922280AD4VRNS 1 09/15/29VARONIS SYS INC$10.5M1.07%12,000,000CommonSHARED
55087PAD6LYFT 0.625 03/01/29LYFT INC$10.2M1.04%10,000,000CommonSHARED
671044AF2OSIS 2.25 08/01/29OSI SYSTEMS INC$10.1M1.03%6,563,000CommonSHARED
83304AAB2SNAP 0.75 08/01/26SNAP INC$9.8M1.01%10,000,000CommonSHARED
465741AQ9ITRI 1.375 07/15/30ITRON INC$9.5M0.97%9,439,000CommonSHARED
011642AD7ALRM 2.25 06/01/29ALARM COM HLDGS INC$9.2M0.94%10,000,000CommonSHARED
48123VAH5ZD 3.625 03/01/28ZIFF DAVIS INC$9.0M0.92%9,165,000CommonSHARED
37940XAU6GPN 1.5 03/01/31GLOBAL PMTS INC$8.8M0.91%10,030,000CommonSHARED
83205YAE4PENG 2 08/15/30PENGUIN SOLUTIONS INC$7.7M0.79%7,650,000CommonSHARED
538034BA6LYV 3.125 01/15/29LIVE NATION ENTERTAINMENT IN$7.6M0.78%5,000,000CommonSHARED
126349AH2CSGS 3.875 09/15/28CSG SYS INTL INC$7.3M0.75%6,000,000CommonSHARED
00971TAN1AKAM 1.125 02/15/29AKAMAI TECHNOLOGIES INC$6.9M0.70%6,000,000CommonSHARED
26142RAB0DKNG 0 03/15/28DRAFTKINGS INC NEW$6.8M0.69%7,500,000CommonSHARED
852234AJ2XYZ 0 05/01/26BLOCK INC$6.4M0.65%6,400,000CommonSHARED
57164YAF4VAC 3.25 12/15/27MARRIOTT VACATIONS WORLDWIDE$6.1M0.62%6,285,000CommonSHARED
16935C109CHYMCHIME FINL INC$5.4M0.55%289,032CommonSHARED
30034WAD8EVRG 4.5 12/15/27EVERGY INC$5.4M0.55%4,000,000CommonSHARED
97717PAH7WT 3.25 08/15/29WISDOMTREE INC$5.4M0.55%4,000,000CommonSHARED
163072AC5CAKE 2 03/15/30CHEESECAKE FACTORY INC$5.1M0.52%5,000,000CommonSHARED
743312AD2PRGS 3.5 03/01/30PROGRESS SOFTWARE CORP$4.5M0.46%5,000,000CommonSHARED
090043AF7BILL 0 04/01/30BILL HOLDINGS INC$4.4M0.46%5,000,000CommonSHARED
753422AF1RPD 0.25 03/15/27RAPID7 INC$4.4M0.45%4,690,000CommonSHARED
69352PAS2PPL 2.875 03/15/28PPL CAP FDG INC$4.0M0.41%3,410,000CommonSHARED
83193G107SMRTSMARTRENT INC$4.0M0.41%2,656,173CommonSHARED
833445AD1SNOW 0 10/01/29SNOWFLAKE INC$3.7M0.38%3,000,000CommonSHARED
833445AB5SNOW 0 10/01/27SNOWFLAKE INC$3.5M0.36%3,000,000CommonSHARED
40171VAC4GWRE 1.25 11/01/29GUIDEWIRE SOFTWARE INC$3.5M0.36%3,500,000CommonSHARED
538034BC2LYV 2.875 01/15/30LIVE NATION ENTERTAINMENT IN$3.2M0.33%3,000,000CommonSHARED
67070X101NZFNUVEEN MUN CR INCOME FD$3.0M0.31%250,000CommonSHARED
573331105MMLPMARTIN MIDSTREAM PRTNRS L P$2.8M0.28%1,002,819CommonSHARED
670657105XNEAXNUVEEN AMT FREE QLTY MUN INC$2.7M0.28%243,700CommonSHARED
501812AB7LCII 1.125 05/15/26LCI INDS$2.5M0.25%2,500,000CommonSHARED
595017BG8MCHP 0.75 06/01/30MICROCHIP TECHNOLOGY INC.$2.5M0.25%2,500,000CommonSHARED
09254E103MYIBLACKROCK MUNIYIELD QUALITY$2.1M0.22%204,185CommonSHARED
87157DAJ8SYNA 0.75 12/01/31SYNAPTICS INC$2.1M0.21%2,000,000CommonSHARED
819047AB7SHAK 0 03/01/28SHAKE SHACK INC$1.9M0.19%2,000,000CommonSHARED
376535AG5GLAD 5.875 10/01/30GLADSTONE CAP CORP$1.9M0.19%2,000,000CommonSHARED
10316TAD6BOX 1.5 09/15/29BOX INC$1.8M0.19%2,000,000CommonSHARED
35953C106FIPFTAI INFRASTRUCTURE INC$1.5M0.15%293,901CommonSHARED
02043QAB3ALNY 1 09/15/27ALNYLAM PHARMACEUTICALS INC$1.3M0.13%1,000,000CommonSHARED
09254F100MQYBLACKROCK MUNIYILD QULT FD I$1.2M0.12%108,577CommonSHARED
67066V101NADNUVEEN QUALITY MUNCP INCOME$1.1M0.12%100,000CommonSHARED
29415FAD6NVST 1.75 08/15/28ENVISTA HOLDINGS CORPORATION$654,4170.07%658,000CommonSHARED
09253N104MHDBLACKROCK MUNIHOLDINGS FD IN$257,2400.03%22,805CommonSHARED

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.