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Paralel Advisors LLC

Q2 2025 · 13F-HR

Paralel Advisors LLCholdings as filed

Filed 2025-07-30 · accession 0001895911-25-000004

$2.46B
Reported value
107
Positions
2025-06-30
Period end
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The Brief · Paralel Advisors LLC · Q2 2025

AI · grounded in 13F

Paralel Advisors LLC established a new position in BRK/A valued at $749.2M. The fund also initiated new stakes in JPM for $298M and BRK/B for $121.9M. Other new additions include EPD at $113.2M and MSFT at $99.5M. Total assets under management stand at $2.46B across 107 positions.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
084670108BRK/ABERKSHIRE HATHAWAY INC DEL$749.2M30.5%1,028CommonSOLE
46625H100JPMJPMORGAN CHASE & CO.$298.0M12.1%1,028,000CommonSOLE
084670702BRK/BBERKSHIRE HATHAWAY INC DEL$121.9M4.96%251,000CommonSOLE
293792107EPDENTERPRISE PRODS PARTNERS L$113.2M4.61%3,650,000CommonSOLE
594918104MSFTMICROSOFT CORP$99.5M4.05%200,000CommonSOLE
988498101YUMYUM BRANDS INC$86.7M3.53%585,000CommonSOLE
17275R102CSCOCISCO SYS INC$86.0M3.50%1,240,000CommonSOLE
29977A105EVREVERCORE INC$81.0M3.30%300,000CommonSOLE
19248A109UTFCOHEN & STEERS INFRASTRUCTUR$74.1M3.02%2,750,000CommonSOLE
808513105SCHWSCHWAB CHARLES CORP$68.4M2.79%750,000CommonSOLE
89417E109TRVTRAVELERS COMPANIES INC$58.9M2.40%220,000CommonSOLE
36168Q104GFLGFL ENVIRONMENTAL INC$50.5M2.05%1,000,000CommonSOLE
278642103EBAYEBAY INC.$48.4M1.97%650,000CommonSOLE
854502101SWKSTANLEY BLACK & DECKER INC$46.1M1.88%680,000CommonSOLE
70450Y103PYPLPAYPAL HLDGS INC$40.2M1.64%540,945CommonSOLE
149123101CATCATERPILLAR INC$38.8M1.58%100,000CommonSOLE
025816109AXPAMERICAN EXPRESS CO$33.5M1.36%105,000CommonSOLE
565394103CARTMAPLEBEAR INC$31.7M1.29%700,000CommonSOLE
45780R101IBPINSTALLED BLDG PRODS INC$29.8M1.21%165,000CommonSOLE
931142103WMTWALMART INC$26.4M1.07%270,000CommonSOLE
26142V105DKNGDRAFTKINGS INC NEW$25.7M1.05%600,000CommonSOLE
34986A104FWRDFORWARD AIR CORP$23.9M0.97%975,000CommonSOLE
33748L101FWRGFIRST WATCH RESTAURANT GROUP$14.4M0.59%900,000CommonSOLE
512816109LAMRLAMAR ADVERTISING CO NEW$4.5M0.18%37,168CommonSOLE
92840M102VSTVISTRA CORP$4.4M0.18%22,750CommonSOLE
466313103JBLJABIL INC$4.3M0.17%19,635CommonSOLE
705573103PEGAPEGASYSTEMS INC$4.2M0.17%76,736CommonSOLE
35905A109FTDRFRONTDOOR INC$4.1M0.17%69,537CommonSOLE
29084Q100EMEEMCOR GROUP INC$3.9M0.16%7,228CommonSOLE
171779309CIENCIENA CORP$3.6M0.15%44,211CommonSOLE
92276F100VTRVENTAS INC$3.5M0.14%55,000CommonSOLE
14149Y108CAHCARDINAL HEALTH INC$3.3M0.13%19,392CommonSOLE
942749102WTSWATTS WATER TECHNOLOGIES INC$3.2M0.13%13,083CommonSOLE
052769106ADSKAUTODESK INC$3.2M0.13%10,204CommonSOLE
631103108NDAQNASDAQ INC$3.1M0.13%35,218CommonSOLE
525327102LDOSLEIDOS HOLDINGS INC$3.1M0.13%19,799CommonSOLE
22822V101CCICROWN CASTLE INC$3.1M0.13%30,000CommonSOLE
74758T303QLYSQUALYS INC$3.0M0.12%21,215CommonSOLE
650111107NYTNEW YORK TIMES CO$3.0M0.12%53,863CommonSOLE
039653100ACAARCOSA INC$3.0M0.12%34,642CommonSOLE
654106103NKENIKE INC$3.0M0.12%42,086CommonSOLE
668771108GENGEN DIGITAL INC$3.0M0.12%100,664CommonSOLE
10316T104BOXBOX INC$3.0M0.12%86,573CommonSOLE
46269C102IRDMIRIDIUM COMMUNICATIONS INC$3.0M0.12%97,791CommonSOLE
67059N108NTNXNUTANIX INC$2.9M0.12%38,270CommonSOLE
49338L103KEYSKEYSIGHT TECHNOLOGIES INC$2.9M0.12%17,839CommonSOLE
58155Q103MCKMCKESSON CORP$2.9M0.12%3,969CommonSOLE
03073E105CORCENCORA INC$2.9M0.12%9,609CommonSOLE
253868103DLRDIGITAL RLTY TR INC$2.9M0.12%16,500CommonSOLE
26210C104DBXDROPBOX INC$2.9M0.12%100,024CommonSOLE
729132100PLXSPLEXUS CORP$2.8M0.11%20,850CommonSOLE
G3198U102ESNTESSENT GROUP LTD$2.8M0.11%46,287CommonSOLE
29444U700EQIXEQUINIX INC$2.8M0.11%3,500CommonSOLE
03820C105AITAPPLIED INDL TECHNOLOGIES IN$2.8M0.11%11,857CommonSOLE
12503M108CBOECBOE GLOBAL MKTS INC$2.8M0.11%11,810CommonSOLE
62944T105NVRNVR INC$2.7M0.11%369CommonSOLE
829933100SIRISIRIUSXM HOLDINGS INC$2.7M0.11%118,502CommonSOLE
126650100CVSCVS HEALTH CORP$2.7M0.11%39,433CommonSOLE
808625107SAICSCIENCE APPLICATIONS INTL CO$2.7M0.11%23,796CommonSOLE
437076102HDHOME DEPOT INC$2.7M0.11%7,293CommonSOLE
380237107GDDYGODADDY INC$2.7M0.11%14,831CommonSOLE
099502106BAHBOOZ ALLEN HAMILTON HLDG COR$2.7M0.11%25,546CommonSOLE
731068102PIIPOLARIS INC$2.7M0.11%65,257CommonSOLE
00971T101AKAMAKAMAI TECHNOLOGIES INC$2.6M0.11%33,188CommonSOLE
35137L105FOXAFOX CORP$2.6M0.11%47,203CommonSOLE
225310101CACCCREDIT ACCEP CORP MICH$2.6M0.11%5,175CommonSOLE
302941109FCNFTI CONSULTING INC$2.6M0.11%16,282CommonSOLE
891092108TTCTORO CO$2.6M0.11%36,702CommonSOLE
690742101OCOWENS CORNING NEW$2.6M0.10%18,707CommonSOLE
219948106CPAYCORPAY INC$2.5M0.10%7,662CommonSOLE
298736109EEFTEURONET WORLDWIDE INC$2.5M0.10%25,004CommonSOLE
87612E106TGTTARGET CORP$2.5M0.10%25,600CommonSOLE
29275Y102ENSENERSYS$2.5M0.10%29,173CommonSOLE
431284108HIWHIGHWOODS PPTYS INC$2.5M0.10%80,000CommonSOLE
444859102HUMHUMANA INC$2.5M0.10%10,096CommonSOLE
896288107TNETTRINET GROUP INC$2.5M0.10%33,715CommonSOLE
26969P108EXPEAGLE MATLS INC$2.4M0.10%12,039CommonSOLE
65341D102NXRTNEXPOINT RESIDENTIAL TR INC$2.4M0.10%72,082CommonSOLE
031162100AMGNAMGEN INC$2.4M0.10%8,575CommonSOLE
036752103ELVELEVANCE HEALTH INC$2.4M0.10%6,143CommonSOLE
G3922B107GGENPACT LIMITED$2.3M0.10%53,052CommonSOLE
004498101ACIWACI WORLDWIDE INC$2.2M0.09%48,832CommonSOLE
379378201GNLGLOBAL NET LEASE INC$2.2M0.09%295,500CommonSOLE
191098102COKECOCA COLA CONS INC$2.2M0.09%19,790CommonSOLE
222795502CUZCOUSINS PPTYS INC$2.2M0.09%72,500CommonSOLE
866674104SUISUN CMNTYS INC$2.1M0.09%16,514CommonSOLE
205887102CAGCONAGRA BRANDS INC$2.0M0.08%100,135CommonSOLE
32054K103FRFIRST INDL RLTY TR INC$2.0M0.08%41,260CommonSOLE
34959J108FTVFORTIVE CORP$1.9M0.08%36,507CommonSOLE
30225T102EXREXTRA SPACE STORAGE INC$1.8M0.07%12,350CommonSOLE
45778Q107NSPINSPERITY INC$1.8M0.07%29,941CommonSOLE
925652109VICIVICI PPTYS INC$1.7M0.07%51,763CommonSOLE
11120U105BRXBRIXMOR PPTY GROUP INC$1.7M0.07%64,200CommonSOLE
015271109AREALEXANDRIA REAL ESTATE EQ IN$1.6M0.07%22,500CommonSOLE
91324P102UNHUNITEDHEALTH GROUP INC$1.6M0.06%5,102CommonSOLE
44107P104HSTHOST HOTELS & RESORTS INC$1.6M0.06%103,525CommonSOLE
76169C100REXRREXFORD INDL RLTY INC$1.4M0.06%40,000CommonSOLE
23128Q101CURBCURBLINE PPTYS CORP$1.4M0.06%60,000CommonSOLE
78646V107SAFESAFEHOLD INC$1.3M0.05%82,800CommonSOLE
277276101EGPEASTGROUP PPTYS INC$1.2M0.05%7,395CommonSOLE
59522J103MAAMID-AMER APT CMNTYS INC$1.2M0.05%8,000CommonSOLE
637870106NSANATIONAL STORAGE AFFILIATES$1.1M0.05%35,000CommonSOLE
42250P103DOCHEALTHPEAK PROPERTIES INC$906,3700.04%51,763CommonSOLE
03784Y200APLEAPPLE HOSPITALITY REIT INC$875,2500.04%75,000CommonSOLE
46187W107INVHINVITATION HOMES INC$676,5980.03%20,628CommonSOLE
750940108RALRALLIANT CORP$590,0160.02%12,168CommonSOLE
91879Q109MTNVAIL RESORTS INC$188,5560.01%1,200CommonSOLE

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.