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Institutional

Clearline Capital LP

CIK 0001600136
$1.93B
Reported AUM
106
Positions
Q1 2026
Period
2026-05-15
Filed

The Brief · Clearline Capital LP · Q1 2026

AI · grounded in 13F

Clearline Capital LP established a new position in IWM worth $347.2M. The fund also opened new stakes in AKAM for $27.3M and ETSY for $17.1M. On the sell side, the fund closed its position in MSFT, reducing its holdings by $36.8M. Other exits included SOLS and FLOWSERVE CORP.

Portfolio · Q1 2026

IWM$347.2MSPY$292.7MCORZ$121.8MNVDAROGVSTPRMBSATSMUOther$794.5MCL

Top holdings

QoQ vs Q4 2025

#StockIssuerPriceDay %1Y Gr.5Y Gr.Value% of bookΔ shares (QoQ)Status
1IWMISHARES TR$281.65-3.55%34.35%35.27%$347.2M18.03%+1,400,000NEW
2SPYSTATE STR SPDR S&P 500 ETF T$737.55-2.58%24.51%79.50%$292.7M15.20%576,000−56.1%
3CORZCORE SCIENTIFIC INC NEW$25.85-7.38%112.06%587.50%$121.8M6.32%+3,449,873+73.6%
4NVDANVIDIA CORPORATION$205.10-6.20%44.92%955.49%$52.3M2.71%+100,386+50.4%
5ROGROGERS CORP$137.67-5.56%105.45%-27.77%$50.3M2.61%4,418−0.9%
6VSTVISTRA CORP$148.76-3.21%-13.88%750.99%$43.1M2.24%+43,514+17.9%
7PRMBPRIMO BRANDS CORPORATION$22.95-0.30%-25.29%57.28%$43.0M2.23%211,015−8.5%
8SATSECHOSTAR CORP$116.28-6.71%565.22%421.43%$40.5M2.10%537,732−60.9%
9MUMICRON TECHNOLOGY INC$864.01-13.25%697.79%1041.92%$39.6M2.06%51,592−30.5%
10TLNTALEN ENERGY CORP$364.74-3.53%41.08%572.33%$36.1M1.88%20,631−15.4%
11NOVTNOVANTA INC$156.29-5.34%22.66%11.31%$33.6M1.74%38,149−11.8%
12AMDADVANCED MICRO DEVICES INC$466.38-10.86%301.39%339.19%$30.8M1.60%+18,127+13.6%
13MSGSMADISON SQUARE GRDN SPRT COR$386.230.31%101.98%148.46%$30.6M1.59%28,746−23.2%
14PSNPARSONS CORP DEL$58.72-3.17%-14.98%52.05%$29.5M1.53%+131,094+31.7%
15SMTCSEMTECH CORP$151.02-10.82%299.00%143.93%$29.5M1.53%+97,222+34.0%
16TICTIC SOLUTIONS INC$8.38-0.95%-19.89%-24.64%$27.8M1.44%+951,134+29.0%
17AKAMAKAMAI TECHNOLOGIES INC$149.32-6.08%93.85%24.52%$27.3M1.42%+237,893NEW
18GLNGGOLAR LNG LTD$50.67-1.44%24.26%405.11%$24.8M1.29%609,597−57.1%
19RKTROCKET COS INC$12.65-4.38%-0.94%-16.53%$24.6M1.28%+1,283,812+290.5%
20MAXMEDIAALPHA INC$9.074.86%-14.11%-72.84%$24.1M1.25%+1,289,217+99.1%
21ESTCELASTIC N V$61.79-5.07%-28.48%-58.27%$22.1M1.15%+378,597+604.3%
22AMZNAMAZON COM INC$246.03-3.06%15.20%47.87%$19.9M1.04%76,735−44.5%
23KBRKBR INC$35.56-1.58%-32.64%-3.22%$17.7M0.92%+104,238+27.7%
24ETSYETSY INC$66.86-0.28%4.78%-63.57%$17.1M0.89%+342,003NEW
25XPERXPERI INC$7.42-4.38%-5.24%-46.89%$16.5M0.86%+3,100+0.1%
26MTNVAIL RESORTS INC$135.370.72%-4.27%-45.96%$16.0M0.83%+88,600+246.8%
27POOLPOOL CORP$185.521.26%-36.16%-58.43%$15.8M0.82%+45,733+141.3%
28VYXNCR VOYIX CORPORATION$6.91-2.68%-39.12%-74.63%$15.3M0.79%379,434−13.6%
29JHXJAMES HARDIE INDS PLC$22.66-3.12%-12.03%-31.40%$14.6M0.76%97,727−11.3%
30WULFTERAWULF INC$24.00-8.36%451.72%29.32%$13.9M0.72%+950,000+7448.1%
31BLKBBLACKBAUD INC$28.31-0.21%$13.5M0.70%35,072−9.1%
32RSKDRISKIFIED LTD$4.75-1.25%$12.2M0.63%HELD
33NCNONCINO INC$14.92-3.43%$12.0M0.62%+799,322NEW
34LBTYALIBERTY GLOBAL LTD$11.761.12%$11.7M0.61%111,300−10.3%
35SNOWSNOWFLAKE INC$238.26-2.42%$11.6M0.60%+76,786NEW
36BLCOBAUSCH PLUS LOMB CORP$15.460.72%$11.2M0.58%125,601−15.2%
37CHDNCHURCHILL DOWNS INC$86.920.88%$10.8M0.56%+120,348NEW
38VISNVISTANCE NETWORKS INC$11.75-5.32%$10.5M0.55%+51,178+9.7%
39AVGOBROADCOM INC$385.73-7.92%$10.5M0.54%+33,824NEW
40COMPCOMPASS INC$7.71-2.16%$10.4M0.54%+1,421,749NEW
41ORCLORACLE CORP$213.68-9.59%$10.1M0.53%+68,791NEW
42FUNSIX FLAGS ENTERTAINMENT CORP$20.72-2.31%$10.0M0.52%4,484−0.8%
43HRTXHERON THERAPEUTICS INC$0.43-10.42%$9.8M0.51%HELD
44COOCOOPER COS INC$67.348.58%$9.6M0.50%+93,405+229.9%
45BIDUBAIDU INC$121.66-9.75%$9.5M0.49%HELD
46PLAYDAVE & BUSTERS ENTMT INC$11.200.18%$9.0M0.47%+146,186+21.4%
47PFSIPENNYMAC FINL SVCS INC NEW$81.24-0.36%$8.9M0.46%+102,386NEW
48AVTRAVANTOR INC$9.16-3.78%$8.8M0.46%+621,123+123.6%
49HSICSCHEIN HENRY INC$77.451.51%$8.6M0.45%89,026−43.3%
50NBISNEBIUS GROUP N.V.$227.81-12.27%$8.4M0.44%19,500−19.3%
51MGMISTRAS GROUP INC$17.61-4.71%$8.2M0.43%144,760−20.7%
52RHRH$146.63-4.32%$8.1M0.42%9,000−13.5%
53WHRWHIRLPOOL CORP$39.47-1.32%$7.7M0.40%+142,376NEW
54ALKTALKAMI TECHNOLOGY INC$15.89-1.79%$7.1M0.37%+455,088NEW
55MAGNMAGNERA CORP$11.22-2.09%$7.0M0.36%+77,712+11.8%
56WDAYWORKDAY INC$144.28-2.45%$7.0M0.36%+53,713NEW
57FICOFAIR ISAAC CORP$1137.33-2.52%$6.8M0.35%+6,393NEW
58HLITHARMONIC INC$13.27-9.17%$6.5M0.34%68,145−8.6%
59DOUGDOUGLAS ELLIMAN INC$1.77-2.21%$6.4M0.33%HELD
60BKRBAKER HUGHES COMPANY$62.59-5.32%$6.3M0.33%121,014−53.8%
61RIOTRIOT PLATFORMS INC$24.66-10.23%$6.1M0.32%HELD
62WIXWIX COM LTD$52.39-2.44%$6.0M0.31%HELD
63ACHCACADIA HEALTHCARE COMPANY IN$24.48-2.90%$5.8M0.30%+248,826NEW
64VORVOR BIOPHARMA INC$13.16-8.10%$5.8M0.30%+326,168NEW
65NOKNOKIA CORP$14.38-13.48%$5.8M0.30%+722,207NEW
66WRBYWARBY PARKER INC$22.72-5.80%$5.6M0.29%+266,270NEW
67AXTAAXALTA COATING SYS LTD$32.181.29%$5.6M0.29%+202,324NEW
68CLSKCLEANSPARK INC$15.59-7.09%$5.0M0.26%+592,006NEW
69ADMAADMA BIOLOGICS INC$7.97-0.13%$5.0M0.26%+556,054NEW
70CBZCBIZ INC$33.931.74%$4.7M0.24%+150,759+639.2%
71SPGIS&P GLOBAL INC$424.441.03%$4.3M0.22%+10,076NEW
72COHRCOHERENT CORP$376.99-10.64%$4.3M0.22%+14,561+442.9%
73SWSMURFIT WESTROCK PLC$41.28-2.37%$4.0M0.21%118,000−54.2%
74CVLTCOMMVAULT SYS INC$118.68-2.36%$4.0M0.21%+50,735NEW
75ANETARISTA NETWORKS INC$154.27-7.07%$3.7M0.19%+30,531NEW
76SGRYSURGERY PARTNERS INC$13.710.22%$3.7M0.19%+114,268+57.2%
77GLXYGALAXY DIGITAL INC.$25.14-11.51%$3.7M0.19%+18,700+10.4%
78NTGRNETGEAR INC$24.09-6.41%$3.7M0.19%+167,792NEW
79IPINTERNATIONAL PAPER CO$33.61-0.80%$3.2M0.16%213,988−70.7%
80MXMAGNACHIP SEMICONDUCTOR CORP$6.93-18.95%$3.1M0.16%346,446−23.7%
81REZIRESIDEO TECHNOLOGIES INC$31.213.24%$3.0M0.16%155,639−63.7%
82CNCCENTENE CORP DEL$62.33-0.59%$2.9M0.15%132,234−60.0%
83PENNPENN ENTERTAINMENT INC$19.23-2.04%$2.8M0.15%HELD
84WSCWILLSCOT HLDGS CORP$26.21-1.02%$2.8M0.15%HELD
85MGRCMCGRATH RENTCORP$108.88-0.42%$2.4M0.12%2,364−9.9%
86GEOGEO GROUP INC$25.310.64%$2.3M0.12%HELD
87GTLBGITLAB INC$31.120.91%$1.9M0.10%+89,926NEW
88OPENOPENDOOR TECHNOLOGIES INC$4.42-10.71%$1.8M0.09%HELD
89RALRALLIANT CORP$60.17-3.62%$1.7M0.09%+40,916NEW
90BILLBILL HOLDINGS INC$35.970.03%$1.6M0.08%HELD
91PINSPINTEREST INC$21.42-0.79%$1.5M0.08%+80,824NEW
92QUREUNIQURE NV$26.45-5.50%$1.4M0.07%HELD
93TXMDTHERAPEUTICSMD INC$1.99-0.50%$1.3M0.07%HELD
94INTCINTEL CORP$99.17-11.28%$1.2M0.06%+27,100NEW
95BRBRBELLRING BRANDS INC$8.770.92%$1.2M0.06%+72,128NEW
96SNDXSYNDAX PHARMACEUTICALS INC$17.34-3.77%$1.0M0.05%HELD
97CMPRCIMPRESS PLC$94.55-2.50%$863K0.04%HELD
98EVEREVERQUOTE INC$19.320.52%$828K0.04%+53,724NEW
99QDELQUIDELORTHO CORP$14.33-6.34%$820K0.04%266,971−84.3%
100EOSEEOS ENERGY ENTERPRISES INC$7.08-12.38%$778K0.04%HELD
101VVVVALVOLINE INC$687K0.04%56,034−73.3%
102BCCBOISE CASCADE CO DEL$608K0.03%+8,012NEW
103MBLYMOBILEYE GLOBAL INC$498K0.03%+72,418NEW
104IARTINTEGRA LIFESCIENCES HLDGS C$405K0.02%HELD
105AEXAAMERICAN EXCEPTIONALISM ACQU$175K0.01%+2,575+19.0%
106OPENWOPENDOOR TECHNOLOGIES INC$7K0.00%HELD
107MSFTMICROSOFT CORP76,117EXITED
108SOLSSOLSTICE ADVANCED MATLS INC481,669EXITED
109FLSFLOWSERVE CORP294,714EXITED
110SNDKSANDISK CORP70,671EXITED
111UNFUNIFIRST CORP MASS64,477EXITED
112SIMOSILICON MOTION TECHNOLOGY CO132,911EXITED
113CMCSACOMCAST CORP NEW287,751EXITED
114LBRTLIBERTY ENERGY INC444,453EXITED
115CSGPCOSTAR GROUP INC118,041EXITED
116MRVLMARVELL TECHNOLOGY INC90,715EXITED
117CRWVCOREWEAVE INC96,488EXITED
1188QRCONFLUENT INC216,401EXITED
119SMGSCOTTS MIRACLE-GRO CO108,454EXITED
120WDCWESTERN DIGITAL CORP34,215EXITED
121HUTHUT 8 CORP116,200EXITED
122SSYSSTRATASYS LTD608,684EXITED
123WERNWERNER ENTERPRISES INC164,356EXITED
124PCGPG&E CORP192,455EXITED
125NNDMNANO DIMENSION LTD1,918,977EXITED
126EMEEMCOR GROUP INC3,384EXITED
127QQNITY ELECTRONICS INC23,312EXITED
128KYIVKYIVSTAR GROUP LTD146,129EXITED
129HDHOME DEPOT INC4,308EXITED
130NVRIENVIRI CORP66,282EXITED
131SAICSCIENCE APPLICATIONS INTL CO11,297EXITED
132KBHKB HOME15,328EXITED
133FTAIFTAI AVIATION LTD3,491EXITED
134MNROMONRO INC21,518EXITED
135JACKJACK IN THE BOX INC12,826EXITED
136AESIATLAS ENERGY SOLUTIONS INC17,365EXITED

Source: SEC EDGAR · accession 0001600136-26-000006. 13F discloses long positions only — shorts, foreign equities, and options are excluded.