13F Filings for Twin Securities, Inc. (CIK: 1351351)

View the most recent portfolio holdings disclosed by Twin Securities, Inc. in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
ITCI - INTRA-CELLULAR THERAPIES INC(Class: COM)440.69K $58.14M -New 440.69K ($58.14M)
K - KELLANOVA(Class: COM)354.08K $29.21M -Increased 75.35K (27.0%, $6.64M)
BECN - BEACON ROOFING SUPPLY INC(Class: COM)216.34K* $26.76M* -New 216.34K ($26.76M)
HES - HESS CORP(Class: COM)124.34K $19.86M -Increased 25.07K (25.0%, $6.66M)
SWTX - SPRINGWORKS THERAPEUTICS INC(Class: COM)272.43K* $12.02M* -New 272.43K ($12.02M)
DFS - DISCOVER FINL SVCS(Class: COM)65.70K* $11.22M* -New 65.70K ($11.22M)
HEES - H E EQUIPMENT SERVICES INC(Class: COM)109.49K $10.38M -New 109.49K ($10.38M)
SPR - SPIRIT AEROSYSTEMS HLDGS INC(Class: COM CL A)297.35K $10.25M -Increased 262.81K (761.0%, $9.07M)
SGRY - SURGERY PARTNERS INC(Class: COM)330.27K $7.84M -New 330.27K ($7.84M)
TIC - ACUREN CORP(Class: COM)405.77K $4.51M -New 405.77K ($4.51M)
CMRX - CHIMERIX INC(Class: COM)202.20K $1.72M -New 202.20K ($1.72M)
JNPR - JUNIPER NETWORKS INC(Class: COM)31.30K* $1.13M* -Decreased 1.19M (97.0%, $44.73M)
MANU - MANCHESTER UTD PLC NEW(Class: ORD CL A)37.14K $486.20K -Increased 600 (1.0%, $147.82K)
GEAR - REVELYST INC(Class: COM SHS)0 $0 -Exited 504.94K ($9.71M)
AZPN - ASPEN TECHNOLOGY INC(Class: COM)0 $0 -Exited 42.13K ($10.52M)
SMAR - SMARTSHEET INC(Class: COM CL A)0 $0 -Exited 313.07K ($17.54M)
ALTM - ARCADIUM LITHIUM PLC(Class: COM SHS)0 $0 -Exited 2.34M ($11.99M)
EDR - ENDEAVOR GROUP HLDGS INC(Class: CL A COM)0 $0 -Exited 397.18K ($12.43M)
HCP - HASHICORP INC(Class: COM CL A)0 $0 -Exited 534.46K ($18.28M)
SUM - SUMMIT MATLS INC(Class: CL A)0 $0 -Exited 81K ($4.10M)
AMED - AMEDISYS INC(Class: COM)0 $0 -Exited 29.11K ($2.64M)