StockDuty ← Dashboard Aug 13, 2026 11:32 AM ET
SignalCorporate

📊 Gator 13F — Gator Capital Management, LLC: $477M portfolio, 67 positions (Q2 2026)

1. HOOD — $52M (11.0%) 2. COMP — $33M (7.0%) 3. FCNCA — $19M (3.9%) 4. UMBF — $18M (3.9%) 5. UBS GROUP AG — $17M (3.6%) 6. AX — $16M (3.4%) 7. AMP — $16M (3.4%) 8. GPN — $15M (3.1%) 9. VOYA — $14M (3.0%) 10. BCS — $14M (2.9%) 11. NAVI — $14M (2.8%) 12. PRI — $13M (2.8%) 13. OFG — $13M (2.7%) 14. CUBI — $13M (2.7%) 15. FISV — $12M (2.6%) 16. ESQ — $12M (2.5%) 17. CG — $12M (2.5%) 18. SLM — $12M (2.5%) 19. JXN — $12M (2.4%) 20. CNOB — $11M (2.3%) … (+47 more)
1. HOOD — $52M (11.0%)
Sources