Royal Palms Capital LLC 13F Portfolio

EntityCategoryQoQ AUM ChangeAUM (13F)# of HoldingsPerformance RankEquities Trend
RP
Royal Palms Capital LLC
Institutional Filer 19.78%$101.0M50

Current Portfolio Holdings

Showing all 50 reported positions by value

#StockCompany NameSectorShares HeldMarket Value% of Portfolio
1INTCIntel CorporationTechnology122K$5.4M5.32%
2GLWCorning IncorporatedTechnology37K$5.0M5.00%
3KMIKinder Morgan, Inc.Energy135K$4.5M4.49%
4NEMNewmont CorporationBasic Materials42K$4.5M4.46%
5GSLGlobal Ship Lease, Inc.Industrials119K$4.4M4.40%
6XOMExxon Mobil CorporationEnergy26K$4.4M4.39%
7VTRSViatris Inc.Healthcare301K$4.1M4.03%
8ABBVAbbVie Inc.Healthcare18K$3.9M3.82%
9RFRegions Financial CorporationFinancial Services147K$3.8M3.80%
10ENBEnbridge Inc.Energy66K$3.6M3.55%
11ABBNYABB LTD F42K$3.4M3.37%
12EPDEnterprise Products Partners L.P.Energy88K$3.3M3.28%
13IBMInternational Business Machines CorporationTechnology13K$3.3M3.23%
14SFDSmithfield Foods, Inc.Consumer Defensive113K$3.2M3.13%
15ETEnergy Transfer LPEnergy157K$3.0M3.01%
Showing 1 to 15 of 50 holdings
Royal Palms Capital LLC 13F Portfolio Holdings & Trades (Q1 2026) | VCP Scanner