Fifth Lane Capital, Lp Portfolio Stock Holdings

Fifth Lane Capital, Lp disclosed 58 stock positions valued at approximately $82.3 million in its latest SEC 13F filing. The largest holdings include HOLOGIC INC, ELECTRONIC ARTS INC, and ARCELLX INC. The filing reflects positions held as of March 31, 2026 and was filed on May 15, 2026.

Report Period
March 31, 2026
No. of Stocks
58
Portfolio Value
$82.3M
Holdings by Sector
Fifth Lane Capital, Lp Portfolio Holdings in Q1 2026

40 holdings in the latest reporting period.

Page 1 of 1
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
HOLOGIC INCHOLXHealthcare8.68%94,528+62,028+190.86%$7,145,372
ELECTRONIC ARTS INCEACommunication Services4.33%17,500+17,500+100.00%$3,567,725
ARCELLX INCACLXHealthcare4.33%31,044+31,044+100.00%$3,564,472
LISTED FDS TRMAGSOther2.81%40,000+40,000+100.00%$2,317,600
UNITEDHEALTH GROUP INCUNHHealthcare2.30%7,000+1,300+22.81%$1,894,130
ABIVAX SAABVXHealthcare2.14%15,858+12,408+359.65%$1,765,788
CORE SCIENTIFIC INC NEWCORZTechnology1.81%99,752+56,752+131.98%$1,492,290
NVIDIA CORPORATIONNVDATechnology1.59%7,500+2,000+36.36%$1,308,000
VISTANCE NETWORKS INCCOMMTechnology1.43%64,552+54,552+545.52%$1,174,846
ADVANCED MICRO DEVICES INCAMDTechnology0.99%4,000+1,000+33.33%$813,720
ORACLE CORPORCLTechnology0.89%5,000-1,000-16.67%$735,550
TAIWAN SEMICONDUCTOR MANUFACTSMTechnology0.82%2,000-1,000-33.33%$675,900
USA TODAY CO INCGCICommunication Services0.69%81,123+81,123+100.00%$571,917
APARTMENT INVT & MGMT COAIVReal Estate0.69%140,000+140,000+100.00%$569,800
TESLA INCTSLAConsumer Cyclical0.68%1,500-1,100-42.31%$557,625
CALAVO GROWERS INCCVGWConsumer Defensive0.65%20,700+20,700+100.00%$533,853
ARM HOLDINGS PLCARMTechnology0.64%3,500+3,500+100.00%$529,480
AMERICAN AIRLINES GROUP INCAALIndustrials0.52%40,000+40,000+100.00%$429,600
TERNS PHARMACEUTICALS INCTERNHealthcare0.51%8,000+8,000+100.00%$421,760
ISHARES TRIGVOther0.49%5,000+5,000+100.00%$400,250
SILICON MOTION TECHNOLOGY COSIMOTechnology0.48%3,500+3,500+100.00%$393,015
VANECK ETF TRUSTSMHOther0.47%1,000+1,000+100.00%$383,400
PALANTIR TECHNOLOGIES INCPLTRTechnology0.44%2,500--$365,700
SPDR GOLD TRGLDOther0.42%800+800+100.00%$344,232
AST SPACEMOBILE INCASTSTechnology0.40%4,000+4,000+100.00%$331,480
INTEL CORPINTCTechnology0.40%7,500+7,500+100.00%$330,975
RELMADA THERAPEUTICS INCRLMDHealthcare0.38%45,000+45,000+100.00%$313,200
APELLIS PHARMACEUTICALS INCAPLSHealthcare0.37%7,500+7,500+100.00%$301,725
BLOOM ENERGY CORPBEIndustrials0.33%2,000-2,000-50.00%$270,980
CRINETICS PHARMACEUTICALS INCRNXHealthcare0.32%7,161+7,161+100.00%$260,088
SAB BIOTHERAPEUTICS INCSABSHealthcare0.22%46,500+31,500+210.00%$178,095
RAPID MICRO BIOSYSTEMS INCRPIDHealthcare0.20%71,000+53,300+301.13%$161,170
ROCKET COS INCRKTFinancial Services0.17%10,000+10,000+100.00%$142,500
NOKIA CORPNOKTechnology0.10%10,000+10,000+100.00%$80,400
GOODYEAR TIRE & RUBR COGTConsumer Cyclical0.08%10,000+10,000+100.00%$66,300
COURSERA INCCOURConsumer Defensive0.07%10,000+10,000+100.00%$58,200
BURFORD CAPITAL LIMITEDBUROther0.05%10,000-54,355-84.46%$45,200
INHIBIKASE THERAPEUTICS INCIKTHealthcare0.05%24,896+24,896+100.00%$41,825
CPI AEROSTRUCTURES INCCVUIndustrials0.05%10,562+10,562+100.00%$41,403
FOLD HLDGS INCFLDDWFinancial Services0.00%26,193--$2,881