Scientech Research Llc Portfolio Stock Holdings

Scientech Research Llc disclosed 449 stock positions valued at approximately $119.9 million in its latest SEC 13F filing. The largest holdings include APPLIED DIGITAL CORP, ECHOSTAR CORP, and SCHOLAR ROCK HLDG CORP. 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
449
Portfolio Value
$119.9M
Holdings by Sector
Scientech Research Llc Portfolio Holdings in Q1 2026

373 holdings in the latest reporting period.

Page 1 of 4
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
APPLIED DIGITAL CORPAPLDTechnology1.36%68,813+68,813+100.00%$1,633,621
ECHOSTAR CORPSATSTechnology1.15%11,738+4,535+62.96%$1,374,168
SCHOLAR ROCK HLDG CORPSRRKHealthcare1.08%26,288+21,274+424.29%$1,292,318
VIRIDIAN THERAPEUTICS INCVRDNHealthcare1.06%65,080+65,080+100.00%$1,272,965
CENTURY ALUM COCENXBasic Materials1.00%20,487-4,193-16.99%$1,202,382
OKLO INCOKLOUtilities0.98%23,699+20,416+621.87%$1,175,233
COINBASE GLOBAL INCCOINFinancial Services0.95%6,516+6,516+100.00%$1,137,759
FIVE BELOW INCFIVEConsumer Cyclical0.91%4,792+4,792+100.00%$1,094,876
CYTOMX THERAPEUTICS INC.CTMXHealthcare0.90%230,598+230,598+100.00%$1,083,811
GRANITESHARES ETF TRCONLOther0.89%152,525+134,159+730.47%$1,067,675
SNOWFLAKE INCSNOWTechnology0.85%6,782+6,782+100.00%$1,022,861
PLANET LABS PBCPLIndustrials0.85%36,590+4,018+12.34%$1,022,690
HIMS & HERS HEALTH INCHIMSConsumer Defensive0.83%48,166+29,135+153.09%$999,926
GROCERY OUTLET HLDG CORPGOConsumer Defensive0.75%127,501+127,501+100.00%$898,882
UNITY SOFTWARE INCUTechnology0.74%40,355+40,355+100.00%$885,389
ALCOA CORPAABasic Materials0.72%13,006+1,813+16.20%$862,688
MAKEMYTRIP LIMITED MAURITIUSMMYTOther0.67%21,476+21,476+100.00%$800,840
VIAVI SOLUTIONS INCVIAVTechnology0.65%23,565+23,565+100.00%$784,243
BIGBEAR AI HLDGS INCBBAITechnology0.62%212,009+212,009+100.00%$746,272
META PLATFORMS INCMETACommunication Services0.61%1,288+1,288+100.00%$736,903
SAREPTA THERAPEUTICS INCSRPTHealthcare0.60%33,008+33,008+100.00%$718,254
LSB INDS INCLXUBasic Materials0.57%46,188+46,188+100.00%$688,201
AMERIPRISE FINL INCAMPFinancial Services0.55%1,489+402+36.98%$661,712
SOLAREDGE TECHNOLOGIES INCSEDGTechnology0.55%12,853+12,853+100.00%$656,146
UIPATH INCPATHTechnology0.54%58,583+58,583+100.00%$650,271
ALUMIS INCALMSHealthcare0.54%29,405+29,405+100.00%$647,792
APPLOVIN CORPAPPTechnology0.54%1,615-222-12.08%$642,770
UNITEDHEALTH GROUP INCUNHHealthcare0.53%2,345+680+40.84%$634,534
ENLIVEN THERAPEUTICS INCELVNHealthcare0.52%15,827+15,827+100.00%$620,418
VANECK ETF TRUSTREMXOther0.48%6,585+6,585+100.00%$579,480
VISTA ENERGY S.A.B. DE C.V.VISTEnergy0.48%7,659+7,659+100.00%$578,025
FASTLY INCFSLYTechnology0.47%19,497+19,497+100.00%$566,583
VITAL FARMS INCVITLConsumer Defensive0.46%38,697+38,697+100.00%$546,402
HUT 8 CORPHUTFinancial Services0.45%11,514+11,514+100.00%$540,122
TRONOX HOLDINGS PLCG9087Q102Other0.43%52,225+15,931+43.89%$510,238
IDEX CORPIEXIndustrials0.42%2,687+2,687+100.00%$509,321
ALIBABA GROUP HLDG LTDBABAConsumer Cyclical0.42%4,034+4,034+100.00%$506,106
CHEESECAKE FACTORY INCCAKEConsumer Cyclical0.42%9,159+9,159+100.00%$501,455
BLUE OWL CAPITAL INCOWLFinancial Services0.42%54,916+38,825+241.28%$501,383
SOUNDHOUND AI INCSOUNTechnology0.42%72,826+72,826+100.00%$500,315
PAN AMERN SILVER CORPPAASBasic Materials0.40%8,880+8,880+100.00%$485,114
IOVANCE BIOTHERAPEUTICS INCIOVAHealthcare0.40%138,148-73,329-34.67%$484,899
COEUR MNG INCCDEBasic Materials0.39%24,982+24,982+100.00%$468,912
COMPASS INCCOMPReal Estate0.39%63,969+43,951+219.56%$467,613
DEUTSCHE BK AG LONDON BRHDGPOther0.39%2,542+2,542+100.00%$465,135
EMBRAER S.A.ERJIndustrials0.38%7,679+4,541+144.71%$455,672
FORD MTR COFConsumer Cyclical0.38%39,364+39,364+100.00%$454,261
BROOKFIELD CORPBNFinancial Services0.37%11,059+2,497+29.16%$447,558
DIREXION SHARES ETF TRUSTDRIPOther0.37%106,650+106,650+100.00%$441,531
XOMETRY INCXMTRIndustrials0.36%10,546+6,413+155.17%$430,699
PINTEREST INCPINSCommunication Services0.35%22,973+22,973+100.00%$421,325
VANECK ETF TRUSTGDXJOther0.35%3,477+1,679+93.38%$417,379
ISHARES TRIYMOther0.34%2,350+2,350+100.00%$413,412
JOBY AVIATION INCG65163100Other0.34%49,433+49,433+100.00%$408,317
FERROVIAL SEFER.MCOther0.34%6,231-62-0.99%$405,327
CARNIVAL PLCCUKConsumer Cyclical0.33%15,524+6,773+77.40%$400,053
NEW YORK TIMES CO MTN BENYTCommunication Services0.33%4,754+4,754+100.00%$398,052
REGIONS FINANCIAL CORP NEWRFFinancial Services0.33%15,049+15,049+100.00%$393,080
ZETA GLOBAL HOLDINGS CORPZETATechnology0.32%24,322+24,322+100.00%$387,206
RED CAT HLDGS INCRCATTechnology0.32%29,496+7,400+33.49%$386,103
KOSMOS ENERGY LTDKOSEnergy0.32%138,072+138,072+100.00%$383,840
ARCELORMITTAL SA LUXEMBOURGMTBasic Materials0.32%7,362+1,863+33.88%$382,677
HILTON WORLDWIDE HLDGS INCHLTConsumer Cyclical0.31%1,234+1,234+100.00%$375,235
DELTA AIR LINES INCDALIndustrials0.31%5,586+5,586+100.00%$371,357
TAIWAN SEMICONDUCTOR MANUFACTSMTechnology0.31%1,097-1,993-64.50%$370,731
T1 ENERGY INCFREYIndustrials0.31%84,132+84,132+100.00%$369,339
DELL TECHNOLOGIES INCDELLTechnology0.31%2,247+2,247+100.00%$368,800
MANULIFE FINL CORPMFCFinancial Services0.31%10,647+4,389+70.13%$366,683
LOGITECH INTL S AH50430232Other0.30%4,008+32+0.80%$365,209
ALCON AGALCOther0.30%4,808+4,808+100.00%$362,283
PORTLAND GEN ELEC COPORUtilities0.30%6,846+6,846+100.00%$361,263
SPYRE THERAPEUTICS INCSYREHealthcare0.30%7,088+7,088+100.00%$357,519
VICTORY CAP HLDGS INC DELVCTRFinancial Services0.30%5,425+5,425+100.00%$355,229
YPF SOCIEDAD ANONIMAYPFEnergy0.30%7,664+7,664+100.00%$354,230
ILLINOIS TOOL WKS INCITWIndustrials0.29%1,358+1,358+100.00%$353,474
OSCAR HEALTH INCOSCRHealthcare0.29%30,667+5,987+24.26%$351,750
GENMAB A/SGMABHealthcare0.29%13,109+13,109+100.00%$351,714
REDWIRE CORPORATIONRDWIndustrials0.29%40,967+15,537+61.10%$348,220
ALKAMI TECHNOLOGY INCALKTTechnology0.29%22,210+22,210+100.00%$348,031
ICICI BANK LIMITEDIBNFinancial Services0.29%13,359+13,359+100.00%$345,998
E L F BEAUTY INCELFConsumer Defensive0.29%5,658+5,658+100.00%$342,931
HOME DEPOT INCHDConsumer Cyclical0.29%1,042-819-44.01%$342,703
OCUGEN INCOCGNHealthcare0.28%188,525+188,525+100.00%$341,230
NOVO-NORDISK A SNVOHealthcare0.28%9,274+9,274+100.00%$340,820
BANK AMERICA CORPBACFinancial Services0.28%6,927-306-4.23%$337,691
HYCROFT MINING HOLDING CORPHYMCBasic Materials0.28%9,568-18,508-65.92%$336,794
STRUCTURE THERAPEUTICS INCGPCRHealthcare0.28%6,958+6,958+100.00%$335,376
ALASKA AIR GROUP INCALKIndustrials0.28%9,021+2,755+43.97%$331,792
TPG INCTPGFinancial Services0.28%8,184+8,184+100.00%$331,534
FASTENAL COFASTIndustrials0.28%7,110+7,110+100.00%$329,904
F N B CORPFNBFinancial Services0.27%19,701+19,701+100.00%$329,401
PAGAYA TECHNOLOGIES LTDPGYOther0.27%28,174+17,983+176.46%$328,227
ATI INCATIIndustrials0.27%2,215+2,215+100.00%$322,194
ANALOG DEVICES INCADITechnology0.27%1,011-963-48.78%$321,640
RYANAIR HOLDINGS PLCRYAAYIndustrials0.27%5,544+2,125+62.15%$320,443
PDD HOLDINGS INCPDDConsumer Cyclical0.27%3,136+69+2.25%$320,436
EL POLLO LOCO HLDGS INCLOCOConsumer Cyclical0.27%22,979+22,979+100.00%$318,489
3M COMMMIndustrials0.26%2,174-130-5.64%$315,730
STERLING INFRASTRUCTURE INCSTRLIndustrials0.26%761-56-6.85%$309,932
MARVELL TECHNOLOGY INCMRVLTechnology0.26%3,118+3,118+100.00%$308,838