Tejara Capital Ltd Portfolio Stock Holdings

According to the SEC 13F filed on August 11, 2026, Tejara Capital Ltd disclosed 64 stock positions valued at approximately $243.30M as of quarter-end June 30, 2026. The largest holdings include FIDELITY NATL INFORMATION SV, ESTABLISHMENT LABS HLDGS INC, and ANTERO RESOURCES CORP.

Report Period
June 30, 2026
No. of Stocks
64
Portfolio Value
$243.30M
Holdings by Sector
Tejara Capital Ltd Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
FIDELITY NATL INFORMATION SVFISTechnology4.68%292,811+95,000+48.03%$11,384,492
ESTABLISHMENT LABS HLDGS INCESTAOther4.62%130,979-177,644-57.56%$11,239,308
ANTERO RESOURCES CORPAREnergy4.11%284,400+103,700+57.39%$9,993,816
MARAVAI LIFESCIENCES HLDGS IMRVIHealthcare4.09%1,595,345-1,899,842-54.36%$9,954,953
GLOBAL PMTS INCGPNIndustrials3.94%132,155-26,400-16.65%$9,589,167
DNOW INCDNOWIndustrials3.86%723,399-628,677-46.50%$9,382,485
CORE NATURAL RESOURCES INCCEIXOther3.52%107,109+20,300+23.38%$8,570,862
CERTARA INCCERTHealthcare3.48%1,292,721+500,600+63.20%$8,467,323
BILL HOLDINGS INCBILLTechnology3.26%219,400+101,900+86.72%$7,933,504
EXPAND ENERGY CORPORATIONCHKEnergy3.06%81,700+20,900+34.38%$7,450,223
NOBLE CORP PLCNEEnergy and Utilities2.80%182,904+28,900+18.77%$6,822,319
BLACKLINE INCBLTechnology2.76%239,237+76,937+47.40%$6,715,383
EPAM SYS INCEPAMTechnology2.62%80,480+47,700+145.52%$6,386,088
CARDIOL THERAPEUTICS INCCRDLHealthcare2.23%5,113,822-16,300-0.32%$5,420,651
ARS PHARMACEUTICALS INCSPRYHealthcare2.00%607,039+396,639+188.52%$4,862,382
ATLASSIAN CORPORATIONTEAMTechnology1.90%59,500-7,000-10.53%$4,628,505
SCHRODINGER INCSDGRHealthcare1.87%280,202-108,600-27.93%$4,553,283
COMCAST CORP NEWCMCSACommunication Services1.82%180,000+145,400+420.23%$4,419,000
SERVICENOW INCNOWTechnology1.66%40,760+4,200+11.49%$4,046,653
ATLAS ENERGY SOLUTIONS INCAESIEnergy1.58%231,200+231,200+100.00%$3,840,232
ADOBE INCADBETechnology1.42%16,880+3,560+26.73%$3,460,738
ARCUTIS BIOTHERAPEUTICS INCARQTHealthcare1.22%113,084-53,107-31.96%$2,965,062
CELANESE CORP DELCEBasic Materials1.20%63,400+63,400+100.00%$2,916,400
ADVANCED MICRO DEVICES INCAMDTechnology1.19%5,000+5,000+100.00%$2,904,550
SEADRILL LTDSDRLEnergy1.19%76,600+20,281+36.01%$2,897,012
HERON THERAPEUTICS INCHRTXHealthcare1.14%6,510,795+174,040+2.75%$2,778,807
HUBSPOT INCHUBSTechnology1.12%14,960+6,520+77.25%$2,730,350
FISERV INCFITechnology1.09%54,100+54,100+100.00%$2,653,605
INTUITINTUTechnology1.06%9,920+5,200+110.17%$2,589,120
EVOLENT HEALTH INCEVHHealthcare0.98%441,456-1,505,194-77.32%$2,392,692
Showing 30 of 64 holdings in the latest reporting period.