Earnings ยท 13F ยท About ยท Subscribe

Form 13F manager

Starboard Value LP

Latest quarter 2026-06-30 ยท filed 2026-08-14 ยท reported total $4,524M ยท filing combined

As filed on Form 13F โ€” long US-listed positions only. No shorts, cash, bonds, or non-13F assets appear here.

Filed up to 45 days after quarter end; holdings may have changed since.

Combined report.

Positions

RowIssuerClassPut/callValue% of totalSH/PRN qty
1ISHARES TRCORE S&P MCP ETFโ€”$685M15.1%SH 8,877,781
2QRVO ยท QORVO INCCOMโ€”$523M11.6%SH 5,611,526
3KVUE ยท KENVUE INCCOMโ€”$522M11.5%SH 27,307,632
4DT ยท DYNATRACE INCCOM NEWโ€”$389M8.6%SH 8,866,692
5ALGONQUIN POWER & UTILITIESCOMโ€”$335M7.4%SH 57,189,420
6MATCH GROUP INC NEWCOMโ€”$296M6.5%SH 7,775,125
7ACACIA RESH CORPACACIA TCH COMโ€”$285M6.3%SH 61,123,595
8RIOT ยท RIOT PLATFORMS INCCOMโ€”$277M6.1%SH 10,114,576
9BILL ยท BILL HOLDINGS INCCOMโ€”$254M5.6%SH 7,025,748
10LAMB WESTON HLDGS INCCOMโ€”$248M5.5%SH 5,733,982
11KMX ยท CARMAX INCCOMโ€”$170M3.7%SH 3,206,438
12FLS ยท FLOWSERVE CORPCOMโ€”$107M2.4%SH 1,441,600
13FLR ยท FLUOR CORPCOMโ€”$83M1.8%SH 1,586,327
14GPGI ยท GPGI INCCOM CL Aโ€”$80M1.8%SH 5,027,028
15TRIP ยท TRIPADVISOR INCCOMโ€”$70M1.5%SH 5,096,996
16NEWS CORP NEWCL Bโ€”$68M1.5%SH 2,431,081
17NEWS CORP NEWCL Aโ€”$51M1.1%SH 2,040,100
18HEALTHCARE RLTY TRCL A COMโ€”$39M0.9%SH 1,936,267
19BLMN ยท BLOOMIN BRANDS INCCOMโ€”$38M0.8%SH 4,180,992
20BITCOIN INFRASTRUCTURE ACQUIUSD CL A ORD SHSโ€”$3.0M<0.1%SH 300,000
21RIOT ยท RIOT PLATFORMS INCCOM[PUT]$1.9M<0.1%SH 2,423,400
22BITCOIN INFRASTRUCTURE ACQUI*W EXP 11/06/203โ€”<$1M<0.1%SH 149,999
Filed rows (22) โ€” as filed
RowIssuerClassPut/callValue% of totalSH/PRN qtySource
1ISHARES TRCORE S&P MCP ETFโ€”$685M15.1%SH 8,877,7810000921895-26-002172
2QORVO INCCOMโ€”$523M11.6%SH 5,611,5260000921895-26-002172
3KENVUE INCCOMโ€”$522M11.5%SH 27,307,6320000921895-26-002172
4DYNATRACE INCCOM NEWโ€”$389M8.6%SH 8,866,6920000921895-26-002172
5ALGONQUIN POWER & UTILITIESCOMโ€”$335M7.4%SH 57,189,4200000921895-26-002172
6MATCH GROUP INC NEWCOMโ€”$296M6.5%SH 7,775,1250000921895-26-002172
7ACACIA RESH CORPACACIA TCH COMโ€”$285M6.3%SH 61,123,5950000921895-26-002172
8RIOT PLATFORMS INCCOMโ€”$277M6.1%SH 10,114,5760000921895-26-002172
9BILL HOLDINGS INCCOMโ€”$254M5.6%SH 7,025,7480000921895-26-002172
10LAMB WESTON HLDGS INCCOMโ€”$248M5.5%SH 5,733,9820000921895-26-002172
11CARMAX INCCOMโ€”$170M3.7%SH 3,206,4380000921895-26-002172
12FLOWSERVE CORPCOMโ€”$107M2.4%SH 1,441,6000000921895-26-002172
13FLUOR CORPCOMโ€”$83M1.8%SH 1,586,3270000921895-26-002172
14GPGI INCCOM CL Aโ€”$80M1.8%SH 5,027,0280000921895-26-002172
15TRIPADVISOR INCCOMโ€”$70M1.5%SH 5,096,9960000921895-26-002172
16NEWS CORP NEWCL Bโ€”$68M1.5%SH 2,431,0810000921895-26-002172
17NEWS CORP NEWCL Aโ€”$51M1.1%SH 2,040,1000000921895-26-002172
18HEALTHCARE RLTY TRCL A COMโ€”$39M0.9%SH 1,936,2670000921895-26-002172
19BLOOMIN BRANDS INCCOMโ€”$38M0.8%SH 4,180,9920000921895-26-002172
20BITCOIN INFRASTRUCTURE ACQUIUSD CL A ORD SHSโ€”$3.0M<0.1%SH 300,0000000921895-26-002172
21RIOT PLATFORMS INCCOM[PUT]$1.9M<0.1%SH 2,423,4000000921895-26-002172
22BITCOIN INFRASTRUCTURE ACQUI*W EXP 11/06/203โ€”<$1M<0.1%SH 149,9990000921895-26-002172

Changes from 2026-03-31 (rows of a security combined)

Reported change, not a confirmed trade: this compares quarter-end reports filed up to 45 days later, and the position may since have changed. Amendments, corporate actions, and changes in reporting scope can also move these rows. Value change compares period-end reported values; for continuing rows it includes market price movement.

2 new ยท โ–ฒ 3 up ยท โ–ผ 11 down ยท 6 exited ยท 6 unchanged โ€” by reported quantity, largest value change first

RowChangeIssuerClassPut/callValue changeQty change
1newDYNATRACE INCCOM NEWโ€”+$389MSH +8,866,692
2โ–ฒ upISHARES TRCORE S&P MCP ETFโ€”+$291MSH +3,047,125 (+52.3%)
3exitedGEN DIGITAL INCCOMโ€”โˆ’$147MSH โˆ’7,806,922
4exitedCLEARWATER ANALYTICS HLDGS ICL Aโ€”โˆ’$129MSH โˆ’5,459,031
5newFLOWSERVE CORPCOMโ€”+$107MSH +1,441,600
6exitedBECTON DICKINSON & COCOMโ€”โˆ’$100MSH โˆ’636,494
7โ–ผ downNEWS CORP NEWCL Aโ€”โˆ’$89MSH โˆ’3,565,026 (โˆ’63.6%)
8โ–ผ downCARMAX INCCOMโ€”โˆ’$88MSH โˆ’2,994,924 (โˆ’48.3%)
9โ–ผ downRIOT PLATFORMS INCCOMโ€”+$85MSH โˆ’5,430,000 (โˆ’34.9%)
10โ–ผ downHEALTHCARE RLTY TRCL A COMโ€”โˆ’$77MSH โˆ’4,885,000 (โˆ’71.6%)
11exitedROGERS CORPCOMโ€”โˆ’$63MSH โˆ’584,328
12โ–ผ downQORVO INCCOMโ€”โˆ’$58MSH โˆ’1,899,345 (โˆ’25.3%)
13โ–ผ downMATCH GROUP INC NEWCOMโ€”โˆ’$54MSH โˆ’3,620,254 (โˆ’31.8%)
14โ–ผ downFLUOR CORPCOMโ€”โˆ’$52MSH โˆ’1,300,000 (โˆ’45.0%)
15โ–ผ downTRIPADVISOR INCCOMโ€”โˆ’$45MSH โˆ’5,678,000 (โˆ’52.7%)
16โ–ฒ upBILL HOLDINGS INCCOMโ€”โˆ’$15MSH +900 (+0.0%)
17โ–ผ downLAMB WESTON HLDGS INCCOMโ€”โˆ’$11MSH โˆ’381,000 (โˆ’6.2%)
18โ–ผ downNEWS CORP NEWCL Bโ€”โˆ’$5.6MSH โˆ’158,000 (โˆ’6.1%)
19โ–ผ downBLOOMIN BRANDS INCCOMโ€”โˆ’$4.9MSH โˆ’3,800,000 (โˆ’47.6%)
20exitedISHARES TRIBOXX HI YD ETF[PUT]โˆ’$3.0MSH โˆ’3,000,000
Remaining 2 reported changes
RowChangeIssuerClassPut/callValue changeQty change
21exitedISHARES TRRUSSELL 2000 ETF[PUT]โˆ’$2.7MSH โˆ’683,100
22โ–ฒ upRIOT PLATFORMS INCCOM[PUT]+$1.2MSH +1,630,900 (+205.8%)

Changes appear only where the prior quarter's validated report exists.

Filing details

CIK set: 0001517137

Filing history

2026-06-3013F-HR