IE
Insider Edges

SCOGGIN MANAGEMENT LP 13F portfolio summary

SCOGGIN MANAGEMENT LP of SCOGGIN MANAGEMENT LP has 21 current stock holdings with a reported portfolio value of $1.04B. The portfolio 1 year return is +67.54%. Top holdings include WULF (44.60%), CORZ (12.33%), NRGV (7.48%), SATS (7.24%), APO (5.74%).

Back to investors

SCOGGIN MANAGEMENT LP

SCOGGIN MANAGEMENT LP
Latest filing: 2026-03-31

SCOGGIN MANAGEMENT LP runs SCOGGIN MANAGEMENT LP and currently holds 21 stock positions, which is fewer than the average of 229 among the investors we track. The portfolio is valued at approximately $1.04B. Their top 5 holdings are various securities, which collectively represent 0.0% of the portfolio's total weight. SCOGGIN MANAGEMENT LP ranks #148 out of 1000 investors tracked based on their composite Alpha Score. Over the past year, SCOGGIN MANAGEMENT LP's portfolio at SCOGGIN MANAGEMENT LP has delivered returns of +67.54%. Their 3-year annualized return is +123.24%. Looking at the 5-year horizon, SCOGGIN MANAGEMENT LP has achieved +120.29% annualized returns at SCOGGIN MANAGEMENT LP.

Sign in to enable email alerts for this investor.
Top 5 Holdings
No holdings data available
Portfolio Returns
1 Year
+67.54%
#97/1000
3 Year
+123.24%
#156/1000
5 Year
+120.29%
#167/1000

Portfolio Value

$1.04B

Alpha Score

99.4

#148 of 1000

Holdings

21

Showper page

0 stock holdings

HoldingWeightAvg BuyCurrentReturnQuarter Change