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LONESTAR CAPITAL MANAGEMENT LLC

Q1 2026 · Filed 2026-05-15
Market Value
$181M
+3.8%
Holdings
30
-4
New Purchases
5
Added To
6
Closed
5
Reduced
10
Top 10 Concentration
59.9%
Turnover
33.3%

Top Buys (by % of Portfolio)

SymbolCur %Prior %Chg %Value
LYB 2.66% 0.00% +2.66% $5M
DOW 4.13% 2.01% +2.12% $7M
VST 4.14% 2.22% +1.93% $8M
TLN 5.28% 3.43% +1.85% $10M
UTI 1.69% 0.00% +1.69% $3M
POOL 1.67% 0.00% +1.67% $3M
CE 7.25% 5.68% +1.56% $13M
NRG 4.83% 3.37% +1.46% $9M
EQT 3.16% 1.84% +1.32% $6M
BAK 1.01% 0.00% +1.01% $2M
BKD 4.97% 4.07% +0.90% $9M
ET 9.57% 8.77% +0.81% $17M
LINC 3.36% 2.76% +0.60% $6M
SMCI 0.56% 0.00% +0.56% $1M
EXE 5.14% 4.74% +0.41% $9M

Top Sells (by % of Portfolio)

SymbolCur %Prior %Chg %Value
DRVN 0.00% 4.75% -4.75% $0
AXL 4.90% 7.91% -3.01% $9M
DHC 5.85% 8.32% -2.47% $11M
ADT 0.00% 2.40% -2.40% $0
COMP 0.00% 1.63% -1.63% $0
PCG 3.68% 5.06% -1.38% $7M
COTY 0.00% 1.32% -1.32% $0
GTX 8.01% 8.98% -0.97% $15M
RIG 3.29% 4.25% -0.97% $6M
STRA 0.00% 0.82% -0.82% $0
LUMN 1.63% 2.33% -0.71% $3M
TH 1.92% 2.29% -0.37% $3M

Sector Allocation Over Time

Market Cap Concentration

TierHoldingsValueWeight
Large Cap 11 $86M 47.2%
Mid Cap 12 $70M 38.3%
Small Cap 7 $26M 14.5%

Portfolio Analytics

Avg Market Cap
$14.5B
Median Market Cap
$6.2B
Avg P/E
52.1
Median P/E
16.2
Avg Dividend Yield
0.02%
Avg Beta
1.06
# Stocks
28
# ETFs / Funds
2

Top Holdings (30 total)

# Symbol % Port Shares Value Avg Price Q/Q Value Chg Share Chg Chg % Status
1 ET 9.57% 900,000 $17M $19.30 $2M -29,000 -3.1%
2 GTX 8.01% 800,000 $15M $18.17 -$1M -100,000 -11.1%
3 CE 7.25% 200,000 $13M $65.77 $3M -35,000 -14.9%
4 DHC 5.85% 1,600,000 $11M $6.64 -$4M -1,400,000 -46.7%
5 TLN 5.28% 30,000 $10M $319.23 $4M +14,000 +87.5%
6 EXE 5.14% 85,000 $9M $109.78 $1M +10,000 +13.3%
7 BKD 4.97% 660,000 $9M $13.68 $2M
8 AXL 4.90% 1,500,000 $9M $5.93 -$5M -656,574 -30.4%
9 NRG 4.83% 60,000 $9M $146.14 $3M +23,000 +62.2%
10 VST 4.14% 50,000 $8M $150.33 $4M +26,000 +108.3%
11 DOW 4.13% 180,000 $7M $41.65 $4M +30,000 +20.0%
12 GDX 4.05% 80,000 $7M $91.77 $480K
13 GDXJ 3.97% 60,000 $7M $120.04 $376K
14 PCG 3.68% 380,000 $7M $17.57 -$2M -170,000 -30.9%
15 LINC 3.36% 150,000 $6M $40.68 $1M -50,000 -25.0%
16 RIG 3.29% 900,000 $6M $6.63 -$1M -900,000 -50.0%
17 GSL 3.28% 160,000 $6M $37.23 $350K
18 EQT 3.16% 90,000 $6M $63.64 $3M +30,000 +50.0%
19 LYB 2.66% 60,000 $5M $80.56 +60,000 NEW
20 TH 1.92% 375,000 $3M $9.28 -$525K -125,000 -25.0%
21 UTI 1.69% 85,000 $3M $36.10 +85,000 NEW
22 POOL 1.67% 15,000 $3M $202.33 +15,000 NEW
23 LUMN 1.63% 425,000 $3M $6.95 -$1M -100,000 -19.1%
24 BAK 1.01% 500,000 $2M $3.66 +500,000 NEW
25 SMCI 0.56% 45,000 $1M $22.77 +45,000 NEW
26 ADT —% -$4M -520,000 -100.0% SOLD
27 STRA —% -$1M -17,900 -100.0% SOLD
28 DRVN —% -$8M -560,000 -100.0% SOLD
29 COTY —% -$2M -750,000 -100.0% SOLD
30 COMP —% -$3M -270,000 -100.0% SOLD

Options Breakdown

1 Calls $18M Call Value 5 Puts $248M Put Value 14.11 P/C Ratio

Top Calls

SymbolSharesValueStatus
PCG 10,000 $18M NEW

Top Puts

SymbolSharesValueStatus
HYG 14,000 $111M NEW
TLT 10,000 $87M
IWM 2,000 $50M NEW
QQQ 2,000 $115K
SPY 1,600 $104K

New Positions

SymbolValue% Port
LYB $5M 2.66%
UTI $3M 1.69%
POOL $3M 1.67%
BAK $2M 1.01%
SMCI $1M 0.56%

Sold Out Positions

SymbolValue% Port
COTY —%
ADT —%
COMP —%
DRVN —%
STRA —%
View SEC EDGAR Filings for LONESTAR CAPITAL MANAGEMENT LLC →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms