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BRIGHTLIGHT CAPITAL MANAGEMENT LP

Q1 2026 · Filed 2026-05-15
Market Value
$101M
-22.4%
Holdings
9
New Purchases
1
Added To
0
Closed
1
Reduced
7
Top 10 Concentration
100.0%
Turnover
22.2%

Top Buys (by % of Portfolio)

SymbolCur %Prior %Chg %Value
HNI 8.66% 0.00% +8.66% $9M
ARCO 27.14% 19.49% +7.65% $28M
AAMI 5.38% 3.88% +1.50% $5M
KSPI 27.12% 25.85% +1.28% $27M

Top Sells (by % of Portfolio)

SymbolCur %Prior %Chg %Value
HGV 1.77% 10.39% -8.62% $2M
MLCO 0.00% 6.20% -6.20% $0
CVNA 27.68% 29.99% -2.31% $28M
SNBR 0.32% 1.55% -1.23% $322K
PAL 1.93% 2.65% -0.72% $2M

Sector Allocation Over Time

Market Cap Concentration

TierHoldingsValueWeight
Large Cap 2 $56M 54.8%
Mid Cap 3 $7M 7.1%
Small Cap 2 $36M 35.8%
Micro Cap 2 $2M 2.2%

Portfolio Analytics

Avg Market Cap
$11.5B
Median Market Cap
$2.1B
Avg P/E
17.6
Median P/E
14.5
Avg Dividend Yield
0.01%
Avg Beta
1.46
# Stocks
9
# ETFs / Funds
0

Top Holdings (9 total)

# Symbol % Port Shares Value Avg Price Q/Q Value Chg Share Chg Chg % Status
1 CVNA 27.68% 89,263 $28M $314.38 -$11M -3,537 -3.8%
2 ARCO 27.14% 3,334,760 $28M $8.25 $2M -132,040 -3.8%
3 KSPI 27.12% 371,235 $27M $74.07 -$6M -60,765 -14.1%
4 HNI 8.66% 262,900 $9M $33.39 +262,900 NEW
5 AAMI 5.38% 100,200 $5M $54.42 $382K -7,700 -7.1%
6 PAL 1.93% 288,700 $2M $6.78 -$2M -70,000 -19.5%
7 HGV 1.77% 45,780 $2M $39.12 -$12M -257,420 -84.9%
8 SNBR 0.32% 179,400 $322K $1.80 -$2M -60,100 -25.1%
9 MLCO —% -$8M -1,070,400 -100.0% SOLD

New Positions

SymbolValue% Port
HNI $9M 8.66%

Sold Out Positions

SymbolValue% Port
MLCO —%
View SEC EDGAR Filings for BRIGHTLIGHT CAPITAL MANAGEMENT LP →

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