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Latest Clayton Partners LLC Stock Portfolio

$117Million

Equity Portfolio Value
Last Reported on: 14 May, 2024

About Clayton Partners LLC and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, Clayton Partners LLC reported an equity portfolio of $117.7 Millions as of 31 Mar, 2024.

The top stock holdings of Clayton Partners LLC are DMXF, VTOL, FLEX. The fund has invested 9.3% of it's portfolio in ISHARES TR and 8% of portfolio in BRISTOW GROUP INC.

The fund managers got completely rid off CANNAE HLDGS INC (CNNE), NCR VOYIX CORPORATION (NCR) and DISTRIBUTION SOLUTIONS GRP I (DSGR) stocks. They significantly reduced their stock positions in ACACIA RESH CORP (ACTG), AES CORP (AES) and FLEX LTD (FLEX). Clayton Partners LLC opened new stock positions in TKO GROUP HOLDINGS INC, TWILIO INC (TWLO) and ASTRAZENECA PLC (AZN). The fund showed a lot of confidence in some stocks as they added substantially to BRISTOW GROUP INC (VTOL), NETWORK-1 TECHNOLOGIES INC (NTIP) and GREAT ELM GROUP INC (GEG).

New Buys

Ticker$ Bought
TKO GROUP HOLDINGS INC3,057,190
TWILIO INC3,034,140
NEXTRACKER INC2,575,250
ASTRAZENECA PLC2,498,210
JOINT CORP1,763,100
ARRAY TECHNOLOGIES INC1,610,770
SPRUCE POWER HOLDING CORP1,518,130
PERELLA WEINBERG PARTNERS798,387

New stocks bought by Clayton Partners LLC

Additions

Ticker% Inc.
BRISTOW GROUP INC17.47
NETWORK-1 TECHNOLOGIES INC5.06
GREAT ELM GROUP INC3.22
TRANSALTA CORP3.21
EPSILON ENERGY LTD2.43
KRANESHARES TRUST0.33
AMERESCO INC0.32
ISHARES TR0.16

Additions to existing portfolio by Clayton Partners LLC

Reductions

Ticker% Reduced
ACACIA RESH CORP-48.61
AES CORP-32.5
FLEX LTD-24.76
PORTMAN RIDGE FIN CORP-22.24
FERROGLOBE PLC-19.86
BERKSHIRE HATHAWAY INC DEL-19.65
ALPHABET INC-16.91
ABBVIE INC-16.05

Clayton Partners LLC reduced stake in above stock

Sold off

Ticker$ Sold
CANNAE HLDGS INC-5,852,690
SPRUCE POWER HOLDING CORP-1,259,700
NCR VOYIX CORPORATION-4,804,080
MFA FINL INC-1,070,650
DISTRIBUTION SOLUTIONS GRP I-2,438,770
PFIZER INC-1,686,650
INVESTMENT MANAGERS SER TR I-1,298,000

Clayton Partners LLC got rid off the above stocks

Current Stock Holdings of Clayton Partners LLC

Last Reported on: 14 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
ABBVABBVIE INC3.1720,4713,727,700REDUCED-16.05
ACTGACACIA RESH CORP1.34295,4891,574,960REDUCED-48.61
AESAES CORP2.83185,5743,327,340REDUCED-32.5
AGTISHARES TR2.1389,0022,512,530ADDED0.07
AMRCAMERESCO INC0.7335,683861,031ADDED0.32
ARRYARRAY TECHNOLOGIES INC1.37108,0331,610,770NEW
AZNASTRAZENECA PLC2.1236,8742,498,210NEW
BNDDKRANESHARES TRUST0.9539,1961,122,960ADDED0.33
CHGXINVESTMENT MANAGERS SER TR I0.000.000.00SOLD OFF-100
CNNECANNAE HLDGS INC0.000.000.00SOLD OFF-100
CRCCALIFORNIA RES CORP5.78123,4976,804,670REDUCED-3.04
DMXFISHARES TR9.29108,56610,933,700ADDED0.16
DSGRDISTRIBUTION SOLUTIONS GRP I0.000.000.00SOLD OFF-100
EPSNEPSILON ENERGY LTD1.60342,8611,884,020ADDED2.43
FDXFEDEX CORP2.439,8692,859,390ADDED0.08
FLEXFLEX LTD6.85281,8768,064,470REDUCED-24.76
FLRFLUOR CORP NEW3.78105,1964,447,690REDUCED-3.00
GEGGREAT ELM GROUP INC0.59360,244691,668ADDED3.22
GOLDBARRICK GOLD CORP1.55109,9961,830,330ADDED0.07
GOOGALPHABET INC3.9030,1214,586,220REDUCED-16.91
GSMFERROGLOBE PLC0.0614,70073,206REDUCED-19.86
JYNTJOINT CORP1.50135,0001,763,100NEW
LHXL3HARRIS TECHNOLOGIES INC2.9016,0493,420,040ADDED0.07
MFAMFA FINL INC0.000.000.00SOLD OFF-100
NCRNCR VOYIX CORPORATION0.000.000.00SOLD OFF-100
NHINATIONAL HEALTH INVS INC3.7369,8794,390,480REDUCED-3.51
NTIPNETWORK-1 TECHNOLOGIES INC2.651,507,7903,121,120ADDED5.06
PFEPFIZER INC0.000.000.00SOLD OFF-100
PWPPERELLA WEINBERG PARTNERS0.6856,503798,387NEW
SFESAFEGUARD SCIENTIFICS INC0.29449,136336,852NEW
TACTRANSALTA CORP0.1019,142123,083ADDED3.21
TSLXSIXTH STREET SPECIALTY LENDI2.61143,4033,073,120ADDED0.1
TWLOTWILIO INC2.5849,6183,034,140NEW
VTOLBRISTOW GROUP INC8.00346,1819,416,120ADDED17.47
VXUSVANGUARD STAR FDS2.0339,6852,393,010ADDED0.07
WFCWELLS FARGO CO NEW4.4790,7985,262,640REDUCED-4.46
XLSPRUCE POWER HOLDING CORP1.29383,4001,518,130NEW
XLSPRUCE POWER HOLDING CORP0.000.000.00SOLD OFF-100
BERKSHIRE HATHAWAY INC DEL5.6315,7586,626,550REDUCED-19.65
FISERV INC3.8228,1154,493,340REDUCED-2.47
TKO GROUP HOLDINGS INC2.6035,3803,057,190NEW
PORTMAN RIDGE FIN CORP2.48153,4902,913,240REDUCED-22.24
NEXTRACKER INC2.1945,7662,575,250NEW