ARBFX
THE ARBITRAGE FUND
ARBITRAGE FUNDS

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
68
Top-10 weight
47.16%
Effective holdings ?
28
Crowding ?
450.2

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 MSILF-GOVT-INS MVRXX 66,246,230 $66.25M 8.17%
2 State Street Navigator Securities Lending Portfolio II GVMXX 66,246,229 $66.25M 8.17%
3 JANUS HENDERSON GROUP PLC 716,731 $37.34M 4.61%
4 ELECTRONIC ARTS INC 162,010 $32.49M 4.01%
5 ENDEAVOR GROUP HOLDINGS INC 1,081,507 $32.39M 3.99%
6 NORFOLK SOUTHERN CORP 101,059 $31.81M 3.92%
7 WARNER BROS DISCOVERY INC 1,120,451 $31.56M 3.89%
8 TXNM ENERGY INC 526,006 $31.04M 3.83%
9 CHART INDUSTRIES INC 147,257 $30.53M 3.76%
10 HOLOGIC INC 395,061 $29.77M 3.67%
11 PENUMBRA INC 83,848 $28.88M 3.56%
12 EXACT SCIENCES CORP 267,160 $27.62M 3.41%
13 Water Island Event Driven Fund 2,088,887 $27.01M 3.33%
14 TEGNA INC 1,185,517 $24.84M 3.06%
15 CONFLUENT INC-A 731,790 $22.44M 2.77%
16 MORGAN STANLEY PRIME BROKER US 19,270,324 $19.27M 2.38%
17 MASIMO CORP 103,665 $18.18M 2.24%
18 SCHRODERS PLC 2,288,313 $18.07M 2.23%
19 TRI POINTE HOMES INC 390,051 $18.06M 2.23%
20 FYBR 8.75 05/15/30 144A FYBR 16,155,000 $16.65M 2.05%
21 GREAT LAKES DREDGE and DOCK CORP 947,458 $16.06M 1.98%
22 ARCELLX INC 124,165 $14.13M 1.74%
23 WEBSTER FINL 194,716 $14.04M 1.73%
24 DIGITALBRIDGE GROUP INC 892,474 $13.79M 1.70%
25 SEALED AIR CORP 316,447 $13.25M 1.63%
26 JDE PEET'S NV 302,682 $11.34M 1.40%
27 STELLAR BANCORP INC 296,357 $11.16M 1.38%
28 KENVUE INC 567,511 $10.85M 1.34%
29 AMICUS THERAPEUTICS INC 750,710 $10.79M 1.33%
30 PEAKSTONE REALTY 480,300 $10.02M 1.24%
31 ENHABIT INC 593,854 $8.08M 1.00%
32 VERIS RESIDENTIAL INC 427,715 $8.06M 0.99%
33 KENNEDY-WILSON HOLDINGS INC 738,700 $8.04M 0.99%
34 VENTYX BIOSCIENCES INC 575,000 $8.03M 0.99%
35 SILICON LABS 39,100 $8.00M 0.99%
36 ZIM INTEGRATED SHIPPING SERVICES LTD ZIM 275,100 $7.93M 0.98%
37 GTLS 7.5 01/01/30 144A GTLS 7,566,000 $7.86M 0.97%
38 AXALTA COATING SYSTEMS LTD 195,000 $6.51M 0.80%
39 RAPT THERAPEUTICS INC 100,700 $5.84M 0.72%
40 SKECHERS USA INC CL A 259,875 $4.26M 0.53%
41 CLEARWATER ANALYTICS HOLDINGS INC 173,724 $4.06M 0.50%
42 ALEXANDER & BALD 178,805 $3.72M 0.46%
43 RESOLUTE FST CVR RFP CVR 803,806 $1.20M 0.15%
44 Bristol-Myers Squibb Company BMY RT 857,631 $964.83K 0.12%
45 CONTRA ALBIREO PHARMA 313,065 $894.46K 0.11%
46 PFIZER INC CVR MTSR 164,636 $829.01K 0.10%
47 FLEXION THERAPEUTICS INC - CVR CONTINGENT VALUE RIGHT 1,411,000 $821.63K 0.10%
48 CONTRA CONCRT PHRMC 1,669,338 $820.15K 0.10%
49 Regulus Therapeutics, Inc., CVR 500,000 $618.40K 0.08%
50 AVADEL PHARMACEUTICALS PLC 957,437 $615.25K 0.08%
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