First seen by DFX
Sep 12, 2026
date not stated
DC Investments Management, LLC files Form 13F (non_adviser_filer, $226,098,625 in 48 positions)
First seen by DFX
Sep 12, 2026
date not stated
DC Investments Management, LLC: CANDIDATE_FAMILY_OFFICE -> CANDIDATE_FAMILY_OFFICE (13F filer that is on no adviser roster and is not institutional by name: could be an SFO, a corporate treasury or a trust company)
DC Investments Management, LLC reported $261,233,675 across 76 13(f) positions for the quarter ended 2026-03-31
DC Investments Management, LLC exited Amrize Ltd (was $4,337,054, 80,197 shares)
DC Investments Management, LLC reduced Antero Resources Corp 128,841 -> 83,872 shares ($4,439,861 -> $3,559,528)
DC Investments Management, LLC reduced Devon Energy Corp New 80,637 -> 44,128 shares ($2,953,733 -> $2,220,521)
DC Investments Management, LLC reduced EQT Corp 98,100 -> 56,375 shares ($5,258,160 -> $3,587,705)
DC Investments Management, LLC reduced Expand Energy Corporation 45,663 -> 33,887 shares ($5,039,369 -> $3,720,115)
DC Investments Management, LLC opened a $4,238,621 position in Intuit (9,803 shares)
DC Investments Management, LLC opened a $3,404,174 position in Meta Platforms Inc (5,950 shares)
DC Investments Management, LLC opened a $18,917,879 position in State Str Spdr S&p Midcap 40 (30,673 shares)
DC Investments Management, LLC reduced CNX Res Corp 71,695 -> 53,009 shares ($2,636,225 -> $2,043,497)
DC Investments Management, LLC reduced Coterra Energy Inc 102,882 -> 63,092 shares ($2,707,854 -> $2,217,053)
DC Investments Management, LLC reduced Gulfport Energy Corp 24,458 -> 17,701 shares ($5,087,019 -> $3,745,001)
DC Investments Management, LLC reduced Permian Resources Corp 185,758 -> 106,611 shares ($2,606,185 -> $2,272,947)
DC Investments Management, LLC reduced Range Res Corp 74,364 -> 48,383 shares ($2,622,075 -> $2,185,944)
DC Investments Management, LLC reported $226,098,625 across 48 13(f) positions for the quarter ended 2025-12-31
DC Investments Management, LLC increased Mercadolibre Inc 1,392 -> 2,342 shares ($3,253,020 -> $4,717,397)
DC Investments Management, LLC exited Koppers Holdings Inc (was $2,256,548, 80,591 shares)
DC Investments Management, LLC exited Lightspeed Commerce Inc (was $3,639,162, 315,079 shares)
DC Investments Management, LLC reported $241,068,934 across 95 13(f) positions for the quarter ended 2025-09-30
DC Investments Management, LLC increased Amrize Ltd 16,245 -> 80,197 shares ($804,940 -> $3,891,960)
DC Investments Management, LLC increased Asml Holding N V 6,101 -> 8,788 shares ($4,889,280 -> $8,507,575)
DC Investments Management, LLC reduced Columbus Mckinnon Corp N Y 142,357 -> 82,712 shares ($2,173,791 -> $1,186,090)
DC Investments Management, LLC reduced Jeld-Wen Hldg Inc 539,434 -> 257,437 shares ($2,114,581 -> $1,264,016)
DC Investments Management, LLC reduced Koppers Holdings Inc 117,802 -> 80,591 shares ($3,787,334 -> $2,256,548)
DC Investments Management, LLC opened a $4,978,541 position in Uber Technologies Inc (50,817 shares)
DC Investments Management, LLC exited Calix Inc (was $4,076,588, 76,642 shares)
DC Investments Management, LLC exited Mcgrath Rentcorp (was $2,079,975, 17,937 shares)
DC Investments Management, LLC exited National Storage Affiliates (was $3,359,238, 105,009 shares)
DC Investments Management, LLC exited PAR Pac Holdings Inc (was $7,987,493, 301,074 shares)
DC Investments Management, LLC exited Willscot Hldgs Corp (was $5,318,121, 194,092 shares)
DC Investments Management, LLC opened a $5,763,748 position in Unitedhealth Group Inc (16,692 shares)
DC Investments Management, LLC reduced Taboola.com Ltd 763,848 -> 534,445 shares ($2,795,684 -> $1,822,457)
DC Investments Management, LLC reported $239,927,206 across 104 13(f) positions for the quarter ended 2025-06-30
DC Investments Management, LLC reduced Calix Inc 229,372 -> 76,642 shares ($8,128,944 -> $4,076,588)
DC Investments Management, LLC exited Ingles Mkts Inc (was $2,821,692, 43,324 shares)
DC Investments Management, LLC increased Asml Holding N V 2,800 -> 6,101 shares ($1,855,364 -> $4,889,280)
DC Investments Management, LLC increased Willscot Hldgs Corp 123,530 -> 194,092 shares ($3,434,134 -> $5,318,121)
DC Investments Management, LLC increased Vanguard Intl Equity Index F 361,904 -> 667,054 shares ($41,962,769 -> $85,729,780)