First seen by DFX
Sep 13, 2026
date not stated
RBF Capital, LLC: PROBABLE_SFO -> CANDIDATE_FAMILY_OFFICE (a 13F filer on no adviser roster that files nothing but ownership forms, with 1 private foundation(s) at its own address holding $84,770,484: the shape of a single family office, unconfirmed (structural lead))
First seen by DFX
Sep 12, 2026
date not stated
RBF Capital, LLC: CANDIDATE_FAMILY_OFFICE -> PROBABLE_SFO (a 13F filer on no adviser roster that files nothing but ownership forms, with 1 private foundation(s) at its own address holding $77,611,418: the shape of a single family office (structural inference, no self-description found))
First seen by DFX
Sep 12, 2026
date not stated
RBF Capital, LLC files Form 13F (non_adviser_filer, $2,045,554,885 in 491 positions)
RBF Capital, LLC reported $2,045,554,885 across 491 13(f) positions for the quarter ended 2026-03-31
RBF Capital, LLC opened a $2,043,600 position in PDD Holdings Inc (20,000 shares)
RBF Capital, LLC reduced Ally Finl Inc 80,000 -> 25,000 shares ($3,623,200 -> $980,750)
RBF Capital, LLC opened a $4,672,360 position in Airbnb Inc (37,000 shares)
RBF Capital, LLC reduced Walmart Inc 152,822 -> 102,822 shares ($17,025,899 -> $12,778,718)
RBF Capital, LLC increased Amazon Com Inc 50,000 -> 65,000 shares ($11,541,000 -> $13,537,550)
RBF Capital, LLC increased Bumble Inc 517,506 -> 967,372 shares ($1,847,497 -> $3,153,633)
RBF Capital, LLC reduced Morgan Stanley 120,000 -> 12,000 shares ($21,187,200 -> $1,974,840)
RBF Capital, LLC opened a $2,351,360 position in PPG Inds Inc (22,000 shares)
RBF Capital, LLC opened a $6,697,824 position in Astronics Corp (100,372 shares)
RBF Capital, LLC reduced Live Nation Entertainment in 40,000 -> 30,000 shares ($5,700,000 -> $4,575,300)
RBF Capital, LLC opened a $5,318,033 position in Amcor Plc (133,787 shares)
RBF Capital, LLC reduced Hawaiian Elec Inds Inc Mtn B 270,000 -> 200,000 shares ($3,321,000 -> $2,968,000)
RBF Capital, LLC reduced Camping World Hldgs Inc 440,078 -> 220,000 shares ($4,281,959 -> $1,502,600)
RBF Capital, LLC reduced Victorias Secret and Co 40,000 -> 5,000 shares ($2,166,800 -> $231,800)
RBF Capital, LLC increased Marinemax Inc 80,420 -> 106,830 shares ($1,948,577 -> $2,890,820)
RBF Capital, LLC reduced FTI Consulting Inc 25,000 -> 9,000 shares ($4,270,750 -> $1,590,930)
RBF Capital, LLC reduced Lyell Immunopharma Inc 74,585 -> 44,094 shares ($2,295,726 -> $884,526)
RBF Capital, LLC reduced Masterbrand Inc 379,533 -> 140,000 shares ($4,190,044 -> $1,163,400)
RBF Capital, LLC increased Janus International Group in 1,049,184 -> 1,401,614 shares ($6,861,663 -> $7,218,312)
RBF Capital, LLC reduced Nabors Industries Ltd 48,053 -> 15,200 shares ($2,609,278 -> $1,308,112)
RBF Capital, LLC reduced Newell Brands Inc 860,000 -> 210,000 shares ($3,199,200 -> $720,300)
RBF Capital, LLC reduced SLB Limited 90,000 -> 50,000 shares ($3,454,200 -> $2,569,500)
RBF Capital, LLC exited ARM Holdings Plc (was $2,186,200, 20,000 shares)
RBF Capital, LLC exited The Cigna Group (was $2,752,300, 10,000 shares)
RBF Capital, LLC exited Oracle Corp (was $2,390,181, 12,263 shares)
RBF Capital, LLC exited Amcor Plc (was $6,055,382, 726,065 shares)
RBF Capital, LLC reduced Berkshire Hathaway Inc Del 65,000 -> 10,000 shares ($32,672,250 -> $4,792,000)
RBF Capital, LLC reduced Twilio Inc 23,000 -> 8,000 shares ($3,271,520 -> $1,006,560)
RBF Capital, LLC reduced Celanese Corp Del 98,000 -> 25,000 shares ($4,143,440 -> $1,644,250)
RBF Capital, LLC reduced Chemours Co 261,612 -> 122,000 shares ($3,084,405 -> $2,687,660)
RBF Capital, LLC reported $2,252,965,424 across 555 13(f) positions for the quarter ended 2025-12-31
RBF Capital, LLC opened a $2,064,928 position in Gildan Activewear Inc (33,060 shares)
RBF Capital, LLC opened a $4,270,750 position in FTI Consulting Inc (25,000 shares)
RBF Capital, LLC reduced Pitney Bowes Inc 200,000 -> 30,000 shares ($2,282,000 -> $317,100)
RBF Capital, LLC reduced Nvidia Corporation 60,000 -> 40,000 shares ($11,194,800 -> $7,460,000)
RBF Capital, LLC reduced Dell Technologies Inc 17,000 -> 7,000 shares ($2,410,090 -> $881,160)