Data as of Q4 2025 (Dec 31, 2025)

Main Management LLC

โ€ขCIK: 1583092โ€ขFiling: Q4 2025

**Main Management LLC** manages $1.4B across a diversified portfolio of 104 positions. The fund exhibits a clear focus on broad market exposure and sector rotation, evidenced by top holdings including SPY at $161.3M and BUYW at $115.1M. Significant allocations are directed toward defensive and cyclical sectors, notably XLF ($112.1M), XLV ($111.5M), and XLC ($106.5M). This structure suggests a tactical approach balancing core market beta with targeted sector overweighting.

Total AUM
$1.4B
QoQ Performance
+1.8%
Positions
85
Top 10 Concentration
72.9%
Latest Filing
Q4 2025

Top Holdings Allocation

SPY
BUYW
XLF
XLV
XLC
INTL
XLK
TMAT
SPY11.6%
BUYW8.3%
XLF8.1%
XLV8.0%
XLC7.7%
INTL7.5%
XLK7.0%
TMAT5.3%

๐Ÿ“ˆ Biggest Buys

XLK
TECHNOLOGY
+106.4%
7.0% of portfolio
XLF
FINANCIALS
+44.3%
8.1% of portfolio
XLY
CONSUMER DISCRETIONARY
+75.8%
4.3% of portfolio
XLV
HEALTH CARE
+27.3%
8.0% of portfolio
XLB
MATERIALS
NEW
1.3% of portfolio

๐Ÿ“‰ Biggest Sells

SMH
SEMICONDUCTORS
-89.5%
0.5% of portfolio
IGV
SOFTWARE
-72.6%
0.7% of portfolio
SPY
LARGE CAP CORE
-2.9%
11.6% of portfolio
OIH
OIL SERVICES
-32.6%
0.2% of portfolio
SUTXX
US TREASURY MONEY FUND
-9.6%
0.9% of portfolio

Sector Breakdown

Other88.3%
ETF11.7%

๐Ÿšช Exited Positionssold since Q3 2025

XLU
UTILITIES
SOLD
$15.1M
IWF
LARGE-CAP GROWTH
SOLD
$429.0K
TQQQ
ProShares UltraPro QQQ
SOLD
$354.0K
FLMX
MEXICO
SOLD
$48.0K
SSO
Ultra S&P500 Proshares
SOLD
$11.0K
+1 more exited positions

Changes from Q3 2025

NEW5 new positions
โ†‘34 increased
โ†“36 decreased

Historical Filings

Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023