Data as of Q4 2025 (Dec 31, 2025)

Two Seas Capital LP

โ€ขCIK: 1823138โ€ขFiling: Q4 2025

Two Seas Capital LP, managed by the seasoned duo of John Griffin and Yale professor Michaeli, maintains a concentrated portfolio with a heavy emphasis on SPY, holding 57.8% of its $4.4 billion AUM. Recently, the fund has made notable shifts by adding MSOS and SATS significantly, while cutting CRWV and CLMT by 79%, reflecting a strategic pivot towards growth-oriented sectors.

Total AUM
$1.3B
+ $3.1B in options
QoQ Performance
-22.9%
Positions
24
+ 7 options
Top 10 Concentration
86.0%
Latest Filing
Q4 2025

Top Holdings Allocation

SPY
IWM
SPY57.8%
IWM5.9%
ROIV4.9%
INDV4.2%
TLN3.4%
CORZ2.8%
HUT1.8%
SHC1.8%

๐Ÿ“ˆ Biggest Buys

HUTCALL
HUT 8 CORP
NEW
1.8% of portfolio
IBITPUT
ISHARES BITCOIN TRUST ETF
NEW
1.4% of portfolio
TLN
TALEN ENERGY CORP
+46.9%
3.4% of portfolio
NKTR
NEKTAR THERAPEUTICS
NEW
0.7% of portfolio
SHC
SOTERA HEALTH CO
+30.8%
1.8% of portfolio

๐Ÿ“‰ Biggest Sells

SPYPUT
SPDR S&P 500 ETF TR
-36.1%
57.8% of portfolio
INDV
INDIVIOR PLC
-51.4%
4.2% of portfolio
CORZCALL
CORE SCIENTIFIC INC NEW
-44.8%
2.8% of portfolio
IWMPUT
ISHARES TR
-27.6%
5.9% of portfolio
CLMTCALL
CALUMET INC
-80.5%
0.5% of portfolio

Sector Breakdown

ETF57.8%
Other42.0%
Technology0.2%

๐Ÿšช Exited Positionssold since Q3 2025

โ€”
AVADEL PHARMACEUTICALS PLC
SOLD
$82.0M
PCG
PG&E CORP
SOLD
$28.8M
BUR
BURFORD CAP LTD
SOLD
$19.2M
โ€”
BITDEER TECHNOLOGIES GROUP
SOLD
$7.7M
BSFA
ANI PHARMACEUTICALS INC
SOLD
$2.4M
+1 more exited positions

Changes from Q3 2025

NEW3 new positions
โ†‘14 increased
โ†“12 decreased

Historical Filings

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