Marathon Asset Management 13F, Q1 2026

Marathon Asset Management · quarter ending 31 March 2026 · filed 15 May 2026 · SEC CIK 1279913

$11.38M
Filed US book
2
Positions
72.2%
Largest position

Common stock only: shares the fund reported owning at the quarter end, valued as filed. The filing also lists 1 put and call lines, reported at the value of the underlying shares; they are not ownership and are not in these totals.

Largest positions, Q1 2026

Weights are against the whole filed book. Changes are in shares held, against the Q4 2025 filing.

CompanyTickerValue% of bookvs Q4 2025
GRAFTECH INTL LTD SR NTEAF$8.21M72.2%-9% shares
JOHN HANCOCK EXCHANGE TRADEDJHHY$3.17M27.8%unchanged

What changed since Q4 2025

Against the Q4 2025 filing, Marathon Asset Management opened 0 new positions, added to 0, trimmed 1, left 1 unchanged and exited 10. Every position is compared, matched on its CUSIP; a change of 2% or less in shares counts as unchanged.

New positions

No new positions this quarter.

Exited

  • SPYwas $24.22M
  • UNHwas $2.87M
  • PYPLwas $2.63M
  • IBITwas $2.23M
  • JDwas $2.14M
  • CABO 0 03/15/26was $1.97M
  • BABAwas $1.70M
  • OSCRwas $1.44M

and 2 more

Added to

No position was increased by more than 2%.

Trimmed

Other quarters

Source: SEC Form 13F-HR, accession 0001493152-26-023720, filed by MARATHON ASSET MANAGEMENT LP. Values are as filed and cover US-listed positions only; a 13F does not show short positions or holdings outside the US. A 13F may be filed up to 45 days after the quarter ends, so the fund may have traded since. Educational information, not financial advice.