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CHURCHILL MANAGEMENT Corp Current Holdings: USA Other Stocks

CHURCHILL MANAGEMENT Corp current holdings: USA Other Stocks

CHURCHILL MANAGEMENT Corp reported $0.02 billion in shares no fund filing gives a ticker for, so this site has no page for them (listed in the US), 20 positions, in its Form 13F for the quarter ended 2025-06-30; the largest are CARNIVAL CORP PAIRED CTF1 COM, TALEN ENERGY CORP COM, AMERICAN GREEN GROUP INC COM N.

  • CARNIVAL CORP PAIRED CTF1 COM: Country of operation —; Class COM; Shares 562,296; Value $15,811,755.
  • TALEN ENERGY CORP COM: Country of operation United States; Class COM; Shares 10,800; Value $3,140,316.
  • AMERICAN GREEN GROUP INC COM N: Country of operation —; Class COM; Shares 87,500; Value $0.
  • ARCADIA RES INC COM: Country of operation —; Class COM; Shares 364,150; Value $0.

Form 13F-HR as filed (SEC CIK 1094749): quarter ended 2025-06-30, filed 2025-07-18. The manager files one row per sub-manager; rows for the same security, class and put/call are added together.

StockCountry of operationClassSharesValueQuarter endFiled
CARNIVAL CORP PAIRED CTF1 COM
CUSIP 143658300
COM562,296$15,811,7552025-06-302025-07-18
TALEN ENERGY CORP COM
CUSIP 87422J105
United StatesCOM10,800$3,140,3162025-06-302025-07-18
AMERICAN GREEN GROUP INC COM N
CUSIP 02639T200
COM87,500$02025-06-302025-07-18
ARCADIA RES INC COM
CUSIP 039209101
COM364,150$02025-06-302025-07-18
ASPIRE INTL INC COM
CUSIP 04537N103
COM10,000$02025-06-302025-07-18
BALTIA AIR LINES INC COM
CUSIP 058823105
COM65,000$02025-06-302025-07-18
ENERGULF RES INC COM
CUSIP 29266X105
COM24,950$02025-06-302025-07-18
ENTERTAINMENT SHS
CUSIP 738ESC995
COM80,000$02025-06-302025-07-18
EXELED HLDGS INC COM
CUSIP 30162U104
COM500,000$02025-06-302025-07-18
FIRSTPLUS FINL GROUP INC COM
CUSIP 33763B103
COM177,000$02025-06-302025-07-18
IBIZ TECHNOLOGY CORP NEW
CUSIP 45103B205
COM15,000$02025-06-302025-07-18
INTERNATIONAL GOLD RES INC COM
CUSIP 45956C201
COM17,150$02025-06-302025-07-18
LEH.BROS.HOLD.INC.
CUSIP 524ESC100
COM28,462$02025-06-302025-07-18
NEWPORT DIGITAL TECH INC COM
CUSIP 651833105
COM10,000$02025-06-302025-07-18
NUTRIPURE BEVERAGES INC COM NE
CUSIP 67074A206
COM100,000$02025-06-302025-07-18
Paratek Pharmaceuticals Inc SH
CUSIP 699CVR031
United StatesCOM10,000$02025-06-302025-07-18
SIMBA ESSEL ENERGY INC COM
CUSIP 82857V103
COM25,000$02025-06-302025-07-18
VALENTINE BEAUTY INC COM
CUSIP 91912D107
COM10,000$02025-06-302025-07-18
VAPOR GROUP INC COM
CUSIP 922101100
COM150,000$02025-06-302025-07-18
VIRTUAL ED LINK INC RESTRICTED
CUSIP 92826J990
COM120,000$02025-06-302025-07-18

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