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Institutional

Adalta Capital Management LLC

CIK 0001698926
$209.1M
Reported AUM
97
Positions
Q1 2026
Period
2026-05-18
Filed

The Brief · Adalta Capital Management LLC · Q1 2026

AI · grounded in 13F

Adalta Capital Management LLC increased its position in Micron Technology, Inc. MU by 384.67%. The fund established new positions in Landbridge Co LLC Class A LB for $779,229 and WaterBridge Infrastructure LLC for $659,704. Simultaneously, the manager reduced holdings in Microsoft Corporation MSFT by 12.72% and Alphabet Inc. Class A GOOGL by 11.17%.

Portfolio · Q1 2026

MSFT$14.6MJPM$14.0MGOOGL$11.0MMRK$10.7MBN$10.7MBX$10.0MHD$9.6MUNP$8.2MQCOM$6.9MPFX$6.9MAXP$6.8MGH$5.7MOther$94.0MAL

Top holdings

QoQ vs Q4 2025

#TickerIssuerValue% of bookΔ shares (QoQ)Status
1MSFTMicrosoft Corporation$14.6M6.99%-5,754-12.7%
2JPMJPMorgan Chase & Co$14.0M6.70%-70-0.1%
3GOOGLAlphabet Inc. Class A$11.0M5.28%-4,830-11.2%
4MRKMerck & Co. Inc.$10.7M5.13%-989-1.1%
5BNBrookfield Corp F Class A$10.7M5.13%-1,393-0.5%
6BXBlackstone Group Inc$10.0M4.77%-670-0.8%
7HDHome Depot$9.6M4.59%-10-0.0%
8UNPUnion Pacific Corp.$8.2M3.91%HELD
9QCOMQualcomm Inc.$6.9M3.29%-2,454-4.4%
10PFXPhenixFIN Corporation$6.9M3.28%HELD
11AXPAmerican Express Co.$6.8M3.26%-740-3.2%
12GHGuardant Health, Inc.$5.7M2.72%-1,815-2.9%
13MKLMarkel Group Inc.$5.3M2.54%+43+1.6%
14ACGLArch Capital Group Ltd$5.2M2.48%-1,110-2.0%
15MELIMercadolibre Inc$4.6M2.20%+529+24.8%
16WYWeyerhaeuser Co REIT$4.3M2.04%+7,100+4.2%
17JNJJohnson & Johnson$4.2M2.00%-125-0.7%
18GOOGAlphabet Inc. Class C$3.6M1.71%+345+2.9%
19BRK/BBerkshire Hathaway Class B$3.5M1.65%+10+0.1%
20FNVFranco-Nevada Corp$3.4M1.65%+188+1.4%
21SOSouthern Company$3.2M1.52%HELD
22DUKDuke Energy Corp$2.9M1.41%+250+1.1%
23NUNu Holdings Ltd.$2.5M1.21%-7,225-3.9%
24CSCOCisco Systems, Inc.$2.4M1.15%HELD
25SLBSLB$2.3M1.09%+7,700+21.3%
26BWXTBWX Technologies Inc$2.2M1.04%+140+1.3%
27AAPLApple Inc.$1.9M0.91%-200-2.6%
28CVXChevron Corp.$1.9M0.89%HELD
29DHRDanaher Corp$1.7M0.81%+340+4.0%
30CPNGCoupang, Inc.$1.7M0.79%+1,335+1.5%
31BRWSaba Capital Income & Opportunities Fund$1.6M0.78%+14,885+6.6%
32BABoeing$1.6M0.75%-100-1.3%
33CNICanadian National Railway Co.$1.4M0.67%HELD
34BAMBrookfield Asset Management Ltd.$1.4M0.67%-10,707-25.4%
35XOMExxonMobil Corp$1.4M0.66%HELD
36MUMicron Technology, Inc.$1.2M0.59%+2,885+384.7%
37BXMTBlackstone Mortgage Trust$1.2M0.58%-829-1.3%
38BMYBristol-Myers Squibb$1.1M0.54%-50-0.3%
39EQTEQT Corporation$1.1M0.54%+3,750+26.9%
40BTIBritish American Tobacco ADR$1.0M0.49%+1,605+10.3%
41TPLTexas Pacific Land Corp$947K0.45%+670+50.6%
42LLYEli Lilly & Company$928K0.44%+183+22.2%
43EDConsolidated Edison$890K0.43%-100-1.3%
44HSYHershey Co$858K0.41%+895+27.7%
45HONHoneywell International Inc.$820K0.39%+2,015+125.1%
46OPCHOption Care Health Inc$819K0.39%+9,525+45.6%
47LBLandbridge Co LLC Class A$779K0.37%+11,285NEW
48CLColgate-Palmolive Co$751K0.36%HELD
49BEPBrookfield Renewable LP$734K0.35%HELD
50DDominion Resources, Inc$729K0.35%+100+0.9%
51PMPhilip Morris International Inc.$707K0.34%HELD
52AMRZAmrize Ltd$703K0.34%+1,680+15.4%
53ENBEnbridge Inc$693K0.33%HELD
54WBIWaterBridge Infrastructure LLC$660K0.32%+24,625NEW
55PCGPG&E Corporation$643K0.31%HELD
56WRBW. R. Berkley Corporation$598K0.29%-3,685-29.0%
57MLMMartin Marietta Matr$598K0.29%HELD
58CEFSSaba Closed End Funds ETF$589K0.28%HELD
59KMBKimberly-Clark Corp$587K0.28%HELD
60EIXEdison International$585K0.28%HELD
61EPDEnterprise Products Partners L.P.$555K0.27%HELD
62PGProcter & Gamble$545K0.26%HELD
63DEDeere & Co$520K0.25%HELD
64USFRWisdomTree Floating Rate Treasury Fund$478K0.23%-6,505-40.7%
65KOCoca-Cola Company$431K0.21%HELD
66RSPAInvesco S&P 500 Equal Weight Income Advantage ETF$400K0.19%+8,000NEW
67AMATApplied Materials$391K0.19%HELD
68BINCiShares Flexible Income Active ETF$379K0.18%+7,300NEW
69SLQDiShares 0-5 Year Investment Grade Corporate Bond ETF$333K0.16%-1,200-15.4%
70EFAAInvesco MSCI EAFE Income Advantage ETF$316K0.15%+6,000NEW
71UTFCohen & Steers Infrastructure Fund$282K0.13%HELD
72CMCCommercial Metals Co$280K0.13%HELD
73DLYDoubleLine Yield Opportunities Fund$274K0.13%+6,684+51.4%
74VNOMViper Energy Inc New Class A$267K0.13%+5,680NEW
75WMBThe Williams Companies, Inc.$263K0.13%HELD
76RTXRaytheon Technologies Co$251K0.12%HELD
77PPure Storage, Inc.$243K0.12%+4,110NEW
78GRABGrab Holdings Ltd.$241K0.12%-35,000-34.7%
79CWCurtiss Wright Corp$240K0.11%+352NEW
80WIPSPDR FTSE International Government Inflation-Protected Bond ETF$238K0.11%+6,000NEW
81BEPCBrookfield Renewable Corp$228K0.11%-27-0.5%
82GNRCGenerac Holdings Inc$211K0.10%+1,080NEW
83VWOBVanguard Emerging Markets Government Bond ETF$200K0.10%HELD
84MWAMueller Water Products, Inc.$199K0.10%+7,225NEW
85GRNBVanEck Green Bond ETF$198K0.09%HELD
86SNOWSnowflake Inc.$195K0.09%HELD
87ABBVAbbvie Inc$195K0.09%HELD
88LLoews Corp$181K0.09%-300-15.0%
89AMZNAmazon Com Inc$177K0.08%-120-12.4%
90INTCIntel Corp$177K0.08%+4,000NEW
91ISRGIntuitive Surgical$173K0.08%HELD
92JEPIJPMorgan Equity Premium Income ETF$170K0.08%-2,000-40.0%
93PGXInvesco Preferred ETF$159K0.08%+3,000+25.9%
94COSTCostco Wholesale Co$135K0.06%-15-10.0%
95STIPiShares 0-5 Year TIPS Bond ETF$103K0.05%-3,060-75.4%
96ATAIAtaiBeckley Inc$39K0.02%+10,973NEW
97TICTIC Solutions, Inc.$13K0.01%-41,500-95.4%
98SPSBState Street SPDR Portfolio Short Term Corporate Bond ETF-14,543EXITED
99BSCSInvesco BulletShares 2028 Corporate Bond ETF-21,290EXITED
100IBDTiShares iBonds December 2028 Term ETF-17,180EXITED
101BGBBlackstone Strategic Credit 2027 Term Fund-10,000EXITED

Source: SEC EDGAR · accession 0001698926-26-000002. 13F discloses long positions only — shorts, foreign equities, and options are excluded.