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Institutional

HANSEATIC MANAGEMENT SERVICES INC

CIK 0001128074
$104.5M
Reported AUM
80
Positions
Q1 2026
Period
2026-05-06
Filed

The Brief · HANSEATIC MANAGEMENT SERVICES INC · Q1 2026

AI · grounded in 13F

HANSEATIC MANAGEMENT SERVICES INC closed its position in BlackRock Flexible Income ETF BINC, reducing exposure by $4.59M. The fund also exited positions in NVIDIA Corp NVDA and iShares North Amer Tech-Soft IGV, which decreased holdings by $1.99M and $1.7M respectively. On the buy side, the fund established new positions in SPDR Portfolio Mid Cap ETF SPMD for $2.24M and TTM Technologies, Inc. TTMI for $2.14M. Additionally, the fund increased its stake in Coherent Corporation COHR by 151.2%.

Portfolio · Q1 2026

ICSH$12.3MSCHX$4.3MLITE$2.7MQQQM$2.6MXLU$2.3MSMH$2.3MSCHA$2.3MGLW$2.2MSPMD$2.2MGSEW$2.2MCOHR$2.2MTTMI$2.1MOther$64.6MHI

Top holdings

QoQ vs Q4 2024

#TickerIssuerValue% of bookΔ shares (QoQ)Status
1ICSHiShares Liquidity Income Fund$12.3M11.79%+52,989+27.8%
2SCHXSchwab U.S. Large-Cap ETF$4.3M4.16%+15,711+10.2%
3LITELumentum Holdings Inc.$2.7M2.56%-10,076-72.6%
4QQQMInvesco NASDAQ 100 ETF$2.6M2.48%-7,347-40.3%
5XLUSPDR Utilities Select$2.3M2.23%+28,900+131.9%
6SMHVanEck Vectors Semiconductor E$2.3M2.20%-1,283-17.6%
7SCHASchwab U.S. Small-Cap ETF$2.3M2.16%+10,456+15.6%
8GLWCorning Inc.$2.2M2.15%+7,865+90.8%
9SPMDSPDR Portfolio Mid Cap ETF$2.2M2.15%+37,901NEW
10GSEWGoldman Sachs Equal Weight US$2.2M2.15%+5,317+25.1%
11COHRCoherent Corporation$2.2M2.13%+5,614+151.2%
12TTMITTM Technologies, Inc.$2.1M2.05%+22,027NEW
13WDCWestern Digital Corp.$2.1M2.02%+7,814NEW
14IBKRInteractive Brokers Group$2.1M2.02%+24,104+329.6%
15XLPSPDR Cons Staples Slct$2.0M1.95%+6,629+36.3%
16CRSCarpenter Technology Corp$2.0M1.93%-675-11.6%
17FIDUFidelity Industrials Index ETF$2.0M1.92%+23,142NEW
18GEGE Aerospace$2.0M1.88%+366+5.6%
19MUMicron Technology Inc$1.8M1.72%+5,311NEW
20TPRTapestry, Inc.$1.8M1.68%+12,473NEW
21LASRNLIGHT, INC$1.7M1.66%+30,395NEW
22VSATViaSat, Inc.$1.6M1.52%+34,569NEW
23AMATApplied Materials Inc.$1.5M1.46%+4,462NEW
24WBDWarner Bros. Discovery, Inc.$1.5M1.45%+55,296NEW
25JBLJabil Inc.$1.5M1.44%+5,666NEW
26CIENCiena Corporation$1.5M1.40%+3,756NEW
27AAPLApple Inc.$1.4M1.37%+1,849+49.0%
28BEBloom Energy Corp.$1.4M1.34%+10,328NEW
29STIPiShares Barclays 0-5 Yr TIPS$1.4M1.33%+3,242+31.8%
30SPTISPDR Barclays Interm Term Trea$1.4M1.32%+12,554+35.4%
31FORMFormFactor Inc$1.3M1.28%+13,750NEW
32DARDarling Ingredients Inc.$1.3M1.27%+21,526NEW
33BARGraniteshares Gold Trust$1.3M1.22%+27,654NEW
34TSLATesla, Inc.$1.2M1.19%+349+11.6%
35GOOGAlphabet Inc. Class C$1.2M1.17%+4,246NEW
36AAAlcoa Corp$1.2M1.14%+17,958NEW
37FCXFreeport-McMoRan Inc.$1.2M1.11%+19,732NEW
38ASTSAST SpaceMobile, Inc. Class A$1.1M1.10%-12,571-47.6%
39SITMSiTime Corporation$1.1M1.07%-49-1.5%
40MDMednax, Inc.$1.1M1.03%-2,090-4.0%
41TEXTerex Corp.$1.1M1.03%+18,268NEW
42SATSEchoStar Corp.$1.0M1.00%+8,952NEW
43LINCLincoln Educational Srvcs$972K0.93%+23,901NEW
44DLTRDollar Tree, Inc.$950K0.91%+8,672NEW
45NTRANatera, Inc.$940K0.90%+3,700+370.7%
46AMKRAmkor Technology Inc$920K0.88%+20,432NEW
47UIUbiquiti Networks, Inc.$891K0.85%+744+193.8%
48KGSKodiak Gas Services Inc$859K0.82%+14,726NEW
49FIVEFive Below, Inc.$847K0.81%+3,706NEW
50OSISOSI Systems Inc.$788K0.75%+2,968NEW
51KRYSKrystal Biotech, Inc.$774K0.74%+2,997NEW
52CVSCVS Health Corporation$773K0.74%+10,768NEW
53LQDALiquidia Corporation$772K0.74%+20,468NEW
54NRGNRG Energy Inc$706K0.68%+3,587+288.3%
55VSCOVictoria's Secret & Co.$625K0.60%+13,491NEW
56VRTVertiv Holdings Co.$610K0.58%-17,956-88.1%
57MTZMasTec Inc$558K0.53%+1,735NEW
58LEUCentrus Energy Corp.$504K0.48%-3,433-54.2%
59MPMP Materials Corp.$482K0.46%+9,978NEW
60TRGPTarga Resources Corp.$398K0.38%+1,586NEW
61APHAmphenol Corp.$388K0.37%+1,822+145.9%
62ADIAnalog Devices Inc.$376K0.36%+1,181NEW
63GMGeneral Motors Company$374K0.36%+5,022NEW
64AMDAdvanced Micro Devices$369K0.35%+1,813NEW
65INTCIntel Corporation$366K0.35%+8,298NEW
66CAHCardinal Health Inc.$357K0.34%+1,690NEW
67KLACKLA Corporation$345K0.33%+234NEW
68BTSGBrightspring Health Ser, Inc.$331K0.32%+7,758NEW
69THCTenet Healthcare Corp$326K0.31%+1,726NEW
70AVGOBroadcom Limited$307K0.29%+487+96.6%
71DXPEDXP Enterprises Inc.$297K0.28%+2,128NEW
72VMIValmont Industries Inc$297K0.28%+490+193.7%
73DGDollar General Corp.$293K0.28%+2,471NEW
74PRPermian Resources Corp.$284K0.27%+13,309NEW
75UALUnited Airlines Holdings, Inc.$282K0.27%+2,035+197.4%
76LBRTLiberty Energy Inc.$279K0.27%+9,671NEW
77LUVSouthwest Airlines Co.$266K0.26%+7,091NEW
78STNGScorpio Tankers Inc.$242K0.23%+3,242NEW
79TQQQProShares UltraPro QQQ$240K0.23%+1,087+23.3%
80MSFTMicrosoft Corporation$234K0.22%+124+24.4%
81BINCBlackRock Flexible Income ETF-88,255EXITED
82NVDANVIDIA Corp-14,874EXITED
83IGViShares North Amer Tech-Soft-17,068EXITED
84ANFAbercrombie & Fitch Co.-10,976EXITED
85METAMeta Platforms, Inc.-2,759EXITED
86RDNTRadNet, Inc.-20,894EXITED
87KKRKKR & Co. Inc.-8,768EXITED
88PRIMPrimoris Services Corp.-16,917EXITED
89CRDOCredo Technology Group Holding-18,519EXITED
90SKYWSkyWest Inc.-12,172EXITED
91EMEEMCOR Group Inc.-2,627EXITED
92SOFISoFi Technologies, Inc.-72,453EXITED
93SFMSprouts Farmers Market, Inc.-8,641EXITED
94VIRTVirtu Financial, Inc. Class A-30,132EXITED
95TWLOTwilio Inc-9,656EXITED
96GDDYGoDaddy Inc. Class A-4,762EXITED
97TDAYGannett Co., Inc.-179,418EXITED
98NFLXNetflix Inc-994EXITED
99SMTCSemtech Corporation-14,085EXITED
100ITRIItron Inc.-7,547EXITED
101MMM3M Company-6,243EXITED
102HN9Hanesbrands, Inc.-84,887EXITED
103DUOLDuolingo, Inc. Class A Common-2,105EXITED
104VFCV.F. Corporation-31,405EXITED
105UTHRUnited Therapeutics Corp.-1,836EXITED
106SYU1Synovus Financial Corp-11,941EXITED
107TRUPTrupanion, Inc.-12,517EXITED
108TEAMAtlassian Corp-2,478EXITED
109FITBFifth Third Bancorp-13,084EXITED
110WSMWilliams-Sonoma Inc.-2,837EXITED
111YOUClear Secure, Inc.-16,751EXITED
112CDNACareDx, Inc.-17,277EXITED
113FNFFidelity National Fin Inc.-4,431EXITED
114POWLPowell Industries Inc.-1,118EXITED
115VRNSVaronis Systems, Inc.-5,296EXITED
116SPOTSPOTIFY TECHNOLOGY S.A.-432EXITED
117NEENextEra Energy, Inc.-2,044EXITED
118RCLRoyal Caribbean Cruises Ltd-550EXITED
119CVNACarvana Co-545EXITED
120MRVLMarvell Technology Grp-1,001EXITED
121AFRMAffirm Holdings, Inc.-1,797EXITED
122DOCUDOCUSIGN INC-1,130EXITED
123LPXLouisiana-Pacific Corp-935EXITED
124FICOFair Isaac Corp-47EXITED
125GWREGuidewire Software, Inc.-539EXITED
126WMTWalmart Inc.-1,001EXITED
127ADSKAutodesk Inc.-295EXITED
128BURLBurlington Stores, Inc.-295EXITED
129INCYIncyte Corp-1,110EXITED
130VTRVentas Inc.-1,298EXITED
131BWXTBWX Technologies, Inc.-685EXITED
132VISNCommScope Holding Company, Inc-13,885EXITED
133SCHGSchwab US LC Gwth ETF-1,775EXITED
134FIXComfort Systems USA-42EXITED
135IONQIonq, Inc.-418EXITED
136DAKTDaktronics, Inc.-994EXITED
137GKOSGlaukos Corporation-85EXITED
138AROCArchrock, Inc.-502EXITED
139TMHCTaylor Morrison Home Corp cl A-166EXITED
140AITApplied Industrial Tech-41EXITED
141AXGNAxogen, Inc.-535EXITED
142DVYiShares Select Dividend ETF-67EXITED
143CHEFChefs' Warehouse, Inc.-167EXITED
144EVEREVERQUOTE, INC.-406EXITED
145NNNextNav Inc.-503EXITED
146TARSTarsus Pharmaceuticals, Inc.-139EXITED
147UNFIUnited Natural Foods Inc.-265EXITED
148TPCTutor Perini Corporation-282EXITED
149RVLVRevolve Group, LLC.-203EXITED
150MIRMMirum Pharmaceuticals Inc-158EXITED
151LMNDLemonade Inc.-178EXITED
152HIMSHims & Hers-265EXITED
153HRIHerc Holdings, Inc.-33EXITED
154CENXCentury Aluminum Co.-334EXITED
155LELands' End, Inc.-460EXITED
156CRMDCorMedix Inc.-724EXITED
157NRIXNurix Therapeutics, Inc.-299EXITED
158LQDiShares iBoxx $ Inves Grd Corp-52EXITED
159VWOBVanguard EM Govt Bnd ETF-87EXITED
160UPSTUpstart Holdings, Inc.-88EXITED
161CSTLCastle Biosciences Inc.-203EXITED
162SPDR Barclays High Yield Bond-56EXITED
163MTRXMatrix Service Co.-416EXITED
164SMRNuscale Power Corp.-267EXITED
165VVVanguard Large-Cap ETF-5EXITED

Source: SEC EDGAR · accession 0001128074-26-000003. 13F discloses long positions only — shorts, foreign equities, and options are excluded.