Cross-fund · 1 holders
LCR
MANAGED PORTFOLIO SERIES
CUSIP 56167R606
1
Tracked holders
$651,161
Aggregate value
17,473
Shares
1
Active funds
Funds holding LCR
| Fund | Strategy | Period | Value | % of book | Δ shares | Status |
|---|---|---|---|---|---|---|
| Citadel | Multi-Strategy | Q1 2026 | $651,161 | — | +17,473 | NEW |
Aggregated from the latest 13F-HR per tracked fund (longs only). QoQ deltas compare against each fund's prior quarterly filing.