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MACKAY SHIELDS LLC 13F 持仓明细(2026-03-31) · 小隐寺数据中心
MACKAY SHIELDS LLC
报告期 2026-03-31 · CIK 0000061227
持仓数
111
前50大市值合计
$2.13B
报告期
2026-03-31
当前持仓
调仓
组合演变
前 6 大持仓 + 其他 逐季市值($B) · 点图或下方季度看该季调仓
看某季调仓:
26Q1
25Q4
25Q3
25Q2
25Q1
24Q4
24Q3
24Q2
24Q1
23Q4
23Q3
23Q2
23Q1
22Q4
22Q3
22Q1
21Q4
21Q3
21Q2
25Q4 调仓
2025-09-30 → 2025-12-31 · 共 123 项
建仓 10
增持 7
减持 92
清仓 14
方向
标的
Δ市值
现股数(环比)
减持
—
HALOZYME THERAPEUTICS INC
-$52.3M
5,239,000
-90%
减持
—
NUTANIX INC
-$51.0M
4,534,000
-89%
减持
—
LUMENTUM HLDGS INC
+$42.9M
30,037,000
-1%
调仓由相邻两季 13F 持仓相减推导(非逐笔成交);方向按股数增减,Δ市值受股价波动影响、符号可与方向相反;13F 申报滞后最长 45 天。
减持
—
OSI SYSTEMS INC
-$40.6M
4,522,000
-86%
建仓
—
DATADOG INC
+$33.8M
33,802,000
建仓
—
LIVE NATION ENTERTAINMENT IN
+$31.3M
29,685,000
减持
—
SEAGATE HDD CAYMAN
-$29.0M
13,293,000
-48%
建仓
—
NUTANIX INC
+$28.6M
29,610,000
建仓
—
GUIDEWIRE SOFTWARE INC
+$27.7M
25,147,000
建仓
—
AFFIRM HLDGS INC
+$26.9M
24,259,000
减持
—
WESTERN DIGITAL CORP
+$24.9M
18,882,000
-2%
建仓
—
UPSTART HLDGS INC
+$22.1M
25,168,000
减持
—
IONIS PHARMACEUTICALS INC
-$21.9M
10,410,000
-63%
清仓
—
LUMENTUM HLDGS INC
-$21.9M
0
-100%
清仓
XNEAX
NUVEEN AMT FREE QLTY MUN INC
-$20.5M
0
-100%
减持
—
OIL STS INTL INC
-$17.2M
4,136,000
-81%
建仓
—
SYNAPTICS INC
+$17.1M
16,169,000
清仓
NVG
NUVEEN AMT FREE MUN CR INC F
-$14.3M
0
-100%
建仓
—
BILL HOLDINGS INC
+$13.9M
15,102,000
减持
NZF
NUVEEN MUNICIPAL CREDIT INC
-$13.6M
324,502
-77%
清仓
NAD
NUVEEN QUALITY MUNCP INCOME
-$12.4M
0
-100%
减持
—
ADVANCED ENERGY INDS
+$10.5M
44,638,000
-1%
减持
—
LUMENTUM HLDGS INC
+$9.5M
4,796,000
-2%
减持
—
GLOBAL PMTS INC
-$8.5M
17,619,000
-34%
减持
—
PG&E CORP
-$8.3M
51,451,000
-15%
减持
—
CONMED CORP
-$8.0M
6,973,000
-55%
减持
—
UBER TECHNOLOGIES INC
-$7.9M
42,644,000
-1%
减持
—
AKAMAI TECHNOLOGIES INC
-$7.6M
33,859,000
-22%
增持
—
LANTHEUS HLDGS INC
+$6.4M
56,714,000
+2%
减持
—
MKS INC.
+$5.9M
36,548,000
-2%
清仓
NAC
NUVEEN CA QUALTY MUN INCOME
-$5.9M
0
-100%
清仓
—
SHIFT4 PMTS INC
-$4.9M
0
-100%
清仓
—
PEBBLEBROOK HOTEL TR
-$4.9M
0
-100%
清仓
VOD
VODAFONE GROUP PLC NEW
-$4.3M
0
-100%
增持
—
SNOWFLAKE INC
+$4.3M
29,853,000
+13%
清仓
—
EATON VANCE NEW YORK MUN BD
-$4.2M
0
-100%
减持
—
RIVIAN AUTOMOTIVE INC
+$3.9M
18,581,000
-1%
清仓
—
EXACT SCIENCES CORP
-$3.7M
0
-100%
减持
—
BRIDGEBIO PHARMA INC
+$3.7M
28,678,000
-1%
增持
—
BANK AMERICA CORP
+$3.7M
20,927
+19%
减持
TALO
TALOS ENERGY INC
+$3.4M
3,008,435
-3%
减持
—
PARSONS CORP DEL
-$3.3M
26,133,000
-1%
增持
—
IRHYTHM TECHNOLOGIES INC
+$3.3M
32,682,000
+6%
减持
—
NORTHERN OIL & GAS INC
-$3.2M
30,023,000
-6%
减持
—
ALNYLAM PHARMACEUTICALS INC
-$3.1M
14,838,000
-2%
减持
—
POST HLDGS INC
-$3.0M
49,514,000
-1%
减持
—
TYLER TEX INDPT SCH DIST
-$3.0M
30,319,000
-1%
减持
—
APOLLO GLOBAL MGMT INC
+$2.9M
714,292
-1%
减持
—
MIRUM PHARMACEUTICALS INC
+$2.9M
25,532,000
-3%
减持
—
LIBERTY MEDIA CORP DEL
-$2.6M
34,036,000
-1%
减持
VKI
INVESCO ADVANTAGE MUN INCOME
-$2.6M
105,768
-74%
减持
—
BURLINGTON STORES INC
+$2.5M
20,379,000
-1%
减持
—
AMPHASTAR PHARMACEUTICALS IN
-$2.5M
8,733,000
-25%
减持
—
MERITAGE HOMES CORP
-$2.1M
36,370,000
-2%
减持
—
PATRICK INDS INC
-$2.0M
21,148,000
-9%
减持
—
FLUOR CORP
-$1.8M
26,298,000
-2%
减持
NRK
NUVEEN NEW YORK AMT QLT MUNI
-$1.7M
641,105
-20%
减持
—
HEWLETT PACKARD ENTERPRISE C
-$1.6M
597,863
-1%
减持
—
VERTEX INC
-$1.5M
18,123,000
-1%
减持
—
ETSY INC
-$1.5M
37,045,000
-1%
减持
—
NCL CORP LTD
-$1.4M
38,891,000
-1%
增持
—
AEROVIRONMENT INC
-$1.4M
10,210,000
+1%
减持
—
LIBERTY MEDIA CORP DEL
-$1.4M
29,575,000
-1%
减持
—
ON SEMICONDUCTOR CORP
+$1.4M
39,380,000
-1%
增持
—
TETRA TECH INC NEW
+$1.3M
59,623,000
+2%
减持
—
SHIFT4 PMTS INC
-$1.3M
39,492,000
-1%
减持
WBD
WARNER BROS DISCOVERY INC
-$1.3M
226,250
-43%
减持
—
CHEFS WHSE INC
+$1.3M
23,784,000
-1%
建仓
CWB
SPDR SERIES TRUST
+$1.2M
13,633
减持
—
WELLS FARGO CO NEW
-$1.1M
14,770
-4%
减持
GPOR
GULFPORT ENERGY CORP
-$1.1M
108,592
-17%
增持
—
CABLE ONE INC
-$1.1M
69,399,000
+3%
减持
VMO
INVESCO MUN OPPORTUNITY TR
-$1.0M
205,338
-33%
减持
—
Q2 HLDGS INC
-$987.4K
25,530,000
-1%
减持
—
INTEGER HLDGS CORP
-$969.5K
3,726,000
-6%
减持
—
JAZZ INVESTMENTS I LTD
+$939.5K
13,087,000
-2%
清仓
IQI
INVESCO QUALITY MUN INCOME T
-$935.7K
0
-100%
减持
—
LIVE NATION ENTERTAINMENT IN
-$921.6K
4,789,000
-2%
减持
—
MICROCHIP TECHNOLOGY INC.
-$895.8K
601,474
-1%
减持
—
BOEING CO
-$887.9K
830,097
-1%
减持
—
DROPBOX INC
-$883.8K
24,323,000
-1%
减持
BTT
BLACKROCK MUN TARGET TERM TR
-$761.4K
1,364,127
-4%
清仓
—
SOUTHERN CO
-$738.0K
0
-100%
减持
—
FRESHPET INC
+$707.1K
21,347,000
-1%
减持
—
NEXTERA ENERGY INC
+$684.3K
463,345
-0%
减持
—
EXPEDIA GROUP INC
+$615.0K
6,133,000
-1%
减持
VGM
INVESCO TR INVT GRADE MUNS
-$546.4K
308,543
-17%
减持
—
IMPINJ INC
-$537.9K
9,890,000
-1%
减持
—
CLOUDFLARE INC
-$536.2K
5,715,000
-2%
减持
—
WEC ENERGY GROUP INC
-$533.5K
5,334,000
-3%
减持
MFM
MFS MUN INCOME TR
-$490.4K
339,657
-22%
减持
—
QXO INC
-$467.2K
1,171,159
-1%
减持
—
CHEESECAKE FACTORY INC
-$459.6K
15,451,000
-2%
减持
—
SOUTHERN CO
-$402.5K
5,598,000
-2%
减持
—
BLACKLINE INC
-$369.5K
635,000
-37%
减持
KTF
DWS MUN INCOME TR NEW
-$358.6K
92,505
-29%
减持
—
HAEMONETICS CORP MASS
-$357.6K
8,498,000
-5%
减持
IAU
ISHARES GOLD TR
+$351.5K
475,000
-10%
减持
—
IONIS PHARMACEUTICALS INC
+$336.9K
2,768,000
-2%
减持
—
FIVE9 INC
-$300.5K
12,805,000
-4%
建仓
SECR
NEW YORK LIFE INVTS ACTIVE E
+$286.6K
11,136
减持
—
VAIL RESORTS INC
-$281.2K
5,408,000
-6%
减持
—
BENTLEY SYS INC
-$267.2K
4,346,000
-7%
减持
—
MGP INGREDIENTS INC NEW
-$249.0K
14,222,000
-3%
减持
—
RAPID7 INC
+$241.5K
12,790,000
-1%
减持
—
WORKIVA INC
-$209.1K
16,850,000
-1%
减持
XMYDX
BLACKROCK MUNIYIELD FD INC
-$204.7K
697,362
-2%
减持
—
BIOMARIN PHARMACEUTICAL INC
-$180.4K
34,655,000
-2%
减持
XMQTX
BLACKROCK MUNIYIELD QUALITY
-$162.7K
1,008,573
-2%
减持
—
PROGRESS SOFTWARE CORP
-$152.7K
28,642,000
-1%
减持
—
ARES MANAGEMENT CORPORATION
-$137.3K
473,045
-2%
减持
XMVFX
BLACKROCK MUNIVEST FD INC
-$133.0K
1,192,311
-3%
减持
—
TELADOC HEALTH INC
+$131.4K
15,194,000
-1%
减持
—
SPECTRUM BRANDS INC
-$122.9K
7,857,000
-3%
减持
—
GREENBRIER COS INC
-$111.6K
19,032,000
-1%
减持
XNQPX
NUVEEN PENNSYLVANIA QLT MUN
-$74.3K
229,220
-2%
清仓
—
BILL HOLDINGS INC
-$73.8K
0
-100%
清仓
—
NINE ENERGY SERVICE INC
-$73.5K
0
-100%
减持
—
DROPBOX INC
-$59.1K
5,630,000
-1%
减持
—
FORD MTR CO
+$58.8K
30,093,000
-2%
减持
—
DEXCOM INC
-$48.8K
36,913,000
-1%
减持
—
DUKE ENERGY CORP NEW
-$27.1K
500,000
-1%
减持
—
PPL CAP FDG INC
-$25.4K
500,000
-1%