Situational Awareness LP, the AI-infrastructure-focused hedge fund managed by Leopold Aschenbrenner, reported a $5.52 billion equity portfolio as of December 31, 2025, with concentrated exposure to power-generation and semiconductor names such as Bloom Energy and Intel call options. This positioning reflects the manager’s thesis on energy and compute bottlenecks as AI training scales, driving recent AUM growth from roughly $225 million in seed capital. Traders monitoring the upcoming 13F for holdings as of March 31, 2026—due by the May 15 deadline—assess potential additions through share-price momentum in aligned sectors including nuclear, grid infrastructure, and data-center equipment. The fund’s historically high-conviction, concentrated style, rather than broad diversification, shapes market-implied odds around new or expanded positions.
Polymarketデータを参照したAI生成の実験的な要約。これは取引アドバイスではなく、このマーケットの解決方法には一切関係ありません。 · 更新日$122 Vol.
Constellation Energy
12%
Eaton
8%
GE Vernova
12%
MARA Holdings
9%
Micron
50%
Oklo
7%
Qualcomm
50%
TeraWulf
7%
Vertiv
19%
Vistra Energy
12%
$122 Vol.
Constellation Energy
12%
Eaton
8%
GE Vernova
12%
MARA Holdings
9%
Micron
50%
Oklo
7%
Qualcomm
50%
TeraWulf
7%
Vertiv
19%
Vistra Energy
12%
A "new position" refers to a position appearing in the relevant 13F-HR filing that did not appear in the immediately preceding 13F-HR filing submitted by Situational Awareness LP. A position that was not disclosed in the immediately preceding 13F-HR filing for any reason, including confidential treatment, will be considered a new position if it appears in the relevant 13F-HR filing.
Long common stock holdings and long call option positions in the specified stock reported in the relevant 13F-HR filing will qualify. Short positions, put option positions, and other bearish positions will not qualify.
The relevant filing for this market is the 13F-HR filing reflecting holdings as of March 31, 2026. Amendments (13F-HR/A) filed after the initial 13F-HR submission will not be considered.
The standard SEC filing deadline for this report is May 15, 2026.
If Situational Awareness LP does not file the relevant 13F-HR with the SEC by June 30, 2026, 11:59 PM ET, this market will resolve to "No".
The resolution source for this market is Situational Awareness LP's SEC EDGAR filing page (https://www.sec.gov/edgar/browse/?CIK=2045724).
マーケット開始日: May 13, 2026, 12:35 PM ET
Resolver
0x65070BE91...A "new position" refers to a position appearing in the relevant 13F-HR filing that did not appear in the immediately preceding 13F-HR filing submitted by Situational Awareness LP. A position that was not disclosed in the immediately preceding 13F-HR filing for any reason, including confidential treatment, will be considered a new position if it appears in the relevant 13F-HR filing.
Long common stock holdings and long call option positions in the specified stock reported in the relevant 13F-HR filing will qualify. Short positions, put option positions, and other bearish positions will not qualify.
The relevant filing for this market is the 13F-HR filing reflecting holdings as of March 31, 2026. Amendments (13F-HR/A) filed after the initial 13F-HR submission will not be considered.
The standard SEC filing deadline for this report is May 15, 2026.
If Situational Awareness LP does not file the relevant 13F-HR with the SEC by June 30, 2026, 11:59 PM ET, this market will resolve to "No".
The resolution source for this market is Situational Awareness LP's SEC EDGAR filing page (https://www.sec.gov/edgar/browse/?CIK=2045724).
Resolver
0x65070BE91...Situational Awareness LP, the AI-infrastructure-focused hedge fund managed by Leopold Aschenbrenner, reported a $5.52 billion equity portfolio as of December 31, 2025, with concentrated exposure to power-generation and semiconductor names such as Bloom Energy and Intel call options. This positioning reflects the manager’s thesis on energy and compute bottlenecks as AI training scales, driving recent AUM growth from roughly $225 million in seed capital. Traders monitoring the upcoming 13F for holdings as of March 31, 2026—due by the May 15 deadline—assess potential additions through share-price momentum in aligned sectors including nuclear, grid infrastructure, and data-center equipment. The fund’s historically high-conviction, concentrated style, rather than broad diversification, shapes market-implied odds around new or expanded positions.
Polymarketデータを参照したAI生成の実験的な要約。これは取引アドバイスではなく、このマーケットの解決方法には一切関係ありません。 · 更新日
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