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Twin Tree Management, LP

Position in LW — Lamb Weston Holdings, Inc.

CIK 1535588 DALLAS, TX

Position in LW

as of Mar 31, 2026 · filed May 14, 2026
Position Value
$0
-$2,306,966 QoQ
Shares Held
0
-100.0% QoQ
Ownership
0.000%
of shares outstanding
% of Portfolio
0.00%
of 13F equity value
Holder Rank
not a current holder
Holding Since
Mar 2020
18 quarters on record

Common Shares in LW Over Time

Shares Held

Position Value (USD)

Derivatives in LW

reported options exposure · as of Mar 31, 2026
CallValue
$8,232,248
CallShares
194,800
PutValue
$2,100,322
PutShares
49,700

Notional value of option positions as reported on Form 13F. Calls and puts are disclosed separately and do not net against the common-share stake above.

Position in Packaged Foods

Consumer Defensive · as of Mar 31, 2026

Twin Tree Management, LP holds $4,150,431 across 5 Packaged Foods names.

# Ticker Company Shares Value (USD) Open

All Filings in LW

Export CSV
34 filing rows on record
Report Date Value (USD) Shares
2026-03-31 $8,232,248 194,800
2026-03-31 $2,100,322 49,700
2025-12-31 $9,626,322 229,800
2025-12-31 $2,306,966 55,072
2025-12-31 $3,527,138 84,200
2025-09-30 $11,116,512 191,400
2025-09-30 $11,825,088 203,600
2025-06-30 $2,998,329 57,827
2025-06-30 $1,954,745 37,700
2025-06-30 $5,833,125 112,500
2025-03-31 $12,024,480 225,600
2025-03-31 $4,157,026 77,993
2025-03-31 $3,933,540 73,800
2024-12-31 $11,750,919 175,833
2024-12-31 $20,770,764 310,800
2024-12-31 $7,598,571 113,700
2024-09-30 $16,774,134 259,100
2024-09-30 $8,092,500 125,000
2024-03-31 $11,707,647 109,900
2024-03-31 $35,804,733 336,100
2023-06-30 $7,196,674 62,607
2022-12-31 $3,041,814 34,040
2022-03-31 $18,116,784 302,400
2022-03-31 $5,654,545 94,384
2022-03-31 $856,713 14,300
2021-12-31 $2,636,481 41,598
2021-09-30 $3,430,583 55,900
2021-09-30 $3,983,833 64,915
2021-06-30 $122,764 1,522
2021-06-30 $1,008,250 12,500
2020-12-31 $3,984,244 50,600
2020-09-30 $915,122 13,809
2020-06-30 $1,739,791 27,214
2020-03-31 $21,298 373