Blue Pool Management Ltd.

Fundamental diversified ★Signal CIK 1675855
Long book
$2.5M
Q1 2026
Positions
1
Top-10 weight
100%
concentration
Last quarter
-12.3%
SPY +14.8%
Turnover
0%
of book per quarter

Strategy in plain words

auto-generated from filings

Blue Pool Management Ltd. is a diversified fundamental manager, running a $2.5M US long book across 1 positions.

The portfolio is extremely concentrated — the top 10 positions are almost the whole book. The book barely moves quarter to quarter — a patient, low-turnover holder. Current anchor positions: BLUE OWL TECHNOLOGY FINANCE.

Over the last 9 quarters its long book ran on average 1.7pp per quarter behind the S&P 500, beating the index in 3 of 9 quarters. We rate its filings as signal-bearing: position changes reflect genuine views.

Implied long-book return vs S&P 500

methodology: positions priced quarterly, no shorts/options
Fund long book S&P 500
Q1 2024
-0.1%
Q2 2024
+37.7%
Q3 2024
-11.3%
Q4 2024
+34.4%
Q1 2025
-12.8%
Q2 2025
-6.8%
Q3 2025
+8.2%
Q4 2025
-12.0%
Q1 2026
-12.3%

Sector allocation

Other
100%

Long book by quarter

$194.5M
Q1 2024
$190.6M
Q2 2024
$276.9M
Q3 2024
$244.9M
Q4 2024
$49.5M
Q1 2025
$9.6M
Q2 2025
$8.7M
Q3 2025
$9.1M
Q4 2025
$2.5M
Q1 2026

What does Blue Pool own?

Q1 2026 13F
CompanySectorSharesValue% of bookChange
OTF BLUE OWL TECHNOLOGY FINANCE198.6K$2.5M100.0%-68.3%

13F filing history

PeriodFormFiledEntriesReported valueFlagsSource
Q1 202613F-HRMay 15, 20261$2.5M canonicalSEC ↗
Q4 202513F-HRFeb 17, 20261$9.1M canonicalSEC ↗
Q3 202513F-HRNov 14, 20251$8.7M canonicalSEC ↗
Q2 202513F-HRAug 14, 20251$9.6M canonicalSEC ↗
Q1 202513F-HRMay 6, 20251$49.5M canonicalSEC ↗
Q4 202413F-HRFeb 14, 20253$244.9M canonicalSEC ↗
Q3 202413F-HRNov 14, 20243$276.9M canonicalSEC ↗
Q2 202413F-HRAug 14, 20242$190.6M canonicalSEC ↗
Q1 202413F-HRMay 15, 20242$194.5M canonicalSEC ↗