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GRS Advisors, LLC

OtherOther

AUM: $1.1T·31 positions·Q4 2025

Filed: Feb 17, 2026

CIK: 0001544554

GRS Advisors, LLC is a Other fund managing $1068351.4 trillion in assets. The fund runs a portfolio of 31 positions.

Top 10 Holdings

#StockValue% Port.Chg
1
EQIX
$80.5T7.2%+29.9%▲▲
2
OUT
$79.2T7.1%+33.2%▲▲
3
WH
$68.5T6.1%
4
RHP
$68.0T6.1%+40.7%▲▲
5
CCI
$61.6T5.5%-46.5%
6
CTRE
$60.0T5.4%+7.0%
7
AHR
$54.8T4.9%-21.4%
8
LINE
$53.0T4.8%+37.1%▲▲
9
SBAC
$51.1T4.6%
10
REGNEW
$47.9T4.3%

Notable Moves

New Positions

$47.9T (4.3%)
$39.5T (3.5%)
$38.0T (3.4%)
$33.9T (3.0%)
$33.2T (3.0%)
$23.6T (2.1%)

Exits & Heavy Cuts

-52% · $25.3T
-85% · $2.5T
-97% · $2.0T
-94% · $1.3T
-94% · $1.2T

Fund Analysis

Fund analysis is being prepared.

All Holdings

Sort:
#StockValue% Port.Chg
1
EQIX
$80.5T7.2%+29.9%
2
OUT
$79.2T7.1%+33.2%
3
WH
$68.5T6.1%
4
RHP
$68.0T6.1%+40.7%
5
CCI
$61.6T5.5%-46.5%
6
CTRE
$60.0T5.4%+7.0%
7
AHR
$54.8T4.9%-21.4%
8
LINE
$53.0T4.8%+37.1%
9
SBAC
$51.1T4.6%
10
REGNEW
$47.9T4.3%
11
DBRGNEW
$39.5T3.5%
12
CPTNEW
$38.0T3.4%
13
CURB
$37.1T3.3%-33.4%
14
PRSU
$36.4T3.3%+37.1%
15
FRT
$34.8T3.1%-47.3%
16
MTHNEW
$33.9T3.0%
17
MACNEW
$33.2T3.0%
18
UDR
$32.9T2.9%
19
NCLH
$31.6T2.8%+1.8%
20
CDP
$29.0T2.6%+6.7%
21
VNO
$28.2T2.5%+7.2%
22
WELL
$27.1T2.4%+9.1%
23
HIW
$25.3T2.3%-52.0%
24
RKTNEW
$23.6T2.1%
25
SKT
$23.2T2.1%-41.1%
26
VTR
$2.9T0.3%0.0%
27
DLR
$2.5T0.2%-84.6%
28
INVH
$2.4T0.2%+9.3%
29
GLPI
$2.1T0.2%0.0%
30
CUBE
$2.0T0.2%0.0%
31
MTN
$2.0T0.2%-96.7%
32
JLL
$1.3T0.1%-93.7%
33
CBRE
$1.2T0.1%-93.7%

Showing 33 of 33 positions

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Stocks in Common

Most Crowded Holdings

EQIX
held by 1179 of top 20096.7% institutional
CCI
held by 1021 of top 20097.7% institutional
SBAC
held by 677 of top 20098.0% institutional
NCLH
held by 642 of top 20093.8% institutional

Holdings reflect 13F filings with the SEC — quarterly disclosures required of institutional managers with $100M+ in AUM. Positions are as of quarter-end and may have changed significantly since filing. See full disclaimer.