Park West Asset Management LLC
Q1 2026 13F Holdings
- Locationsan francisco, CA
- Num holdings
52
- Value ($000)
$1,178,179
- Date Filed 05/15/2026
- Form type13F-HR
- CIK 0001386928
- All SEC filings
- NoteHoldings aggregated across “other managers” listed in original SEC filing, see here for detailed holdings broken out by other managers
Compare Q1 2026 toSelect Quarter
Issuer Name | Class | CUSIP | VALUE | % | Shares | Principal | Option Type |
|---|---|---|---|---|---|---|---|
ALPHABET INC | CAP STK CL A | 02079K305 | $81.95M | 7 % | 285,000 | ||
AMAZON COM INC | COM | 023135106 | $77.26M | 7 % | 370,970 | ||
FLEXTRONICS INTL LTD | ORD | Y2573F102 | $64.9M | 6 % | 991,497 | ||
MKS INC. | COM | 55306N104 | $57.28M | 5 % | 249,240 | ||
HEALTHEQUITY INC | COM | 42226A107 | $52.08M | 4 % | 623,156 | ||
PRIMO BRANDS CORPORATION | CLASS A COM SHS | 741623102 | $51.12M | 4 % | 2,714,892 | ||
BROOKDALE SR LIVING INC | COM | 112463104 | $48.93M | 4 % | 3,576,625 | ||
PORCH GROUP INC | COM | 733245104 | $36.55M | 3 % | 5,097,192 | ||
COGENT COMM HOLDINGS INC | COM NEW | 19239V302 | $36.46M | 3 % | 1,935,201 | ||
OPENLANE INC | COM | 48238T109 | $36.32M | 3 % | 1,245,863 |
Rows Per Page
10
- 10
- 50
- 100