Maple Rock Capital Partners Inc.

Q1 2026 13F Holdings

  • Location
    toronto, A6
  • Num holdings

    44

  • Value ($000)

    $3,073,485

  • Date Filed
    05/15/2026
  • Form type
    13F-HR
  • CIK
    0001658363
  • All SEC filings
  • Note
    Holdings aggregated across “other managers” listed in original SEC filing, see here for detailed holdings broken out by other managers
Compare Q1 2026 to
Select Quarter
Issuer Name
Class
CUSIP
VALUE
%
Shares
Principal
Option Type
WDC

WESTERN DIGITAL CORP

COM
$378.8M
12 %

1,400,434

EQX

EQUINOX GOLD CORP

COM
$280.79M
9 %

19,424,648

STX

SEAGATE TECHNOLOGY HLDNGS PL

ORD SHS
$209.19M
7 %

533,985

CLF

CLEVELAND-CLIFFS INC NEW

COM
$175.3M
6 %

20,745,557

---

TFI INTL INC

COM
$147.94M
5 %

1,361,831

B7S

BROOKDALE SR LIVING INC

COM
$111.59M
4 %

8,157,148

---

SANDISK CORP

COM
$105.78M
3 %

166,500

BMTA

BRITISH AMERN TOB PLC

SPONSORED ADR
$92.91M
3 %

1,589,100

JD

JD.COM INC

SPON ADS CL A
$89.49M
3 %

3,026,262

LPX

LOUISIANA PAC CORP

COM
$80.94M
3 %

1,112,559

Rows Per Page
10
  • 10
  • 50
  • 100
1 - 10 of 44