DKP

Davidson Kempner Partners Portfolio holdings

AUM $4.02B
This Quarter Return
+6.85%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$4.02B
AUM Growth
Cap. Flow
+$3.12B
Cap. Flow %
77.66%
Top 10 Hldgs %
32.56%
Holding
366
New
313
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Consumer Discretionary 19.54%
2 Communication Services 12.6%
3 Financials 10.92%
4 Utilities 6.91%
5 Consumer Staples 6.62%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
FTNT icon
51
Fortinet
FTNT
$60.4B
$13.3M 0.26% +200,000 New +$13.3M
AHRN
52
DELISTED
Ahren Acquisition Corp. Class A Ordinary Shares
AHRN
$13M 0.25% +1,250,000 New +$13M
EOCW
53
DELISTED
Elliott Opportunity II Corp.
EOCW
$12.3M 0.24% +1,200,000 New +$12.3M
CTLT
54
DELISTED
CATALENT, INC.
CTLT
$12.2M 0.24% +185,000 New +$12.2M
TXRH icon
55
Texas Roadhouse
TXRH
$11.5B
$11.9M 0.23% +109,801 New +$11.9M
GMED icon
56
Globus Medical
GMED
$8.27B
$11.9M 0.23% +209,339 New +$11.9M
NOW icon
57
ServiceNow
NOW
$190B
$11.6M 0.23% +25,000 New +$11.6M
MTCH icon
58
Match Group
MTCH
$8.98B
$11.5M 0.22% +300,000 New +$11.5M
ENB icon
59
Enbridge
ENB
$105B
$11.4M 0.22% +300,000 New +$11.4M
WYNN icon
60
Wynn Resorts
WYNN
$13.2B
$11.2M 0.22% +100,000 New +$11.2M
LTH icon
61
Life Time Group Holdings
LTH
$6.14B
$11.1M 0.22% +695,431 New +$11.1M
BFAC
62
DELISTED
Battery Future Acquisition Corp.
BFAC
$10.4M 0.2% +1,000,000 New +$10.4M
RH icon
63
RH
RH
$4.23B
$10.3M 0.2% +42,183 New +$10.3M
CBRG
64
DELISTED
Chain Bridge I Class A Ordinary Shares
CBRG
$10.2M 0.2% +980,000 New +$10.2M
BKR icon
65
Baker Hughes
BKR
$44.8B
$10.1M 0.2% +350,000 New +$10.1M
GHIX
66
DELISTED
Gores Holdings IX, Inc. Class A Common Stock
GHIX
$10.1M 0.19% +1,000,000 New +$10.1M
LOCC
67
DELISTED
Live Oak Crestview Climate Acquisition Corp.
LOCC
$10M 0.19% +990,000 New +$10M
XLE icon
68
Energy Select Sector SPDR Fund
XLE
$27.6B
$9.94M 0.19% +120,000 New +$9.94M
XLV icon
69
Health Care Select Sector SPDR Fund
XLV
$33.9B
$9.71M 0.19% +75,000 New +$9.71M
RBLX icon
70
Roblox
RBLX
$86.4B
$9.32M 0.18% +207,300 New +$9.32M
MU icon
71
Micron Technology
MU
$133B
$9.05M 0.18% +150,000 New +$9.05M
CCO icon
72
Clear Channel Outdoor Holdings
CCO
$616M
$9.01M 0.17% +7,505,124 New +$9.01M
BHR
73
Braemar Hotels & Resorts
BHR
$188M
$8.88M 0.17% +2,300,700 New +$8.88M
CP icon
74
Canadian Pacific Kansas City
CP
$69.9B
$8.85M 0.17% +115,000 New +$8.85M
FLD
75
Fold Holdings, Inc. Class A Common Stock
FLD
$168M
$8.69M 0.17% +850,000 New +$8.69M