TBC

Three Bays Capital Portfolio holdings

AUM $757M
This Quarter Return
-3.16%
1 Year Return
+1.96%
3 Year Return
+33.64%
5 Year Return
10 Year Return
AUM
$757M
AUM Growth
+$757M
Cap. Flow
-$174M
Cap. Flow %
-22.99%
Top 10 Hldgs %
75.97%
Holding
26
New
4
Increased
7
Reduced
5
Closed
6

Sector Composition

1 Communication Services 19.32%
2 Materials 16.97%
3 Industrials 15.51%
4 Technology 13.52%
5 Consumer Discretionary 11.77%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
SUM
1
DELISTED
Summit Materials, Inc. Class A Common Stock
SUM
$83M 9.79%
4,568,000
+198,699
+5% +$3.61M
BCO icon
2
Brink's
BCO
$4.69B
$68.1M 8.03%
976,354
+179,754
+23% +$12.5M
MGM icon
3
MGM Resorts International
MGM
$10.6B
$59.7M 7.04%
+2,138,000
New +$59.7M
XRX icon
4
Xerox
XRX
$478M
$57.8M 6.81%
+2,141,000
New +$57.8M
MOMO
5
Hello Group
MOMO
$1.33B
$55.7M 6.56%
+1,270,779
New +$55.7M
MDCO
6
DELISTED
Medicines Co
MDCO
$55.3M 6.52%
1,849,822
+489,262
+36% +$14.6M
TSG
7
DELISTED
The Stars Group Inc.
TSG
$51.5M 6.07%
2,067,674
+419,418
+25% +$10.4M
EFX icon
8
Equifax
EFX
$29.1B
$49.3M 5.81%
377,190
+63,100
+20% +$8.24M
IQV icon
9
IQVIA
IQV
$31.4B
$49.2M 5.8%
378,941
-223,300
-37% -$29M
EXP icon
10
Eagle Materials
EXP
$7.33B
$45.3M 5.35%
531,902
-114,900
-18% -$9.79M
AVGO icon
11
Broadcom
AVGO
$1.4T
$41.8M 4.93%
169,550
-73,300
-30% -$18.1M
GTN icon
12
Gray Television
GTN
$603M
$39M 4.6%
2,230,349
+1,092,559
+96% +$19.1M
HCA icon
13
HCA Healthcare
HCA
$94.8B
$38.3M 4.52%
275,577
-181,700
-40% -$25.3M
WYNN icon
14
Wynn Resorts
WYNN
$13B
$29.4M 3.46%
+231,000
New +$29.4M
MRNS
15
DELISTED
Marinus Pharmaceuticals, Inc
MRNS
$19.1M 2.25%
1,905,469
FOR icon
16
Forestar Group
FOR
$1.4B
$11.5M 1.36%
543,571
+206,806
+61% +$4.38M
VRSN icon
17
VeriSign
VRSN
$25.4B
$2.72M 0.32%
17,000
-319,700
-95% -$51.2M
ICE icon
18
Intercontinental Exchange
ICE
$100B
-780,230
Closed -$57.4M
MIDD icon
19
Middleby
MIDD
$6.91B
-175,000
Closed -$18.3M
NXST icon
20
Nexstar Media Group
NXST
$6.13B
-725,693
Closed -$53.3M
QQQ icon
21
Invesco QQQ Trust
QQQ
$360B
0
SBGI icon
22
Sinclair Inc
SBGI
$986M
-2,493,986
Closed -$80.2M
SPY icon
23
SPDR S&P 500 ETF Trust
SPY
$651B
0
XRT icon
24
SPDR S&P Retail ETF
XRT
$424M
0
ADSW
25
DELISTED
Advanced Disposal Services, Inc.
ADSW
-2,040,700
Closed -$50.6M