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CAT ROCK CAPITAL MANAGEMENT LP

8 SOUND SHORE DRIVE, SUITE 250, GREENWICH, CT, 06830

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Investment Manager Summary
Investor Type: Hedge Funds
Fund Size1: $765.0 mn
7
Low
High
Number of Holdings1: 14
2
Low
High
Turnover2: 11.07 %
3.0
Low
High
Average Holding Length3: 2.2
2.0
Low
High
Concentration4: 12.2 %
12.2 %
Low Concentration
High Concentration
Top Ten Holdings as % of Total: 90.45 %
Equities as % of Total Holdings1: 100.0 %

Notes:

1. Data includes only securities reportable on the SEC's Form 13F-HR and excludes privately held securities and international securities.
2. Turnover is calculated quarterly as the minimum of sales and purchases divided by the average holdings value for the period.
3. Average holding length is calculated on a scale of 1 to 5, with 1 representing 0 quarters, 2 representing 4 quarters, 3 representing 12 quarters, 4 representing 20 quarters and 5 representing greater than 28 quarters.
4. Concentration is calculated by squaring the percentage of each security in the portfolio and summing the squares. A portfolio with only one security will have a concentration of 100%.
Additional Portfolio Details
Number of SPAC Holdings: 0 SPAC Holdings: -
New Listings in Last Quarter (#): 0 New Listings in Last Year (#): 0
New Listings in Last Quarter ($): - New Listings in Last Year ($): -
Equity Positions Initiated: 2 Equity Positions Exited: 0
Equity Positions Increased: 2 Equity Positions Decreased: 9
Equity Positions With No Change: 1
Portfolio Trend (13F securities)
Portfolio Distribution (Long-only US Equities)
X Axis
Y Axis
Ticker

Notes:

1. The size of bubbles represents investment size, but bubbles are not entirely to scale. The minimum and maximum size of bubbles is constrained to provide better legibility.
2. Statistics are for US equities portfolio only and exclude international securities, other asset classes, unknown short positions, investment funds, registered investment companies and SPACs.
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Rank Ticker Name of Issuer Num. Shares Change Value ($mm) Portfolio Percentage Position Initiated Period Classification Options Company Position Shares Percentage Est. Cost Basis Est. Gain / Loss Quarter End Gain / Loss % Sector Industry Actions

** - The holding first appeared in the quarter of the company's IPO. It cannot be ascertained whether shares were purchased pre-IPO, during IPO or post-IPO in the quarter of the offering. For purposes of calculating cost basis, it is assumed that shares were purchased at the volume-weighted average price in the quarter of the IPO.

Source: SEC


Notes:

Name Ticker Market Cap ($ mn) Dollar Value ($ mn) Quality Value Dividend (%) Momentum (%) Quarterly Total Return(%) Volatility (%) Quarterly Performance (%)
Ticker Name of Issuer Previous. Num. Shares Change Num. Shares Previous Dollar Value ($mm) Dollar Value Change ($mm) Current Dollar Value ($mm) Position Initiated Est. Cost Basis Est. Gain / Loss Actions

** - Stocks bought during IPO

Ticker Name of Issuer Previous. Num. Shares Change Num. Shares Previous Dollar Value Dollar Value Change Current Dollar Value Position Initiated Actions
Factor Exposures for Long-only US Equities Portfolio1

Notes:

1. Portfolio exposures are for US equities portfolio only. The calculation excludes international securities, other asset classes, unknown short positions, investment funds, registered investment companies and SPACs.

Sector Distribution1
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Sector Percentage

Notes:

1. Distribution is for US equities portfolio only

Industry Distribution1
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View as Chart
Industry Percentage

Notes:

1. Distribution is for US equities portfolio only