13F Filings for Park West Asset Management LLC (CIK: 1386928)

View the most recent portfolio holdings disclosed by Park West Asset Management LLC in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
KEX - KIRBY CORP(Class: COM)776K $78.38M -Increased 317.72K (69.0%, $29.90M)
Z - ZILLOW GROUP INC(Class: CL C CAP STK)947.48K $64.96M -Decreased 100.23K (9.0%, $12.62M)
LAD - LITHIA MTRS INC(Class: COM)200.40K $58.83M -New 200.40K ($58.83M)
META - META PLATFORMS INC(Class: CL A)86K $49.57M -Decreased 24K (21.0%, $14.84M)
KSPI - KASPI KZ JSC(Class: SPONSORED ADS)520.66K $48.34M -Increased 123.38K (31.0%, $10.72M)
MLNK - MERIDIANLINK INC(Class: COMMON STOCK)2.60M $48.16M -Increased 227.97K (9.0%, $802.50K)
ALV - AUTOLIV INC(Class: COM)541.31K $47.88M -Decreased 83.69K (13.0%, $10.74M)
N/A - MILLICOM INTL CELLULAR S A(Class: COM STK)1.51M $45.74M -New 1.51M ($45.74M)
AMZN - AMAZON COM INC(Class: COM)237.57K $45.20M -Increased 51.40K (27.0%, $4.36M)
CRH - CRH PLC(Class: ORD)476.46K $41.91M -Decreased 91.54K (16.0%, $10.64M)
CPAY - CORPAY INC(Class: COM SHS)113.23K $39.49M -Decreased 29.37K (20.0%, $8.77M)
GPI - GROUP 1 AUTOMOTIVE INC(Class: COM)100.52K $38.39M -Increased 13.32K (15.0%, $1.64M)
OPCH - OPTION CARE HEALTH INC(Class: COM NEW)1.06M $36.94M -Decreased 889.39K (45.0%, $8.22M)
UNH - UNITEDHEALTH GROUP INC(Class: COM)70.45K $36.90M -Decreased 4.65K (6.0%, $1.09M)
OMF - ONEMAIN HLDGS INC(Class: COM)737.76K $36.06M -Increased 33K (4.0%, $677.43K)
SFD - SMITHFIELD FOODS INC(Class: COM)1.75M $35.62M -New 1.75M ($35.62M)
WDC - WESTERN DIGITAL CORP(Class: COM)850K $34.37M -Decreased 80K (8.0%, $21.09M)
RMBS - RAMBUS INC DEL(Class: COM)589.15K $30.50M -New 589.15K ($30.50M)
CNK - CINEMARK HLDGS INC(Class: COM)1.10M $27.50M -Decreased 14.74K (1.0%, $7.18M)
ZI - ZOOMINFO TECHNOLOGIES INC(Class: COMMON STOCK)2.66M $26.60M -New 2.66M ($26.60M)
FIS - FIDELITY NATL INFORMATION SV(Class: COM)349.03K $26.07M -New 349.03K ($26.07M)
LAUR - LAUREATE EDUCATION INC(Class: COMMON STOCK)1.19M $24.32M -Decreased 96K (7.0%, $812.70K)
PHR - PHREESIA INC(Class: COM)894.50K $22.86M -Increased 470.93K (111.0%, $12.21M)
TOST - TOAST INC(Class: CL A)656.58K $21.78M -Increased 364.50K (124.0%, $11.13M)
TNDM - TANDEM DIABETES CARE INC(Class: COM NEW)1.12M $21.52M -Decreased 476.95K (29.0%, $36.11M)