13F Filings for Sea Cliff Partners Management, LP (CIK: 2011655)

View the most recent portfolio holdings disclosed by Sea Cliff Partners Management, LP in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
BTSG - BRIGHTSPRING HEALTH SVCS INC(Class: COM)1.65M $38.95M 13.28%Decreased 382.08K (18.0%, $2.17M)
JHX - JAMES HARDIE INDS PLC(Class: SPONSORED ADR)908.38K $24.43M 8.33%New 908.38K ($24.43M)
HXL - HEXCEL CORP NEW(Class: COM)427.75K $24.16M 8.24%Decreased 33.45K (7.0%, $1.09M)
UDMY - UDEMY INC(Class: COM)3.26M $22.89M 7.80%Decreased 519.68K (13.0%, $6.41M)
PTC - PTC INC(Class: COM)131K $22.58M 7.70%Increased 10K (8.0%, $3.83M)
OKTA - OKTA INC(Class: CL A)209.20K $20.91M 7.13%Increased 38K (22.0%, $2.90M)
PLNT - PLANET FITNESS INC(Class: CL A)185.78K $20.26M 6.91%Increased 147.53K (385.0%, $16.56M)
CZR - CAESARS ENTERTAINMENT INC NE(Class: COM)675K $19.16M 6.53%Increased 48.08K (7.0%, $3.49M)
CNM - CORE MAIN INC(Class: CL A)310K $18.71M 6.38%Decreased 41.10K (11.0%, $1.75M)
CXM - SPRINKLR INC(Class: CL A)2.17M $18.33M 6.25%Increased 2M (1174.0%, $16.91M)
GDDY - GODADDY INC(Class: CL A)92K $16.56M 5.65%Decreased 64.12K (41.0%, $11.56M)
EVH - EVOLENT HEALTH INC(Class: CL A)1.23M $13.89M 4.74%Decreased 16.33K (1.0%, $2.05M)
CWAN - CLEARWATER ANALYTICS HLDGS I(Class: CL A)590.20K $12.94M 4.41%New 590.20K ($12.94M)
JBTM - JBT MAREL CORPORATION(Class: COM)100K $12.03M 4.10%Decreased 55.54K (35.0%, $6.98M)
MORN - MORNINGSTAR INC(Class: COM)24K $7.53M 2.57%New 24K ($7.53M)
MTCH - MATCH GROUP INC NEW(Class: COM)0 $0 -Exited 535K ($16.69M)
AZEK - AZEK CO INC(Class: CL A)0 $0 -Exited 584.38K ($28.57M)
PLAY - DAVE BUSTERS ENTMT INC(Class: COM)0 $0 -Exited 472.66K ($8.30M)