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Park West Asset Management LLC

Q4 2024 · 13F-HR

Park West Asset Management LLCholdings as filed

Filed 2025-02-14 · accession 0001214659-25-002887

$1.25B
Reported value
45
Positions
2024-12-31
Period end
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Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
30303M102METAMETA PLATFORMS INC$64.4M5.17%110,000CommonSOLE
98954M200ZZILLOW GROUP INC$59.1M4.74%797,714CommonSOLE
052800109ALVAUTOLIV INC$58.6M4.71%625,000CommonSOLE
875372203TNDMTANDEM DIABETES CARE INC$57.6M4.63%1,600,000CommonSOLE
958102105WDCWESTERN DIGITAL CORP$55.5M4.45%930,000CommonSOLE
G25508105CRHCRH PLC$52.6M4.22%568,000CommonSOLE
58985J105MERIDIANLINK INC$49.0M3.93%2,371,118CommonSOLE
497266106KEXKIRBY CORP$48.5M3.89%458,279CommonSOLE
219948106CPAYCORPAY INC$48.3M3.88%142,600CommonSOLE
80874P109LNWOLIGHT & WONDER INC$46.2M3.71%535,315CommonSOLE
68404L201OPCHOPTION CARE HEALTH INC$45.2M3.63%1,946,191CommonSOLE
023135106AMZNAMAZON COM INC$40.8M3.28%186,170CommonSOLE
91324P102UNHUNITEDHEALTH GROUP INC$38.0M3.05%75,100CommonSOLE
48581R205KSPIKASPI KZ JSC$37.6M3.02%397,286CommonSOLE
398905109GPIGROUP 1 AUTOMOTIVE INC$36.7M2.95%87,192CommonSOLE
68268W103OMFONEMAIN HLDGS INC$36.7M2.95%704,759CommonSOLE
12769G100CZRCAESARS ENTERTAINMENT INC NE$36.2M2.91%1,082,452CommonSOLE
913915104UTIUNIVERSAL TECHNICAL INST INC$35.0M2.81%1,361,986CommonSOLE
00091G104ACVAACV AUCTIONS INC$29.2M2.35%1,351,918CommonSOLE
000360206AAONAAON INC$24.1M1.94%205,000CommonSOLE
518613203LAURLAUREATE EDUCATION INC$23.5M1.89%1,285,140CommonSOLE
29260Y1090C3ENDEAVOR GROUP HLDGS INC$21.1M1.70%675,000CommonSOLE
668771108GENGEN DIGITAL INC$20.2M1.62%737,979CommonSOLE
896288107TNETTRINET GROUP INC$19.9M1.60%219,000CommonSOLE
17243V102CNKCINEMARK HLDGS INC$19.2M1.54%619,424CommonSOLE
98954M200ZZILLOW GROUP INC$18.5M1.49%250,000CALLSOLE
92847W103VITLVITAL FARMS INC$18.3M1.47%485,000CommonSOLE
Y2573F102FLEXFLEX LTD$17.8M1.43%462,886CommonSOLE
336433107FSLRFIRST SOLAR INC$17.6M1.42%100,000CommonSOLE
910047109UALUNITED AIRLS HLDGS INC$17.5M1.40%180,000CommonSOLE
G8807B106TBPHTHERAVANCE BIOPHARMA INC$16.9M1.36%1,792,988CommonSOLE
17243V102CNKCINEMARK HLDGS INC$15.5M1.24%500,000CALLSOLE
114340102AZTAAZENTA INC$15.0M1.20%300,000CommonSOLE
86771W105RUNSUNRUN INC$13.6M1.09%1,472,726CommonSOLE
687793109OSCROSCAR HEALTH INC$12.4M1.00%925,000CommonSOLE
359664109FLGTFULGENT GENETICS INC$11.9M0.95%641,682CommonSOLE
71944F106PHRPHREESIA INC$10.7M0.86%423,570CommonSOLE
888787108TOSTTOAST INC$10.6M0.86%292,075CommonSOLE
52110H100LAZYDAYS HLDGS INC$10.4M0.83%10,871,493CommonSOLE
92847W103VITLVITAL FARMS INC$9.4M0.76%250,000CALLSOLE
40416E103HCIHCI GROUP INC$7.5M0.60%64,349CommonSOLE
52634L108LNSRLENSAR INC$7.2M0.58%810,676CommonSOLE
L6388F110TIGOMILLICOM INTL CELLULAR S A$6.2M0.50%246,497CommonSOLE
N97284108NBISNEBIUS GROUP N.V.$4.8M0.39%174,000CommonSOLE
20460L112SPWRWCOMPLETE SOLARIA INC$52,2090.00%600,105CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.