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Maple Rock Capital Partners Inc.

Q3 2025 · 13F-HR

Maple Rock Capital Partners Inc.holdings as filed

Filed 2025-11-14 · accession 0001658363-25-000005

$2.53B
Reported value
41
Positions
2025-09-30
Period end
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The Brief · Maple Rock Capital Partners Inc. · Q3 2025

AI · grounded in 13F

Maple Rock Capital Partners Inc. established a new position in Western Digital Corp WDC valued at $310.9M. The fund also initiated new stakes in Equinox Gold Corp EQX for $186.7M and Seagate Technology Hldngs PL STX for $174.8M. Additional new positions include Sunrun Inc RUN, Intel Corp INTC, and TFI Intl Inc TFII.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
958102105WDCWESTERN DIGITAL CORP$310.9M12.3%2,589,325CommonSOLE
29446Y502EQXEQUINOX GOLD CORP$186.7M7.37%16,644,848CommonSOLE
G7997R103STXSEAGATE TECHNOLOGY HLDNGS PL$174.8M6.90%740,352CommonSOLE
86771W105RUNSUNRUN INC$128.6M5.08%7,439,848CommonSOLE
87241L109TFIITFI INTL INC$96.7M3.82%1,098,362CommonSOLE
93627C101HCCWARRIOR MET COAL INC$93.0M3.67%1,461,738CommonSOLE
878742204TECKTECK RESOURCES LTD$88.6M3.50%2,018,700CommonSOLE
80004C200SNDKSANDISK CORP$83.3M3.29%742,500CommonSOLE
185899101CLFCLEVELAND-CLIFFS INC NEW$79.3M3.13%6,502,400CommonSOLE
47215P106JDJD.COM INC$78.5M3.10%2,244,062CommonSOLE
55087P104LYFTLYFT INC$77.2M3.05%3,509,633CommonSOLE
444859102HUMHUMANA INC$73.7M2.91%283,300CommonSOLE
01609W102BABAALIBABA GROUP HLDG LTD$72.7M2.87%406,930CommonSOLE
722304102PDDPDD HOLDINGS INC$68.6M2.71%518,941CommonSOLE
110448107BTIBRITISH AMERN TOB PLC$62.1M2.45%1,169,800CommonSOLE
00751Y106AAPADVANCE AUTO PARTS INC$58.4M2.31%951,790CommonSOLE
458140100INTCINTEL CORP$57.0M2.25%1,700,000CALLSOLE
112463104BKDBROOKDALE SR LIVING INC$53.3M2.11%6,298,048CommonSOLE
77311W101RKTROCKET COS INC$51.4M2.03%2,650,000CommonSOLE
81211K100SDASEALED AIR CORP NEW$49.1M1.94%1,389,556CommonSOLE
382550101GTGOODYEAR TIRE & RUBR CO$48.4M1.91%6,471,446CommonSOLE
15135B101CNCCENTENE CORP DEL$47.8M1.88%1,338,299CommonSOLE
458140100INTCINTEL CORP$45.2M1.78%1,346,800CommonSOLE
517834107LVSLAS VEGAS SANDS CORP$43.2M1.71%803,280CommonSOLE
87422Q109TLNTALEN ENERGY CORP$41.8M1.65%98,175CommonSOLE
03938L203MTARCELORMITTAL SA LUXEMBOURG$41.4M1.63%1,145,200CommonSOLE
45688C107NGVTINGEVITY CORP$37.2M1.47%674,716CommonSOLE
015658107ASTLALGOMA STL GROUP INC$37.1M1.46%10,430,818CommonSOLE
670346105NUENUCOR CORP$30.6M1.21%226,200CommonSOLE
G68707101PAGSPAGSEGURO DIGITAL LTD$28.0M1.11%2,801,100CommonSOLE
974637100WGOWINNEBAGO INDS INC$22.7M0.90%680,199CommonSOLE
90041L105TPBTURNING PT BRANDS INC$22.7M0.89%229,300CommonSOLE
546347105LPXLOUISIANA PAC CORP$21.5M0.85%241,468CommonSOLE
91324P102UNHUNITEDHEALTH GROUP INC$20.4M0.81%59,100CommonSOLE
885160101THOTHOR INDS INC$19.0M0.75%183,664CommonSOLE
N4732M103JBSJBS N.V.$15.8M0.62%1,059,306CommonSOLE
60855R100MOHMOLINA HEALTHCARE INC$15.7M0.62%81,800CommonSOLE
963320106WHRWHIRLPOOL CORP$14.5M0.57%184,400CommonSOLE
91823B109UWMCUWM HOLDINGS CORPORATION$14.4M0.57%2,370,000CommonSOLE
071734107BHCBAUSCH HEALTH COS INC$13.8M0.54%2,133,887CommonSOLE
501889208LKQLKQ CORP$8.9M0.35%290,900CommonSOLE

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.