HoldingsChannel.com
Park West Asset Management LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
CHANGE HEALTHCARE INC 11,127,114 +11,127,114 $111,160
     CHNGV11,127,114+11,127,114$111,160
NATIONAL GEN HLDGS CORP 5,761,825 +542,662 $95,358
     NGHC5,761,825+542,662$95,358
NEXSTAR MEDIA GROUP INC      $90,401
     NXST1,465,932+28,572$84,628
     Call100,000-900,000$5,773
NUANCE COMMUNICATIONS INC 4,000,000 -3,673,623 $67,120
     NUAN4,000,000-2,173,623$67,120
GRAND CANYON ED INC 789,247 +789,247 $60,208
     LOPE789,247+789,247$60,208
EAGLE PHARMACEUTICALS INC 1,234,856 +62,976 $56,803
     EGRX1,234,856+62,976$56,803
LAUREATE EDUCATION INC 5,189,217 +1,637,221 $54,539
     LAUR5,189,217+1,637,221$54,539
LIBERTY MEDIA CORP DEL 2,691,408 -105,158 $51,298
     BATRK2,691,408-105,158$51,298
FORTINET INC 449,844 -66,906 $45,511
     FTNT449,844-66,906$45,511
ECHOSTAR CORP 1,415,609 +730,499 $45,257
     SATS1,415,609+730,499$45,257
LKQ CORP 1,907,900 +807,500 $39,131
     LKQ1,907,900+807,500$39,131
ENPHASE ENERGY INC 1,208,254 -2,683,060 $39,015
     ENPH1,208,254-2,683,060$39,015
SUPER MICRO COMPUTER INC 1,812,109 +1,812,109 $38,562
     SMCI1,812,109+1,812,109$38,562
MONARCH CASINO & RESORT INC 1,305,251 -181,696 $36,638
     MCRI1,305,251-181,696$36,638
ACTIVISION BLIZZARD INC 580,000 -420,000 $34,498
     ATVI580,000-420,000$34,498
SCIPLAY CORP 3,329,709 UNCH $31,715
     SCPL3,329,709UNCH$31,715
WORKDAY INC 227,150 +15,150 $29,579
     WDAY227,150+15,150$29,579
ELDORADO RESORTS INC      $28,800
     Call2,000,000+340,000$28,800
LITHIA MTRS INC 350,000 +350,000 $28,627
     LAD350,000+350,000$28,627
KINDRED BIOSCIENCES INC 6,743,893 UNCH $26,976
     KIN6,743,893UNCH$26,976
MOTOROLA SOLUTIONS INC 200,000 +200,000 $26,584
     MSI200,000+200,000$26,584
SVMK INC 1,944,161 -797,079 $26,266
     SVMK1,944,161-797,079$26,266
ARGAN INC 744,926 +744,926 $25,752
     AGX744,926+744,926$25,752
SEMLER SCIENTIFIC ORD NMS 589,273 +589,273 $23,512
     COM589,273+589,273$23,512
JACOBS ENGR GROUP INC 279,500 +279,500 $22,156
     JEC279,500+279,500$22,156
CAI INTERNATIONAL INC 1,510,228 -12,100 $21,355
     CAI1,510,228-12,100$21,355
NEBULA ACQUISITION CORP 1,999,998 +1,999,998 $20,300
     NEBU1,999,998+1,999,998$20,300
AVALARA INC 270,000 -30,000 $20,142
     AVLR270,000-30,000$20,142
UNIVERSAL TECHNICAL INST INC 3,220,858 +1,170,509 $19,164
     UTI3,220,858+1,170,509$19,164
CONSTELLIUM SE 3,212,493 +487,493 $16,737
     CSTM3,212,493+487,493$16,737
PAE INC 2,500,306 +2,500,306 $16,227
     PAE2,500,306+2,500,306$16,227
PAR PACIFIC HOLDINGS INC 2,041,705 +917,162 $14,496
     PARR2,041,705+917,162$14,496
WILLSCOT CORP 1,430,000 +913,000 $14,486
     WSC1,430,000+913,000$14,486
NORTONLIFELOCK INC 749,884 +749,884 $14,030
     NLOK749,884+749,884$14,030
SMARTSHEET INC 324,481 -17,900 $13,469
     SMAR324,481-17,900$13,469
TALEND S A 543,113 -127,087 $12,182
     TLND543,113-127,087$12,182
ADOBE INC 37,250 +37,250 $11,854
     ADBE37,250+37,250$11,854
CHARTER COMMUNICATIONS INC N 27,000 +27,000 $11,780
     CHTR27,000+27,000$11,780
LIBERTY MEDIA CORP DEL 576,820 -100,594 $11,248
     BATRA576,820-100,594$11,248
SILVERGATE CAP CORP 1,170,000 UNCH $11,055
     SI1,170,000UNCH$11,055
UNIVAR SOLUTIONS INC 1,000,000 -1,428,478 $10,720
     UNVR1,000,000-1,428,478$10,720
BIOLIFE SOLUTIONS INC 979,406 +108,495 $9,304
     BLFS979,406+108,495$9,304
PPD INC 500,000 +500,000 $8,905
     PPD500,000+500,000$8,905
CROWN HLDGS INC 147,500 +147,500 $8,561
     CCK147,500+147,500$8,561
R1 RCM INC 828,342 -50,000 $7,530
     RCM828,342-50,000$7,530
VIKING THERAPEUTICS INC 1,597,507 +52,432 $7,476
     VKTX1,597,507+52,432$7,476
BERRY GLOBAL GROUP INC 200,036 -179,600 $6,743
     BERY200,036-179,600$6,743
ANGI HOMESERVICES INC 1,250,993 +1,250,993 $6,568
     ANGI1,250,993+1,250,993$6,568
OPTIMIZERX CORP 681,330 -133,338 $6,173
     OPRX681,330-133,338$6,173
PFENEX INC 528,670 +142,575 $4,663
     PFNX528,670+142,575$4,663

See Full List: All Stocks Held By Park West Asset Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Park West Asset Management LLC

Size ($ in 1000's)
At 03/31/2020: $1,473,249
At 12/31/2019: $2,374,719

Park West Asset Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Park West Asset Management LLC 13F filings. Link to 13F filings: SEC filings

Park West Asset Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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