HoldingsChannel.com
Park West Asset Management LLC Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
NEXSTAR MEDIA GROUP INC      $255,629
     NXST1,789,890+349,088$180,778
     Call741,100+741,100$74,851
ELDORADO RESORTS INC 3,154,116 +629,116 $145,310
     ERI3,154,116+629,116$145,310
NATIONAL GEN HLDGS CORP 5,248,841 +138,130 $120,408
     NGHC5,248,841+138,130$120,408
NUANCE COMMUNICATIONS INC      $97,343
     NUAN5,095,412+1,595,412$81,373
     Call1,000,000+1,000,000$15,970
LITHIA MTRS INC 645,421 -650,321 $76,663
     LAD645,421-650,321$76,663
LIBERTY MEDIA CORP DELAWARE 2,590,101 -13,391 $72,445
     BATRK2,590,101-13,391$72,445
EAGLE PHARMACEUTICALS INC 1,300,000 +254,689 $72,384
     EGRX1,300,000+254,689$72,384
ENPHASE ENERGY INC 3,698,939 -2,342,453 $67,431
     ENPH3,698,939-2,342,453$67,431
VIEWRAY INC 7,615,325 +3,549,255 $67,091
     VRAY7,615,325+3,549,255$67,091
MONARCH CASINO & RESORT INC 1,497,531 +17,193 $64,004
     MCRI1,497,531+17,193$64,004
QUINSTREET INC 4,000,000 -202,105 $63,400
     QNST4,000,000-202,105$63,400
BERRY GLOBAL GROUP INC 1,135,000 +210,000 $59,690
     BERY1,135,000+210,000$59,690
UNIVAR INC 2,689,140 +1,732,640 $59,269
     UNVR2,689,140+1,732,640$59,269
KINDRED BIOSCIENCES INC 6,743,893 UNCH $56,177
     KIN6,743,893UNCH$56,177
LKQ CORP 1,975,000 +570,600 $52,555
     LKQ1,975,000+570,600$52,555
FORTINET INC 669,958 +434,076 $51,473
     FTNT669,958+434,076$51,473
PLAYAGS INC 2,350,081 +610,528 $45,709
     AGS2,350,081+610,528$45,709
SCIPLAY CORP 3,329,709 +3,329,709 $45,650
     SCPL3,329,709+3,329,709$45,650
ECHOSTAR CORP 971,662 +186,615 $43,064
     SATS971,662+186,615$43,064
BRINKS CO 505,000 -71,290 $40,995
     BCO505,000-71,290$40,995
FRONTDOOR INC 936,088 -463,912 $40,766
     FTDR936,088-463,912$40,766
CAI INTERNATIONAL INC 1,556,614 +45,983 $38,635
     CAI1,556,614+45,983$38,635
SVMK INC      $37,973
     SVMK2,000,000+851,200$33,020
     Call300,000UNCH$4,953
PAR PACIFIC HOLDINGS INC 1,572,719 -116,121 $32,272
     PARR1,572,719-116,121$32,272
CONSTELLIUM NV 3,185,757 -111,556 $31,985
     CSTM3,185,757-111,556$31,985
LIVE NATION ENTERTAINMENT IN 480,102 +155,102 $31,807
     LYV480,102+155,102$31,807
LEGACY ACQUISITION CORP      $30,947
     LGC2,970,000UNCH$29,997
     LGC.WT2,970,000UNCH$950
STITCH FIX INC 950,000 -418,285 $30,391
     SFIX950,000-218,285$30,391
SCIENTIFIC GAMES CORP 1,512,254 +1,512,254 $29,973
     SGMS1,512,254+1,512,254$29,973
WAITR HLDGS INC 4,518,172 +1,818,172 $28,419
     WTRH4,518,172+1,818,172$28,419
TALEND S A 699,010 +699,010 $26,975
     TLND699,010+699,010$26,975
LAUREATE EDUCATION INC 1,686,650 +1,037,950 $26,497
     LAUR1,686,650+1,037,950$26,497
COVETRUS INC 1,000,000 +1,000,000 $24,460
     CVET1,000,000+1,000,000$24,460
COVETRUS INC 1,000,000 +649,263 $24,460
     CVETV1,000,000+649,263$24,460
SEMLER SCIENTIFIC INC 558,182 -42,184 $24,393
     COM558,182-42,184$24,393
SOCIAL CAP HEDOSOPHIA HLDGS      $23,553
     IPOA2,152,251+1,652,251$22,458
     IPOA.WT817,417+717,417$1,095
     IPOA.U3-2,152,251$0
INTERACTIVE BROKERS GROUP IN 429,806 +429,806 $23,295
     IBKR429,806+429,806$23,295
NEBULA ACQUISITION CORP 2,000,000 UNCH $20,600
     NEBUU2,000,000UNCH$20,600
LIBERTY MEDIA CORP DELAWARE 650,943 -1,116 $18,096
     BATRA650,943-1,116$18,096
OPTIMIZERX CORP 1,088,088 +133,238 $17,627
     OPRX1,088,088+133,238$17,627
LEAF GROUP LTD 2,354,810 +266,850 $17,449
     LEAF2,354,810+266,850$17,449
SMARTSHEET INC 350,659 +350,659 $16,972
     SMAR350,659+350,659$16,972
SAILPOINT TECHNLGIES HLDGS I 775,934 +350,000 $15,550
     SAIL775,934+350,000$15,550
ROKU INC 167,596 -27,404 $15,181
     ROKU167,596-27,404$15,181
VIKING THERAPEUTICS INC 1,747,507 +175,000 $14,504
     VKTX1,747,507+175,000$14,504
R1 RCM INC 1,084,450 -488,638 $13,642
     RCM1,084,450-488,638$13,642
ELASTIC N V 170,000 +170,000 $12,692
     ESTC170,000+170,000$12,692
BOINGO WIRELESS INC 685,700 +341,612 $12,322
     WIFI685,700+341,612$12,322
CHILDRENS PL INC 125,000 +15,000 $11,923
     PLCE125,000+15,000$11,923
MITEK SYS INC 1,100,000 +1,100,000 $10,934
     MITK1,100,000+1,100,000$10,934

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 06/30/2019: $2,431,807
At 03/31/2019: $2,279,549

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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