Alight Capital Management LP - Q2 2021 holdings

$348 Million is the total value of Alight Capital Management LP's 53 reported holdings in Q2 2021. The portfolio turnover from Q1 2021 to Q2 2021 was 61.0% .

 Value Shares↓ Weighting
NSC SellNORFOLK SOUTHN CORP$13,271,000
-10.1%
50,000
-9.1%
3.82%
-0.6%
ASML SellASML HOLDING N V$6,908,000
-13.9%
10,000
-23.1%
1.99%
-4.8%
VICR SellVICOR CORP$6,344,000
+14.8%
60,000
-7.7%
1.82%
+26.9%
LYFT SellLYFT INC$5,443,000
-56.9%
90,000
-55.0%
1.56%
-52.3%
SNAP SellSNAP INCcl a$5,111,000
-2.3%
75,000
-25.0%
1.47%
+8.2%
CDLX SellCARDLYTICS INC$5,077,000
-53.7%
40,000
-60.0%
1.46%
-48.8%
UBER SellUBER TECHNOLOGIES INC$5,012,000
-47.5%
100,000
-42.9%
1.44%
-41.9%
OUT SellOUTFRONT MEDIA INC$4,806,000
-41.3%
200,000
-46.7%
1.38%
-35.1%
UNP SellUNION PAC CORP$4,399,000
-60.1%
20,000
-60.0%
1.26%
-55.8%
ZNGA SellZYNGA INCcl a$4,252,000
-30.6%
400,000
-33.3%
1.22%
-23.2%
REAL SellTHE REALREAL INC$3,952,000
-41.8%
200,000
-33.3%
1.14%
-35.6%
SIX SellSIX FLAGS ENTMT CORP NEW$3,462,000
-66.1%
80,000
-63.6%
1.00%
-62.6%
PTON SellPELOTON INTERACTIVE INC$2,852,000
-63.8%
23,000
-67.1%
0.82%
-59.9%
LSCC SellLATTICE SEMICONDUCTOR CORP$1,685,000
-37.6%
30,000
-50.0%
0.48%
-31.1%
PINS SellPINTEREST INCcl a$1,579,000
-64.5%
20,000
-66.7%
0.45%
-60.7%
MCHP SellMICROCHIP TECHNOLOGY INC.$1,497,000
-67.9%
10,000
-66.7%
0.43%
-64.5%
AFRM ExitAFFIRM HLDGS INC$0-10,000
-100.0%
-0.18%
CHWY ExitCHEWY INCcall$0-12,500
-100.0%
-0.28%
PSFE ExitPAYSAFE LIMITEDord$0-80,000
-100.0%
-0.28%
SPR ExitSPIRIT AEROSYSTEMS HLDGS INC$0-25,000
-100.0%
-0.32%
OKTA ExitOKTA INCcl a$0-10,000
-100.0%
-0.57%
WISH ExitCONTEXTLOGIC INC$0-150,000
-100.0%
-0.62%
MU ExitMICRON TECHNOLOGY INC$0-30,000
-100.0%
-0.69%
ABNB ExitAIRBNB INC$0-15,000
-100.0%
-0.73%
SONY ExitSONY CORPsponsored adr$0-30,000
-100.0%
-0.83%
KLAC ExitKLA CORP$0-10,000
-100.0%
-0.86%
FISV ExitFISERV INC$0-30,000
-100.0%
-0.93%
CRWD ExitCROWDSTRIKE HLDGS INCcl a$0-20,000
-100.0%
-0.95%
PINS ExitPINTEREST INCcall$0-50,000
-100.0%
-0.96%
GIS ExitGENERAL MLS INCcall$0-62,500
-100.0%
-1.00%
CVNA ExitCARVANA COcl a$0-15,000
-100.0%
-1.02%
BA ExitBOEING CO$0-18,000
-100.0%
-1.19%
AMAT ExitAPPLIED MATLS INC$0-40,000
-100.0%
-1.39%
TDG ExitTRANSDIGM GROUP INC$0-10,100
-100.0%
-1.54%
LRCX ExitLAM RESEARCH CORP$0-10,000
-100.0%
-1.55%
DIS ExitDISNEY WALT COcall$0-40,000
-100.0%
-1.92%
TSM ExitTAIWAN SEMICONDUCTOR MFG LTDsponsored ads$0-70,000
-100.0%
-2.15%
DIS ExitDISNEY WALT CO$0-60,000
-100.0%
-2.88%
INTC ExitINTEL CORP$0-200,000
-100.0%
-3.33%
XLP ExitSELECT SECTOR SPDR TRcall$0-300,000
-100.0%
-5.33%
KO ExitCOCA COLA COcall$0-665,000
-100.0%
-9.11%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2021-08-16
Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
AMAZON COM INC19Q3 20238.6%
LATTICE SEMICONDUCTOR CORP19Q3 20231.9%
ADVANCED MICRO DEVICES INC17Q3 20235.3%
SPDR S&P 500 ETF TR16Q3 202329.3%
NVIDIA CORPORATION16Q3 20235.7%
META PLATFORMS INC14Q3 20236.2%
NORFOLK SOUTHN CORP14Q4 20225.2%
UNION PACIFIC CORP14Q3 20235.0%
DEERE & CO12Q1 20236.4%
DISNEY WALT CO12Q1 20237.0%

View Alight Capital Management LP's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-02-14
13F-HR2023-11-14
13F-HR2023-08-14
13F-HR2023-05-15
13F-HR2023-02-14
13F-HR2022-11-14
13F-HR2022-08-15
13F-HR2022-05-16
13F-HR2022-02-14
13F-HR2021-11-15

View Alight Capital Management LP's complete filings history.

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