Filer Name: PERSISTENT ASSET PARTNERS LTD
CIK: 2056052
Period: 2024-12-31
Filed At: 2025-02-14
Number of Holdings: 143
Portfolio Value: $0.12B

Persistent Asset Partners Ltd Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
HUM US HUMANA INC 38,160 $11M 9.28% - -
DVA US DAVITA INC 43,148 $8M 6.31% - -
UNH US UNITEDHEALTH GROUP INC 11,824 $6M 5.32% - -
PNTG US PENNANT GROUP INC/THE 164,992 $4M 3.62% - -
CAH US CARDINAL HEALTH INC 33,798 $4M 3.47% - -
BTSG US BRIGHTSPRING HEALTH SERVICES 171,064 $4M 3.35% - -
ALHC US ALIGNMENT HEALTHCARE INC 244,154 $4M 3.12% - -
WBA US WALGREENS BOOTS ALLIANCE INC 341,366 $4M 2.91% - -
CNC US CENTENE CORP 44,545 $3M 2.37% - -
ACHC US ACADIA HEALTHCARE CO INC 60,455 $3M 2.26% - -
EHAB US ENHABIT INC 297,123 $2M 2.07% - -
FCNCA US FIRST CITIZENS BCSHS -CL A 994 $2M 1.82% - -
CVS US CVS HEALTH CORP 38,697 $2M 1.81% - -
MCK US MCKESSON CORP 3,433 $2M 1.69% - -
C US CITIGROUP INC 24,853 $2M 1.68% - -
DFS US DISCOVER FINANCIAL SERVICES 9,320 $2M 1.55% - -
BMRN US BIOMARIN PHARMACEUTICAL INC 26,856 $2M 1.41% - -
PCVX US VAXCYTE INC 19,151 $2M 1.40% - -
CCB US COASTAL FINANCIAL CORP/WA 18,641 $2M 1.38% - -
CNOB US CONNECTONE BANCORP INC 65,235 $2M 1.37% - -
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