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Chesapeake Partners Management Co Inc/Md 13F Filings, Portfolio & Analysis

CIK: 0000919165
Baltimore 2800 Quarry Lake Drive Suite 300
Zip Code: 21209
Latest Portfolio Value
$668.59 M
-47.91%
Total Holdings
36
-23
Latest Report Date
Q2 2016
Top 10 Concentration
64.18%

Chesapeake Partners Management Co Inc/Md — Portfolio Overview & Company Profile

Chesapeake Partners Management Co Inc/Md (CIK: 0000919165) is a financial institution headquartered at 2800 Quarry Lake Drive, Suite 300, Baltimore, Maryland 21209. The firm regularly files Form 13F with the U.S. Securities and Exchange Commission (SEC), disclosing its equity holdings and investment positions.

As of the latest reporting period (2016-06-30), the institution manages a portfolio valued at $668.59 M, comprising 36 distinct securities. Over its filing history, it has submitted 13 Form 13F reports.

To view the institution’s full SEC filing history:
🔗 View All SEC Filings

Q2 2016 — Top-10 concentration: 64.2%. Quarterly turnover: 24.2%. ▲ 7 new, +6 added, −19 reduced, ×27 exited.

Portfolio Summary (Q2 2016)

Top Buys

Q2 2016
3. Medivation
+$18.43 M
4. Pinnacle Entmt INC New
+$12.98 M
5. Axiall Corp Com
+$9.79 M

Top Sells

Q2 2016
1. Jarden
−$72.82 M
2. Time Warner Cable
−$66.01 M
3. Pinnacle Enter
−$52.05 M
4. Sandisk
−$46.07 M
5. Baxalta
−$36.42 M

Asset Allocation

Stocks/ETFs
-57.38%
$487.03 M 72.84%
Options
+28.45%
$179.55 M 26.85%
Debt
$0 0.00%
Other
+110.44%
$2.02 M 0.30%

Sector Allocation (Stocks)

Top Stock & ETF Holdings (Q2 2016)

Name Shares Market Value Weight Change Activity
Starwood Hotels&Resorts Wrld
N/A
761,318 $56.3 M 8.42% ▼ 38,266 Reduce -4.8%
E M C Corp Mass
N/A
1.78 M $48.25 M 7.22% ▲ 160,000 Add 9.9%
1.67 M $37.79 M 5.65% ▼ 100,000 Reduce -5.7%
958,350 $32.46 M 4.85% ▲ 883,018 Add 1172.2%
393,710 $30.38 M 4.54% ▼ 208,415 Reduce -34.6%
498,206 $24.2 M 3.62% ▲ 498,206 New Buy
Hertz Global Hldgs INC N
N/A
2.02 M $22.37 M 3.35% ▼ 630,982 Reduce -23.8%
Office Depot
N/A
6.29 M $20.82 M 3.11% ▼ 3,791,970 Reduce -37.6%
401,692 $20.18 M 3.02% ▼ 340,002 Reduce -45.8%
333,040 $19.85 M 2.97% ▲ 83,460 Add 33.4%

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