No buy transactions available for this period
No sell transactions available for this period
Cpmg INC filed its 13F report for Q4 2025 on February 17, 2026. The portfolio totaled 24.66 M reflecting a +20.92% change from the prior quarter, spanning 2 assets. The top 10 holdings comprised 100.0% of the portfolio, with Financials as the largest sector allocation. No significant position changes were reported during the quarter.
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Cpmg submitted their Form 13F-HR for the Q4 2025 period on 02/17/2026. This was the only submission for the quarter.
In the Q4 2025 filing, Cpmg reported a managed portfolio value of 24.66 M, consisting of 2 individual positions.
This page displays the raw filing documents. To see which stocks Cpmg bought or sold during Q4 2025, please visit Cpmg's Portfolio Analysis page.