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SCW Capital Management 13F Portfolio

Portfolio Manager
Scw Capital Management, Lp
Performance
0% (N/A)
AUM (13F)
$43.99K
# of Holdings
6
Performance Rank
N/A
Allocation (Top 20)
N/A
Latest filing
Q3 2022

Scw Capital Management, Lp Holdings Map

Top 6 Scw Capital Management, Lp Holdings

Top 10 holdings

StockCompany% Port.SharesValueActivityOwnershipAvg. CostDate
AKU
AKUMIN INC
44.31%11.40M$19Kโ€”โ€”โ€”2022-09-30
RCM
R1 RCM INC
22.64%537.5K$10Kโ€”โ€”โ€”2022-09-30
AXGN
AXOGEN INC
11.42%421.5K$5Kโ€”โ€”โ€”2022-09-30
VYX
NCR CORP NEW
9.57%221.5K$4Kโ€”โ€”โ€”2022-09-30
TBCH
TURTLE BEACH CORP
8.31%535.9K$4Kโ€”โ€”โ€”2022-09-30
TA
TRAVELCENTERS OF AMERICA INC
3.74%30.5K$2Kโ€”โ€”โ€”2022-09-30

About Scw Capital Management, Lpโ€™s portfolio

Scw Capital Management, Lp reports $43.99K in US-listed equity holdings across 6 positions in its most recent 13F filing. Its largest disclosed positions are AKU (44.3%), RCM (22.6%) and AXGN (11.4%). Figures reflect the Q3 2022 filing.

Portfolio concentration

Portfolio concentration
AKU โ€” 44.3% ($19.5K)RCM โ€” 22.6% ($10.0K)AXGN โ€” 11.4% ($5.0K)VYX โ€” 9.6% ($4.2K)TBCH โ€” 8.3% ($3.7K)TA โ€” 3.7% ($1.6K)
100%in top 6
  • AKU44.3%
  • RCM22.6%
  • AXGN11.4%
  • VYX9.6%
  • TBCH8.3%
  • TA3.7%

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Source filings

Holdings on this page are parsed from Scw Capital Management, Lpโ€™s Form 13F filings with the U.S. Securities and Exchange Commission (CIK 1738045). View Scw Capital Management, Lpโ€™s 13F filings on SEC

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