Park West Asset Management Llc (1386928) Portfolio


Number of Companies: 43
Inflow: $222,288 K
Outflow: $-150,813 K
Net Flow: $71,475 K
2016-03-31: Recent SEC Filing
2015-12-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
100 2 Green Dot Corp-Class A (GDOT) Consumer Finance 2,900,000 Added More 1,674,800 $22.96 $38,470 $66,612
221 2 Sei Investments Company (SEIC) Investment Management 575,000 New Holding 575,000 $43.04 $24,753 $24,753
626 3 Lithia Motors Inc-Cl A (LAD) Automotive Retailers 661,851 Added More 241,851 $87.33 $21,120 $57,799
97 2 Stampscom Inc (STMP) Internet Based Services 160,000 New Holding 160,000 $106.27 $17,004 $17,004
707 6 Graphic Packaging Holding Co (GPK) Containers And Packaging 1,223,771 New Holding 1,223,771 $12.85 $15,725 $15,725
1833 15 Intralinks Holdings Inc (IL) Infrastructure Software 4,625,922 Added More 1,983,695 $7.88 $15,631 $36,452
35 1 Lions Gate Entertainment Cor (LGF) Entertainment Content 500,000 New Holding 500,000 $21.85 $10,925 $10,925
2578 45 Ellie Mae Inc (ELLI) Mortgage Finance 467,463 Added More 116,832 $90.63 $10,589 $42,370
299 3 Ensign Group Incthe (ENSG) Health Care Facilities 829,294 Added More 353,354 $22.63 $7,999 $18,775
363 4 Motorcar Parts Of America In (MPAA) Auto Parts 205,863 New Holding 205,863 $37.98 $7,818 $7,818
1985 42 Shoretel Inc (SHOR) Communications Equipment 6,488,174 Added More 939,322 $7.44 $6,988 $48,272
248 2 Interactive Brokers Gro-Cl A (IBKR) Institutional Brokerage 301,849 Added More 134,349 $39.32 $5,282 $11,868
490 18 Callidus Software Inc (CALD) Application Software 308,900 New Holding 308,900 $16.68 $5,152 $5,152
454 3 Builders Firstsource Inc (BLDR) Home Products Stores 408,140 New Holding 408,140 $11.27 $4,599 $4,599
487 2 Callaway Golf Company (ELY) Sporting Goods 3,000,000 Added More 502,322 $9.12 $4,581 $27,360
2243 10 Tal International Group Inc (TAL) Industrial Distribution And Rental 294,700 New Holding 294,700 $15.44 $4,550 $4,550
689 5 Berry Plastics Group Inc (BERY) Containers And Packaging 616,825 Added More 124,249 $36.15 $4,491 $22,298
698 7 Trinity Biotech Plc (TRIB) Life Science Equipment 900,000 Added More 348,368 $11.66 $4,061 $10,494
2386 11 Intl Speedway Corp-Cl A (ISCA) Entertainment Facilities 100,000 New Holding 100,000 $36.91 $3,691 $3,691
1947 11 Tivo Inc (TIVO) Consumer Electronics 2,673,264 Added More 373,264 $9.51 $3,549 $25,422
279 2 Amn Healthcare Services Inc (AHS) Professional Services 400,000 Added More 100,000 $33.61 $3,361 $13,444
2054 12 Boingo Wireless Inc (WIFI) Internet Based Services 2,037,700 Added More 213,400 $7.72 $1,647 $15,731
2280 12 Scientific Games Corp-A (SGMS) Casinos And Gaming 865,903 Added More 30,917 $9.43 $291 $8,165
1551 50 Realnetworks Inc (RNWK) Application Software 1,800,010 No Change 0 $4.06 $0 $7,308
2256 3 Service Corp International (SCI) Funeral Services 957,129 Sold Some -1,276 $24.68 $-31 $23,621
1022 5 Enphase Energy Inc (ENPH) Renewable Energy Equipment 925,991 Sold Some -150,000 $2.33 $-349 $2,157
2738 24 Western Union Co (WU) Consumer Finance 0 Sold All -105,398 $19.29 $-2,033 $0
504 20 Carbonite Inc (CARB) Application Software 456,510 Sold Some -258,155 $7.97 $-2,057 $3,638
1268 7 Irobot Corp (IRBT) Home Improvement 0 Sold All -66,334 $35.29 $-2,341 $0
717 2 1-800-Flowerscom Inc-Cl A (FLWS) Ecommerce Discretionary 0 Sold All -352,329 $7.88 $-2,776 $0
2252 69 Bazaarvoice Inc (BV) Application Software 0 Sold All -1,000,000 $3.15 $-3,150 $0
1815 13 Solarcity Corp (SCTY) Renewable Energy Equipment 0 Sold All -140,194 $24.58 $-3,445 $0
2395 14 Shutterfly Inc (SFLY) Internet Based Services 926,415 Sold Some -81,255 $46.36 $-3,767 $42,957
667 3 Grand Canyon Education Inc (LOPE) Educational Services 1,283,095 Sold Some -130,064 $42.74 $-5,558 $54,839
2448 10 Cf Industries Holdings Inc (CF) Agricultural Chemicals 0 Sold All -195,939 $31.34 $-6,140 $0
153 2 Cott Corporation (COT) Beverages 0 Sold All -584,216 $13.89 $-8,114 $0
2173 45 Mannkind Corp (MNKD) Biotech 0 Sold All -5,082,565 $1.61 $-8,182 $0
2029 4 Smith And Wesson Holding Corp (SWHC) Defense Primes 0 Sold All -315,219 $26.62 $-8,391 $0
407 4 Carmike Cinemas Inc (CKEC) Entertainment Facilities 0 Sold All -311,944 $30.04 $-9,370 $0
2905 5 Amerisourcebergen Corp (ABC) Health Care Supply Chain 0 Sold All -117,844 $86.55 $-10,199 $0
124 1 Dolby Laboratories Inc-Cl A (DLB) Consumer Electronics 0 Sold All -500,000 $43.45 $-21,730 $0
3066 59 Amgen Inc (AMGN) Biotech 0 Sold All -174,716 $149.92 $-26,195 $0
436 1 Macquarie Infrastructure Cor (MIC) Transport Support Services 223,229 Sold Some -400,000 $67.44 $-26,976 $15,054