Shenkman Capital Management Inc Q3 2022 vs. Q4 2022 13F Holdings Comparison
Ava Hoppe | 14 May, 2023
In the investing world, where every move counts, even the slightest changes in holdings can make a big impact. That's why investors eagerly wait for the quarterly release of the 13F filings to see the allocations of institutions. One of the firms that recently released their 13F filings is Shenkman Capital Management Inc. Let's dive into the Q3 2022 vs. Q4 2022 13F Holdings Comparison to see their current portfolio and any changes they made.
Shenkman Capital Management Inc: An Overview
Shenkman Capital Management Inc is an independently owned investment management firm founded in 1985. It primarily deals with high yield and distressed debt securities. The company has its headquarters in New York and manages around $28.14 billion in total assets. Its clients include high net worth individuals, pooled investment vehicles, and pension plans.
Q3 2022 vs. Q4 2022: Comparing the Changes in Holdings
Shenkman Capital Management Inc made significant changes to its portfolio during the Q3 2022 vs. Q4 2022 period. Let's take a look at some of the major changes.
- Diamond Offshore Drilling Inc (DO): Shenkman Capital Management Inc maintained its holdings in Diamond Offshore Drilling Inc, holding 3,950,770 shares worth $39,835,000 in Q4 2022. There were no changes to the shares held.
- Biomarin Pharmaceutical Inc: The company increased its holdings in Biomarin Pharmaceutical Inc by 6.9% in Q4 2022, holding 30,334,000 shares worth $321,800,000.
- Splunk Inc: Shenkman Capital Management Inc increased its holdings in Splunk Inc by 28.7% in Q4 2022, holding 35,063,000 shares worth $296,740,000.
- NCL Corp Ltd: The company added NCL Corp Ltd to its portfolio in Q4 2022, holding 31,342,000 shares worth $214,730,000.
- Chegg Inc: The company added Chegg Inc to its portfolio in Q4 2022, holding 19,251,000 shares worth $175,900,000.
- Coupa Software Inc: Shenkman Capital Management Inc decreased its holdings in Coupa Software Inc by 55.8%, holding 11,179,000 shares worth $108,450,000 in Q4 2022.
Conclusion
Through its Q3 2022 vs. Q4 2022 13F Holdings Comparison, Shenkman Capital Management Inc made some significant changes to its portfolio. While it maintained its holdings in some companies, it increased or added holdings in others. Investors can use this information to gain insights into the firm's investment strategies, and make informed decisions about their own portfolios.
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