Axon Capital LP: A Comparative Analysis of Q2 and Q3 2022 Holdings
Ava Hoppe | 23 April, 2023
Axon Capital LP, a prominent investment management firm, recently released its 13F holdings report for the second quarter and third quarter of 2022. The report revealed some significant changes in the fund's holdings over the past few months. In this blog post, we will provide a detailed analysis of the changes in Axon's investments and how they are likely to impact the market trends.
One of the most significant changes noted in the report was in Axon's holdings of AXONPRIME INFRSTCTR AQSTN CO. The firm held 1.5 million shares of the issuer in both the second and third quarters of 2022. The value of the shares increased by 0.7% between Q2 and Q3 2022.
Another issuer that witnessed a change in holdings was PLAYA HOTELS & RESORTS NV. Axon Capital LP held 1.34 million shares of the issuer in Q2, which increased to 1.41 million shares in Q3. However, the value of the shares decreased by 10.9% between the two quarters.
MOMENTUS INC saw a significant decrease in Axon Capital LP's holdings. The firm held 500,000 shares of the issuer in Q2; however, it decreased to 500,000 shares in Q3. The value of the shares also decreased significantly by 41.9% between the two quarters.
FIDELITY NATL INFORMATION SV, GLOBAL PMTS INC, ALCOA CORP, and XPO LOGISTICS INC are some of the issuers in which Axon Capital LP completely divested its holding in Q3. The values of the shares of these issuers also dropped to zero between the two quarters.
In conclusion, Axon Capital LP's Q2 and Q3 2022 13F holdings showed some significant changes in its positions. The analysis of the report indicates that the fund has been actively managing its portfolio and making strategic decisions to maximize returns. The blog post provides valuable insights into the changing market trends and investment opportunities for investors.
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