Investment Watch: What Changed in Atika Capital Management's Q3 2022 vs. Q4 2022 Holdings Comparison
Ava Hoppe | 2 May, 2023
Atika Capital Management, LLC has recently released a comparison report of their Q3 2022 vs. Q4 2022 13F holdings changes. This report unveils the alteration in position size, market value, and percentage change of a list of securities managed by the company. In this article, we will take a closer look at the companies that have the most significant changes in holdings and what these changes could indicate.
Firstly, CALIX INC's position size decreased by 18.2%, with market value falling from $48,918,000 to $44,901,000. The downfall could be due to the release of the company's Q2 earnings report, which showed a decline in revenue and net income compared to the same period last year. The stock also experienced a decline in share price at the same time, indicating a lack of investor confidence.
Next up, IMPINJ INC saw a 45.6% increase in position size, with market value rising from $27,211,000 to $39,632,000. The company specializes in designing and manufacturing radio-frequency identification (RFID) technology, which has gained popularity in inventory management across various industries. The increase in holdings might indicate the company's growth potential in the near future.
In contrast, SHOCKWAVE MED INC's position size decreased by 31.7%, with market value falling from $36,920,000 to $25,206,000. The company recently received FDA approval for its intravascular lithotripsy system, which is used to treat calcified peripheral artery disease. However, the stock has been experiencing a downtrend since April 2021, which may explain the decrease in the company's holdings.
Moving on, MANCHESTER UTD PLC NEW's position size increased from zero to 408,396 shares, with a market value of $9,527,000. Manchester United is an English professional football club that is traded on the New York Stock Exchange. The increase in the company's holdings could be due to the recent acquisition of Jadon Sancho, a forward from Borussia Dortmund, and Rafael Varane, a defender from Real Madrid. The team's performance could have the potential to bring a considerable return on investment for Atika Capital Management.
Lastly, the health care industry saw several significant increases and decreases in position size. BIOMARIN PHARMACEUTICAL INC and TANDEM DIABETES CARE INC both saw their position size increase to 73,739 and 202,280, respectively. On the other hand, ACADEMIA HEALTHCARE COMPANY IN and UNITED THERAPEUTICS CORP DEL saw position sizes decrease to 226,939 and 54,412, respectively.
In conclusion, Atika Capital Management's Q3 2022 vs. Q4 2022 13F holdings comparison report suggests that the company has made several changes to their investment portfolio. The increases and decreases in position size across different industries could indicate the firm's strategy and outlook for the future. It is essential to keep an eye on these changes as they could indicate which sectors are seeing growth and which sectors are experiencing a downturn.
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