Seth Klarman Portfolio 2023
Seth Klarman
The Baupost Group Holdings Strategy: Value InvestorSeth A. Klarman was born on May 21, 1957, in New York City and is considered a value investor and portfolio manager with the Baupost Group who manages investments for families as well as single individuals like himself. He founded the Baupost Group in 1982. Furthermore, he is the author of the book βMargin of Safety: Risk-averse Value Investing Strategies for the Thoughtful Investorβ in 1991. Seth Klarman's investment strategy, renowned for its value-oriented approach, is exemplified by his focus on key stocks in his portfolio. Clarivate Plc stands out as a data analytics and intellectual property company that aligns with Klarman's penchant for firms with durable competitive advantages. Alphabet Inc - Ordinary Shares - Class C represents Klarman's confidence in sustainable growth within the tech sector, highlighting an interest in companies with extensive market influence and innovative capabilities.Investment in Fidelity National Information Services, Inc. showcases Klarman's attraction to established players in the fintech industry, suggesting an affinity for businesses facilitating electronic payments and financial services processing. Willis Towers Watson Public Limited Co further diversifies the portfolio, underpinning Klarman's strategic move into risk management services and advisory sectors, indicating a belief in long-term corporate consultative demands.Lastly, Viasat, Inc., a communications company specializing in satellite technology, suggests Klarman values opportunities where high-tech meets expanding global communication needs. Overall, these top five stocks paint a portrait of Seth Klarmanβs investment philosophy which hinges on fundamental analysis and a clear bias towards resilient companies positioned well for future challenges and opportunities.
Track Klarman, It's Free!Performance
1 Year
-37.76%
3 Years
-62.12%
5 Years
-55.30%
10 years
-62.46%
Sectors
Largest Holdings
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Trades
- Clarivate Plc (CCC)
- Sector: Data Processing, Hosting, and Related Services
- % of Portfolio: 29.4%
- (Buy) - β 0.0% β$28.94 (Now)
- Alphabet Inc - Ordinary Shares - Class C (GOOG)
- Sector: All Other Telecommunications
- % of Portfolio: 15.8%
- (Buy) $86.48 β +85.8% β$160.64 (Now)
- Fidelity National Information Services, Inc. (FIS)
- Sector: Data Processing, Hosting, and Related Services
- % of Portfolio: 13.5%
- (Buy) $65.89 β +10.5% β$72.80 (Now)
- Willis Towers Watson Public Limited Co (WLTW)
- Sector: Insurance Agencies and Brokerages
- % of Portfolio: 12.0%
- (Buy) $219.62 β +5.4% β$231.56 (Now)
- Viasat, Inc. (VSAT)
- Sector: Radio and Television Broadcasting and Wireless Communications Equipment Manufacturing
- % of Portfolio: 8.7%
- (Buy) $37.91 β -54.3% β$17.32 (Now)
- CRH Plc (CRHCF)
- Sector: Other Crushed and Broken Stone Mining and Quarrying
- % of Portfolio: 4.8%
- (Buy) $56.04 β -4.4% β$53.56 (Now)
- Jazz Pharmaceuticals plc (JAZZ)
- Sector: Pharmaceutical Preparation Manufacturing
- % of Portfolio: 3.1%
- (Buy) $140.35 β -20.5% β$111.60 (Now)
- Jacobs Solutions Inc (J)
- Sector: Engineering Services
- % of Portfolio: 2.4%
- (Buy) $130.76 β +7.2% β$140.13 (Now)
- Eagle Materials Inc. (EXP)
- Sector: Cement Manufacturing
- % of Portfolio: 2.1%
- (Buy) $236.23 β +3.2% β$243.76 (Now)
- Theravance Biopharma Inc (TBPH)
- Sector: Pharmaceutical Preparation Manufacturing
- % of Portfolio: 2.1%
- (Buy) $23.42 β -59.1% β$9.59 (Now)
- Wesco International, Inc. (WCC)
- Sector: General Rental Centers
- % of Portfolio: 1.0%
- (Buy) $165.24 β -9.0% β$150.40 (Now)
- Warner Bros. Discovery Inc - Ordinary Shares - Class A (WBD)
- Sector: Radio Networks
- % of Portfolio: 1.0%
- (Buy) $15.95 β -50.6% β$7.88 (Now)
- GDS Holdings Limited - ADR (GDS)
- Sector: Data Processing, Hosting, and Related Services
- % of Portfolio: 0.9%
- (Buy) $6.77 β +53.5% β$10.40 (Now)
- Herbalife Ltd (HLF)
- Sector: All Other Miscellaneous Chemical Product and Preparation Manufacturing
- % of Portfolio: 0.7%
- (Buy) $15.95 β -40.0% β$9.57 (Now)
- Altice USA Inc - Ordinary Shares - Class A (ATUS)
- Sector: All Other Telecommunications
- % of Portfolio: 0.3%
- (Buy) $4.79 β -64.1% β$1.72 (Now)
- SoundHound AI Inc - Ordinary Shares - Class A (SOUN)
- Sector:
- % of Portfolio: 0.2%
- (Buy) $3.96 β +6.5% β$4.22 (Now)
- Unitedhealth Group Inc (UNH)
- Sector: Direct Health and Medical Insurance Carriers
- % of Portfolio: Sold
- (Buy) $33.12 β +1620.9% β$569.96 (Now)
- Paratek Pharmaceuticals Inc. (PRTK)
- Sector: Pharmaceutical Preparation Manufacturing
- % of Portfolio: Sold
- (Buy) $17.07 β -86.9% β$2.23 (Now)
- Citigroup Inc (C)
- Sector: Commercial Banking
- % of Portfolio: Sold
- (Buy) $44.22 β +27.1% β$56.21 (Now)
- Amerisource Bergen Corp. (ABC)
- Sector: Medical, Dental, and Hospital Equipment and Supplies Merchant Wholesalers
- % of Portfolio: Sold
- (Buy) $84.46 β +113.1% β$179.98 (Now)
- Energy Transfer LP - Unit (ET)
- Sector: Pipeline Transportation of Natural Gas
- % of Portfolio: Sold
- (Buy) $10.66 β +44.8% β$15.43 (Now)
- Broadridge Financial Solutions, Inc. (BR)
- Sector: Data Processing, Hosting, and Related Services
- % of Portfolio: Sold
- (Buy) $18.30 β +1039.6% β$208.52 (Now)
- PayPal Holdings Inc (PYPL)
- Sector: Data Processing, Hosting, and Related Services
- % of Portfolio: Sold
- (Buy) $35.81 β +68.8% β$60.46 (Now)
- XPO Inc (XPO)
- Sector: General Freight Trucking, Long-Distance, Truckload
- % of Portfolio: Sold
- (Buy) $77.28 β +38.6% β$107.12 (Now)
- Spirit Aerosystems Holdings Inc - Ordinary Shares - Class A (SPR)
- Sector: Small Arms Ammunition Manufacturing
- % of Portfolio: Sold
- (Buy) $55.33 β -39.4% β$33.55 (Now)
- Takeda Pharmaceutical Co - ADR (TAK)
- Sector: Medicinal and Botanical Manufacturing
- % of Portfolio: Sold
- (Buy) $20.12 β -31.3% β$13.82 (Now)
- Pretium Resources Inc (PVG)
- Sector: Gold Ore Mining
- % of Portfolio: Sold
- (Buy) $7.13 β +111.2% β$15.05 (Now)
- American International Group Inc (AIG)
- Sector: Third Party Administration of Insurance and Pension Funds
- % of Portfolio: Sold
- (Buy) $35.54 β +97.4% β$70.16 (Now)
- Yamana Gold Inc. (AUY)
- Sector: Gold Ore Mining
- % of Portfolio: Sold
- (Buy) $11.67 β -49.9% β$5.85 (Now)
- Veradigm Inc (MDRX)
- Sector: Computer Systems Design Services
- % of Portfolio: Sold
- (Buy) $13.01 β -28.0% β$9.37 (Now)
Stock |
% of portfolio |
Average Buy Price |
Current Price |
Position | ||
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Options
Can't find any put or calls that Seth Klarman has in Baupost Group
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Metrics
Performance
1 Year
-37.76%
3 Years
-62.12%
5 Years
-55.30%
10 years
-62.46%
Averaged Ratio's of Portfolio Stocks
- Market Cap: $359 Billion
- Dividend Yield 0.51 %
- Beta 0.9892
- P/E Ratio 18.19
- Negative P/E Ratio -42.97
- Profit Margin NaN%
- PEG 37.15
- Price to Sales Ratio 3.97
- Price to Book Ratio 2.62
- Enterprise Value to EBIT: 20.92
- Enterprise Value to Revenue NaN
- Total Debt to Enterprise Value NaN
- Debt to Equity NaN
- Quarterly Earnings Growth (YoY) -
- Return on Equity NaN%
- Return on Assets NaN%
- Return on Invested Capital NaN%
Track Klarman
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About Seth Klarman
Seth A. Klarman was born on May 21, 1957, in New York City and is considered a value investor and portfolio manager with the Baupost Group who manages investments for families as well as single individuals like himself. He founded the Baupost Group in 1982. Furthermore, he is the author of the book βMargin of Safety: Risk-averse Value Investing Strategies for the Thoughtful Investorβ in 1991. Seth Klarman's investment strategy, renowned for its value-oriented approach, is exemplified by his focus on key stocks in his portfolio. Clarivate Plc stands out as a data analytics and intellectual property company that aligns with Klarman's penchant for firms with durable competitive advantages. Alphabet Inc - Ordinary Shares - Class C represents Klarman's confidence in sustainable growth within the tech sector, highlighting an interest in companies with extensive market influence and innovative capabilities.Investment in Fidelity National Information Services, Inc. showcases Klarman's attraction to established players in the fintech industry, suggesting an affinity for businesses facilitating electronic payments and financial services processing. Willis Towers Watson Public Limited Co further diversifies the portfolio, underpinning Klarman's strategic move into risk management services and advisory sectors, indicating a belief in long-term corporate consultative demands.Lastly, Viasat, Inc., a communications company specializing in satellite technology, suggests Klarman values opportunities where high-tech meets expanding global communication needs. Overall, these top five stocks paint a portrait of Seth Klarmanβs investment philosophy which hinges on fundamental analysis and a clear bias towards resilient companies positioned well for future challenges and opportunities.
Track Klarman
Don't miss a trade. Get notified when Seth Klarman makes his next trade, It's Free!