← Latest Altimeter Capital portfolio

Altimeter Capital portfolio · 2015-06-30

Form 13F reports holdings as of 2015-06-30 and was filed on 2015-08-14. It is delayed, can omit confidential positions, and is not the manager's current portfolio or fund NAV. Options show reported underlying value—not premium, net exposure, or investment intent.

Disclosed long book

$1.23 billion

Long positions

25

Calls / puts

0 / 0

Top 5 concentration

62.4%

Longs with AI data

1 / 25

Average AI 1Y

+22.4%

13F filing comparison

Quarter-over-quarter changes

2015-03-31 to 2015-06-30

Newly reported

2

No longer reported

5

Increased

7

Reduced

3

Newly reported this quarter

Present now and absent from the immediately preceding comparable filing.

PositionKindSharesValue

ALLEGIANT TRAVEL CO

ALLEGIANT TRAVEL CO

LONG10,800$1.9 million

MAKEMYTRIP LIMITED MAURITIUS

MAKEMYTRIP LIMITED MAURITIUS

LONG73,285$1.4 million

No longer reported this quarter

Present in the prior comparable filing and absent from this one.

PositionKindPrior sharesPrior value

CHEGG INC

CHEGG INC · Com

LONG101,369$806,000

CHURCHILL DOWNS INC

CHURCHILL DOWNS INC · Com

LONG13,301$1.5 million

NQ MOBILE INC - ADR

NQ MOBILE INC - ADR · ADR REPSTG CL A

LONG509,176$1.9 million

RED HAT INC

RED HAT INC · Com

LONG91,852$7.0 million

SPIRIT AIRLINES INC

SPIRIT AIRLINES INC · Com

LONG100,000$7.7 million

“No longer reported” means the position is absent from this comparable 13F filing. It does not prove the manager sold it: reporting thresholds, confidential treatment, corporate actions, or instrument changes can also explain the omission.

PositionKindSharesValueLong weightQuarter changeAI at filing · 1YAI now

EXPEDIA INC

EXPEDIA INC · Com New · 30212P303

LONG2,365,357$258.7 million21.0%INCREASED

1Y —

5Y —

UNITED CONTINENTAL HOLDINGS

UNITED CONTINENTAL HOLDINGS · Com · 910047109

LONG4,748,637$251.7 million20.4%INCREASED

1Y —

5Y —

ROYAL CARIBBEAN CRUISES LTD

ROYAL CARIBBEAN CRUISES LTD · Com · V7780T103

LONG1,241,469$97.7 million7.9%UNCHANGED

1Y —

5Y —

THE PRICELINE GROUP INC

THE PRICELINE GROUP INC · Com New · 741503403

LONG70,981$81.7 million6.6%UNCHANGED

1Y —

5Y —

AMERICAN AIRLINES GROUP INC

AMERICAN AIRLINES GROUP INC · Com · 02376R102

LONG2,004,167$80.0 million6.5%INCREASED

1Y —

5Y —

AVIS BUDGET GROUP INC

AVIS BUDGET GROUP INC · Com · 053774105

LONG1,781,127$78.5 million6.4%UNCHANGED

1Y —

5Y —

ALASKA AIR GROUP INC

ALASKA AIR GROUP INC · Com · 011659109

LONG1,128,146$72.7 million5.9%REDUCED

1Y —

5Y —

META

Meta Platforms Inc.

LONG795,045$68.2 millionUNCHANGED

1Y +22.4%

5Y +133.8% · 25 models

CTRIP.COM INTERNATIONAL-ADR

CTRIP.COM INTERNATIONAL-ADR · American DEP SHS · 22943F100

LONG886,258$64.4 million5.2%UNCHANGED

1Y —

5Y —

TRIPADVISOR Inc

TRIPADVISOR Inc · Com · 896945201

LONG600,000$52.3 million4.2%UNCHANGED

1Y —

5Y —

QUNAR CAYMAN IS LTD

QUNAR CAYMAN IS LTD · SPNS ADR CL B · 74906P104

LONG1,024,326$43.9 million3.6%UNCHANGED

1Y —

5Y —

DELTA AIR LINES INC

DELTA AIR LINES INC · Com New · 247361702

LONG938,327$38.5 million3.1%UNCHANGED

1Y —

5Y —

DEMANDWARE INC

DEMANDWARE INC · Com · 24802Y105

LONG480,000$34.1 million2.8%UNCHANGED

1Y —

5Y —

ZILLOW GROUP INC

ZILLOW GROUP INC · Class A · 98954M101

LONG390,674$33.9 millionINCREASED

1Y —

5Y —

HERTZ GLOBAL HOLDINGS INC

HERTZ GLOBAL HOLDINGS INC · Com · 42805T105

LONG1,615,235$29.3 million2.4%UNCHANGED

1Y —

5Y —

HUBSPOT INC

HUBSPOT INC · Com · 443573100

LONG337,902$16.8 million1.4%REDUCED

1Y —

5Y —

WORKDAY INC

WORKDAY INC · Class A · 98138H101

LONG200,000$15.3 millionINCREASED

1Y —

5Y —

AMAZON.COM INC

AMAZON.COM INC · Com · 023135106

LONG20,000$8.7 million0.7%UNCHANGED

1Y —

5Y —

ELONG INC

ELONG INC · Sponsored ADR · 290138205

LONG481,590$8.1 million0.7%REDUCED

1Y —

5Y —

ZENDESK INC

ZENDESK INC · Com · 98936J101

LONG350,000$7.8 million0.6%INCREASED

1Y —

5Y —

FIVE9 INC

FIVE9 INC · Com · 338307101

LONG600,000$3.1 million0.3%UNCHANGED

1Y —

5Y —

ALLEGIANT TRAVEL CO

ALLEGIANT TRAVEL CO · Com · 01748X102

LONG10,800$1.9 million0.2%NEWLY REPORTED

1Y —

5Y —

MAKEMYTRIP LIMITED MAURITIUS

MAKEMYTRIP LIMITED MAURITIUS · SHS · V5633W109

LONG73,285$1.4 million0.1%NEWLY REPORTED

1Y —

5Y —

ORBITZ WORLDWIDE INC

ORBITZ WORLDWIDE INC · Com · 68557K109

LONG111,000$1.3 million0.1%UNCHANGED

1Y —

5Y —

UNITED RENTALS INC

UNITED RENTALS INC · Com · 911363109

LONG8,000$701,0000.1%INCREASED

1Y —

5Y —

AI outlook values are averages across the latest successful run per covered model at the labeled cutoff. “No longer reported” does not necessarily mean sold; thresholds, confidential treatment, corporate actions, or instrument changes may explain an omission. Reviewed API mapping covers 0.0%of disclosed long-book value; exact editorial CUSIP mappings may add current-only AI coverage on this public page. Research use only. No warranty and not investment advice.