← Altimeter Capital portfolio

13F-HR filing

VALIDATED

Holdings period 2016-12-31 · Filed 2017-02-14 · Accession 0001144204-17-008913

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#IssuerClass / CUSIPKindSharesValue
1ALASKA AIR GROUP INCCom · 011659109LONG902,489$80.1 million
2ALLEGIANT TRAVEL COCom · 01748X102LONG6,350$1.1 million
3AMAZON.COM INCCom · 023135106LONG50,000$37.5 million
4AMERICAN AIRLINES GROUP INCCom · 02376R102LONG850,000$39.7 million
5CTRIP.COM INTERNATIONAL-ADRAmerican DEP SHS · 22943F100LONG1,287,009$51.5 million
6DELTA AIR LINES INCCom New · 247361702LONG863,455$42.5 million
7EXPEDIA INCCom New · 30212P303LONG4,498,111$509.5 million
8NETFLIX INCCom · 64110L106LONG242,200$30.0 million
9PAYPAL HOLDINGS INCCom · 70450Y103LONG200,000$7.9 million
10PURE STORAGE INCClass A · 74624M102LONG4,109,821$46.5 million
11SALESFORCE.COM INCCom · 79466L302LONG155,000$10.6 million
12SQUARE INCClass A · 852234103LONG1,456,545$19.9 million
13TABLEAU SOFTWARE INCClass A · 87336U105LONG2,594,384$109.4 million
14THE PRICELINE GROUP INCCom New · 741503403LONG123,000$180.3 million
15TWILIO INCClass A · 90138F102LONG777,800$22.4 million
16UNITED CONTINENTAL HOLDINGSCom · 910047109LONG10,257,765$747.6 million
17ZILLOW GROUP INCClass A · 98954M101LONG368,142$13.4 million