← Altimeter Capital portfolio

13F-HR filing

VALIDATED

Holdings period 2015-12-31 · Filed 2016-02-12 · Accession 0001546927-16-000374

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#IssuerClass / CUSIPKindSharesValue
1ALASKA AIR GROUP INCCom · 011659109LONG1,128,146$90.8 million
2AMAZON.COM INCCom · 023135106LONG20,000$13.5 million
3AMERICAN AIRLINES GROUP INCCom · 02376R102LONG1,166,697$49.4 million
4BOX INCCl A · 10316T104LONG533,500$7.4 million
5CTRIP.COM INTERNATIONAL-ADRAmerican DEP SHS · 22943F100LONG1,772,516$82.1 million
6DELTA AIR LINES INCCom New · 247361702LONG763,455$38.7 million
7DEMANDWARE INCCom · 24802Y105LONG500,000$27.0 million
8ELONG INCSponsored ADR · 290138205LONG443,085$7.6 million
9EXPEDIA INCCom New · 30212P303LONG3,049,153$379.0 million
10HUBSPOT INCCom · 443573100LONG297,902$16.8 million
11THE PRICELINE GROUP INCCom New · 741503403LONG70,981$90.5 million
12PURE STORAGE INCCl A · 74624M102LONG2,000,000$31.1 million
13QUNAR CAYMAN IS LTDSPNS ADR CL B · 74906P104LONG1,570,945$80.3 million
14ROYAL CARIBBEAN CRUISES LTDCom · V7780T103LONG1,241,469$125.6 million
15TABLEAU SOFTWARE INCCl A · 87336U105LONG886,408$83.5 million
16UNITED CONTINENTAL HOLDINGSCom · 910047109LONG10,650,000$610.2 million
17WORKDAY INCCl A · 98138H101LONG280,000$22.3 million
18ZENDESK INCCom · 98936J101LONG500,000$13.2 million
19ZILLOW GROUP INCCl C CAP STK · 98954M200LONG1,520,715$35.7 million
20ZILLOW GROUP INCCl A · 98954M101LONG801,816$20.9 million