140 Summer Partners LP - Portfolio overview

140 Summer Partners LP has 29 reported holdings in this dataset, with the latest filing dated 2026-05-14.

Its largest classified asset exposures are stocks.

Its largest classified sector exposures are Financial Services and Industrials.

Largest reported holdings by portfolio allocation

  1. MTZ - MASTEC INC, 6.59%
  2. PCG - PG&E CORP, 5.39%
  3. VIK - VIKING HOLDINGS LTD, 5.26%

These figures describe reported SEC 13F holdings, which may not represent the institution's entire portfolio or current positions.

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