Third Point Portfolio

Third Point 13F filer (CIK 0001040273).

MidFocusedHigh Turnover how tags are computed

Q4 2022 · 43 positions · Total reported value $5.85B · Top-10 concentration 81.9%

Turnover: 59.2% · 16 new · 4 cut · 9 exited

Active Share (vs S&P 500): 94.5% · vs QQQ: 94.7% — share of the book that differs from index weights (higher = more active) · ranking

In its Q4 2022 13F filing, Third Point disclosed 43 equity positions with a combined reported value of $5.85B. The filing implies a focused portfolio: its ten largest positions account for 81.9% of reported value. HoldingsHub classifies the profile as Mid / Focused / High Turnover.

The largest disclosed positions as of Q4 2022 were PCG ($960.48M), CL ($910.02M), DHR ($716.63M). By sector, the heaviest allocations are Consumer Discretionary 34.3%, Industrials 19.9%. Versus the prior quarter, allocation shifted toward Consumer Discretionary (+8.1pp), Financials (+5.5pp) and away from Technology (-1.6pp), Communication Services (-1.7pp).

Versus the prior quarter, Third Point opened 16 new positions, trimmed 4 and fully exited 9, a turnover rate of 59.2% of positions. The portfolio's overlap with the prior quarter was 59% of names.

Figures come from the fund's SEC Form 13F filing. 13F reports are filed within 45 days of quarter end and cover long positions of $100,000 or more; they exclude short positions and non-13F asset classes, so treat this page as a quarter-end snapshot rather than the fund's live book.

Sector Allocation

Industrials 19.9%
Utilities 16.4%
Technology 8.5%
Financials 5.5%
Energy 3.5%
Other 5.0%
Sort by: Value Shares Weight Sector Change · CSV
# Symbol Company Shares Value Weight Change
1 PCG PG&E CORP 59.07M $960.48M 16.42% Reduce
2 CL COLGATE PALMOLIVE CO 11.55M $910.02M 15.56% Hold
3 DHR DANAHER CORP DEL 2.70M $716.63M 12.25% Hold
4 BBWI BATH & BODY WORKS INC 13.75M $579.42M 9.90% Add
5 UNH UNITEDHEALTH GROUP INCORPORATED 670.00K $355.22M 6.07% Hold
6 AIG AMERICAN INTL GROUP INC 5.10M $322.52M 5.51% New
7 MSFT MICROSOFT CORP 1.18M $282.99M 4.84% New
8 IFF INTERNATIONAL FLAVORS&FRAGRA 2.30M $241.13M 4.12% New
9 S SENTINELONE INC 14.70M $214.47M 3.67% Reduce
10 TJX TJX COS INC NEW 2.65M $210.94M 3.61% Add
11 DD DUPONT DE NEMOURS INC 3.00M $205.89M 3.52% Add
12 OVV OVINTIV INC 4.00M $202.84M 3.47% Hold
13 FIS FIDELITY NATL INFORMATION SV 2.00M $135.70M 2.32% New
14 DIS DISNEY WALT CO 950.00K $82.54M 1.41% Reduce
15 HTZ HERTZ GLOBAL HLDGS INC 5.35M $82.34M 1.41% Hold
16 PCGU PG&E CORP 471.00K $67.94M 1.16% Hold
17 LH LABORATORY CORPORATION OF AMERICA HOLDINGS 192.12K $45.24M 0.77% New
18 JWSMF JAWS MUSTANG ACQUISITION COR 4.00M $40.42M 0.69% Hold
19 GB GLOBAL BLUE GROUP HOLDING AG 8.54M $39.53M 0.68% Hold
20 VTYX VENTYX BIOSCIENCES INC 1.00M $32.79M 0.56% Reduce
21 KVSC KHOSLA VENTURES ACQUT CO III 2.00M $19.91M 0.34% Hold
22 BWC BLUE WHALE ACQUISITION CORP 2.00M $19.58M 0.34% Hold
23 RONI RICE ACQUISITION CORP II 1.50M $15.26M 0.26% Hold
24 DGNU DRAGONEER GROWTH OPT CORP II 1.20M $11.83M 0.20% Hold
25 EGGF EG ACQUISITION CORP 1.10M $10.99M 0.19% Hold
26 DISAU DISRUPTIVE ACQUISITION CORP 1.00M $10.05M 0.17% Hold
27 LITT LOGISTICS INNOVTN TECHNLGS C 1.00M $9.95M 0.17% Hold
28 HCNE JAWS HURRICANE ACQUISITN COR 992.74K $9.90M 0.17% Hold
29 JBLU JETBLUE AIRWAYS CORP 7.62M $5.55M 0.10% New
30 SHY ISHARES TR 60.76K $4.93M 0.08% Add
31 AUR AURORA INNOVATION INC 1.03M $1.25M 0.02% Hold
32 RONIWS RICE ACQUISITION CORP II 500.00K $625.00K 0.01% Hold
33 GBWS GLOBAL BLUE GROUP HOLDING AG 1.33M $414.80K 0.01% Hold
34 AUROW AURORA INNOVATION INC 1.83M $238.55K 0.00% Hold
35 BOACWS BLUESCAPE OPPORTUNITIES ACQU 1.00M $160.00K 0.00% Hold
36 TMCWW TMC THE METALS COMPANY INC 1.00M $80.00K 0.00% Hold
37 EGGFWS EG ACQUISITION CORP 367.50K $70.93K 0.00% Hold
38 CPUHWS COMPUTE HEALTH ACQUISITIN CO 625.00K $70.25K 0.00% Hold
39 JWSWF JAWS MUSTANG ACQUISITION COR 1.00M $65.00K 0.00% Hold
40 HCNEW JAWS HURRICANE ACQUISITN COR 248.18K $39.83K 0.00% Hold
41 BWCAW BLUE WHALE ACQUISITION CORP 500.00K $36.15K 0.00% Hold
42 SLACW SOCIAL LEVERAGE ACQUISN CORP 250.00K $14.95K 0.00% Hold
43 LITTW LOGISTICS INNOVTN TECHNLGS C 333.33K $13.37K 0.00% Hold