Universe · entity

COOPER CREEK PARTNERS MANAGEMENT LLC

Institutional manager (13F) · CIK 1512162
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $2M
#IssuerValueShares
1GEO GROUP INCTHE$89k5,314,006
2ADVANCE AUTO PARTS INC$76k1,437,703
3OI GLASS INC$74k7,006,293
4ALMONTY INDUSTRIES INC$69k4,781,415
5BKV CORPORATION$60k2,103,230
6FERROGLOBE PLC$57k13,715,302
7CORECIVIC INC$54k2,849,459
8KYNDRYL HOLDINGS INC$51k3,895,949
9APTIV PLC$48k693,637
10REVOLVE GROUP INC$47k2,069,237
11DIGITALOCEAN HOLDINGS INC$46k539,380
12LIONSGATE STUDIOS CORP$44k4,558,429
13GXO LOGISTICS INC$44k842,026
14PROPETRO HOLDING CORP$43k2,966,561
15NEXGEN ENERGY LTD$41k3,510,501
16TEREX CORP$39k659,769
17CHEMOURS COTHE$38k1,726,003
18SONOCO PRODUCTS CO$38k695,816
19CORE SCIENTIFIC INC$37k2,500,467
20ULTRA CLEAN HOLDINGS INC$36k586,773
21DRAFTKINGS INCCL A$36k1,661,076
22STEVEN MADDEN LTD$34k1,013,685
23COASTAL FINANCIAL CORPWA$34k450,134
24CINEMARK HOLDINGS INC$34k1,191,054
25PRIMO BRANDS CORP$34k1,787,282
26SIGNET JEWELERS LTD$32k383,516
27PARSONS CORP$27k505,128
28MASTEC INC$27k83,706
29FRONTLINE PLC$27k771,966
30RUMBLE INC$27k5,242,497
31RUSH STREET INTERACTIVE INC$25k1,143,643
32AMENTUM HOLDINGS INC$24k929,334
33CAPRI HOLDINGS LTD$24k1,349,826
34HEXCEL CORP$24k292,289
35CAESARS ENTERTAINMENT INC$23k863,331
36HERC HOLDINGS INC$22k219,645
37MDA SPACE LTD$21k816,838
38STAR BULK CARRIERS CORP$20k866,033
39RADWARE LTD$19k740,126
40SLB LTD$19k367,460
41CONSTELLIUM SE$19k764,205
42JOHNSON CONTROLS INTERNATION$19k141,963
43AMAZONCOM INC$18k88,046
44DAVE INC$18k105,193
45LIBERTY ENERGY INC$18k629,752
46UBER TECHNOLOGIES INC$17k236,316
47PROCORE TECHNOLOGIES INC$17k294,255
48FIDELITY NATIONAL INFO SERV$17k353,161
49TWILIO INC A$16k128,322
50TSAKOS ENERGY NAVIGATION LTD$16k397,557
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.