TPG Group Holdings

TPG Group Holdings as of Dec. 31, 2020

Portfolio Holdings for TPG Group Holdings

TPG Group Holdings holds 39 positions in its portfolio as reported in the December 2020 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
C3 Ai Cl A (AI) 24.9 $2.2B 16M 138.75
McAfee Corp. Com Cl A 12.3 $1.1B 67M 16.69
Cushman & Wakefield Shs (CWK) 7.8 $708M 48M 14.83
Progyny (PGNY) 6.9 $624M 15M 42.39
Allogene Therapeutics (ALLO) 5.2 $472M 19M 25.24
Comcast Corp Cl A (CMCSA) 3.8 $343M 6.5M 52.40
Uber Technologies (UBER) 3.5 $319M 6.3M 51.00
Anthem (ELV) 3.3 $294M 914k 321.09
Fidelity National Information Services (FIS) 3.0 $270M 1.9M 141.46
Liberty Media Corp. Del Com Ser C FRMLA 2.8 $252M 5.9M 42.60
Thomson Reuters Corp. Com New 2.8 $250M 3.0M 81.89
Alibaba Group Hldg Sponsored ADS (BABA) 2.5 $224M 960k 232.73
Prosight Global 2.3 $210M 16M 12.83
Pegasystems (PEGA) 1.8 $159M 1.2M 133.26
Fidelity National Financial FNF Group Com (FNF) 1.5 $137M 3.5M 39.09
Ross Stores (ROST) 1.5 $137M 1.1M 122.81
Eros STX Global Corporation Shs New 1.5 $135M 74M 1.82
Berry Plastics (BERY) 1.5 $135M 2.4M 56.19
Vaxcyte (PCVX) 1.5 $131M 4.9M 26.57
W.R. Grace & Co. 1.1 $96M 1.8M 54.82
Sony Corp. Sponsored ADR (SONY) 1.0 $93M 922k 101.10
Air Products & Chemicals (APD) 0.9 $82M 300k 273.22
Tpg Re Finance Trust Inc reit (TRTX) 0.8 $75M 7.1M 10.62
Centene Corporation (CNC) 0.8 $75M 1.2M 60.03
Koninklijke Philips N V NY Reg Sh New (PHG) 0.8 $74M 1.4M 54.17
Amneal Pharmaceuticals Com Stk Cl A (AMRX) 0.8 $74M 16M 4.57
Enterprise Products Partners (EPD) 0.7 $65M 3.3M 19.59
Grifols S A Sp ADR Rep B Nvt (GRFS) 0.6 $50M 2.7M 18.44
MPLX Com Unit Rep Ltd (MPLX) 0.5 $47M 2.2M 21.65
Fusion Pharmaceuticals (FUSN) 0.3 $30M 2.6M 11.75
StepStone Group Com Cl A (STEP) 0.3 $26M 642k 39.80
Liberty Media Corp. Del Com Ser A FRMLA 0.3 $23M 600k 37.99
Hamilton Lane Cl A (HLNE) 0.1 $13M 163k 78.05
Trevi Therapeutics (TRVI) 0.1 $12M 4.8M 2.42
Flexion Therapeutics 0.1 $11M 937k 11.54
Satsuma Pharmaceuticals Ord 0.1 $8.7M 1.9M 4.61
Airbnb Com Cl A (ABNB) 0.1 $7.6M 52k 146.80
Entasis Therapeutics Holdings Ord 0.0 $2.5M 1.0M 2.47
Accel Entmt Com Cl A1 (ACEL) 0.0 $1.8M 181k 10.10