CIK: 0002011655
Total reported value
$225.5M
Reporting period: 2026-06-30 · Number of holdings: 14
Sea Cliff Partners Management, LP disclosed 14 holdings in its latest 13F filing for the period ending 2026-06-30, with total reported value of $225.5M and a quarterly turnover rate of 50.9%.
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Sea Cliff Partners Management, LP's disclosed holdings carry a Herfindahl concentration index of 0.093 — mathematically equivalent to about 11 equally-sized positions, close to its 14 actual disclosed holdings. Value is spread relatively evenly across the portfolio rather than concentrated in a handful of names.
Position sizes are fairly uniform across the portfolio (a coefficient of variation of 0.57), suggesting a disciplined, rules-based approach to how much capital goes into each idea.
Recent activity leans toward initiating meaningfully larger new positions than it adds to existing ones (a 2.1 percentage-point tilt) — a pattern consistent with a more contrarian, new-idea-driven approach.
Sector classification currently covers about 50% of this portfolio's disclosed value; the remainder includes holdings (e.g. unmapped tickers, options, or other security types) not yet covered by our sector mapping.
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Sold out 7WH
New buy JBTM
Sold out CNM
Add OMF
+305.0% $11.6M
New buy COUR
New buy 04339D105
| # | Ticker | Issuer | Asset Subclass | Weight | Weight Change | Shares Change | 4Q Trend |
|---|---|---|---|---|---|---|---|
| 1 | BTSG | Brightspring Health Services | Stock-Other | 16.98% | -0.28% | -30.02% | |
| 2 | LTH | Life Time Group Holdings Inc | Stock-Other | 11.44% | +2.30% | -3.84% | |
| 3 | WCC | Wesco International Inc | Stock-Industrials | 11.03% | -1.15% | -16.49% | |
| 4 | OKTA | Okta Inc | Stock-Tech | 9.68% | +0.74% | -27.30% | |
| 5 | JHX | James Hardie Industries plc | Stock-Other | 7.43% | +0.40% | -10.95% | |
| 6 | ITGR | Integer Holdings CORP | Stock-Healthcare | 7.34% | -1.22% | -5.96% | |
| 7 | OMF | Onemain Holdings Inc | Stock-Financials | 6.57% | +4.91% | +304.99% | |
| 8 | SGRY | Surgery Partners Inc | Stock-Other | 6.30% | -0.10% | -18.65% | |
| 9 | HXL | Hexcel CORP | Stock-Industrials | 5.35% | -2.72% | -37.59% | |
| 10 | JBTM | Jbt Marel CORP | Stock-Industrials | 5.18% | +5.18% | NEW | |
| 11 | COUR | Coursera Inc | Stock-Other | 4.20% | +4.20% | NEW | |
| 12 | ✓ | Stock-Other | 3.99% | +3.99% | NEW | ||
| 13 | GDDY | Godaddy Inc - Class A | Stock-Tech | 2.82% | -2.41% | -38.83% | |
| 14 | TOST | Toast Inc-class A | Stock-Tech | 1.68% | +1.68% | NEW |
Performance for Q3 2026
+11.6%
Performance Last 4 Quarters
+26%
Sea Cliff Partners Management, LP's most significant position changes for 2026-06-30: Sold out: Udemy Inc (7WH); New buy: Jbt Marel CORP (JBTM); Sold out: Core & Main Inc-class A (CNM); New buy: Coursera Inc (COUR); New buy: .
| # | Ticker | Issuer | Weight Change | Shares Change | Action |
|---|---|---|---|---|---|
| 1 | JBTM | Jbt Marel CORP | +5.2% | NEW | New buy |
| 2 | OMF | Onemain Holdings Inc | +4.9% | +304.99% | Add |
| 3 | COUR | Coursera Inc | +4.2% | NEW | New buy |
| 4 | ✓ | +4% | NEW | New buy | |
| 5 | LTH | Life Time Group Holdings Inc | +2.3% | -3.84% | Trim |
| 6 | TOST | Toast Inc-class A | +1.7% | NEW | New buy |
| 7 | OKTA | Okta Inc | +0.7% | -27.30% | Trim |
| 8 | JHX | James Hardie Industries plc | +0.4% | -10.95% | Trim |
| 9 | SGRY | Surgery Partners Inc | -0.1% | -18.65% | Trim |
| 10 | BTSG | Brightspring Health Services | -0.3% | -30.02% | Trim |
| 11 | WCC | Wesco International Inc | -1.2% | -16.49% | Trim |
| 12 | ITGR | Integer Holdings CORP | -1.2% | -5.96% | Trim |
| 13 | GDDY | Godaddy Inc - Class A | -2.4% | -38.83% | Trim |
| 14 | HXL | Hexcel CORP | -2.7% | -37.59% | Trim |
| 15 | PLNT | Planet Fitness Inc - Cl A | -3.9% | EXIT | Sold out |
| 16 | CNM | Core & Main Inc-class A | -5.1% | EXIT | Sold out |
| 17 | 7WH | Udemy Inc | -6.5% | EXIT | Sold out |
Sea Cliff Partners Management, LP returned an annualized 7.1% over the trailing 30 months — underperforming the S&P 500 by 8.8 points — based on a reconstructed track record of its disclosed 13F positions, with a beta of 0.93 (roughly in line with the market) and a 40% quarterly batting average against the index.
Its portfolio is moderately concentrated and moderately active, with 43.4% of the portfolio concentrated in Industrials.
Its turnover score has risen from 0 to 51 over the past 4 quarters — a shift toward more active trading.
It has added to its LTH position over the past two quarters (+$13.4M, now $25.8M), while trimming GDDY over the same stretch (-$10.9M, still holding $6.4M).
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