H&F CORPORATE INVESTORS X, LTD. Holdings
H&F CORPORATE INVESTORS X, LTD. is an investment fund managing more than 962.55M US dollars.
H&F CORPORATE INVESTORS X, LTD. portfolio value:
$962.54M
portfolio value
H&F CORPORATE INVESTORS X, LTD. quarter portfolio value change:
-14.99%
quarter
H&F CORPORATE INVESTORS X, LTD. portfolio changes
Period | Buy | Sel |
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H&F CORPORATE INVESTORS X, LTD. 13F holdings
Stock |
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Portfolio share: 100.00% Portfolio value: 962.54M Avg. open price: $148.61 Current price: $85.43 P/L: -42.51% Bought +7.48% shares Q2 2022 |
Showing TOP 1 H&F CORPORATE INVESTORS X, LTD.'s 13F holdings.
Frequently Asked Questions (FAQ)
What is the biggest position of H&F CORPORATE INVESTORS X, LTD.?
The biggest position of the H&F CORPORATE INVESTORS X, LTD. is Splunk Inc. (SPLK) with 100% portfolio share worth of 962.55M US dollars.
Who is the portfolio manager of H&F CORPORATE INVESTORS X, LTD.?
The portfolio manager of the H&F CORPORATE INVESTORS X, LTD. is .
What is the total asset value of the H&F CORPORATE INVESTORS X, LTD. portfolio?
H&F CORPORATE INVESTORS X, LTD. total asset value (portfolio value) is 962.55M US dollars.
Who is ?
is the portfolio manager of the H&F CORPORATE INVESTORS X, LTD..
What is (H&F CORPORATE INVESTORS X, LTD.) fund performance?
H&F CORPORATE INVESTORS X, LTD.'s quarterly performance is -14.99%, annualy 0.00%.
What is the H&F CORPORATE INVESTORS X, LTD. CIK?
H&F CORPORATE INVESTORS X, LTD.'s Central Index Key is 0001901930 .