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Latest Rock Creek Group, LP Stock Portfolio

$794Million

Equity Portfolio Value
Last Reported on: 13 May, 2024

About Rock Creek Group, LP and it’s 13F Hedge Fund Stock Holdings

Rock Creek Group, LP is a hedge fund based in WASHINGTON, DC. On 01-May-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $15.7 Billions. In it's latest 13F Holdings report, Rock Creek Group, LP reported an equity portfolio of $794.3 Millions as of 31 Mar, 2024.

The top stock holdings of Rock Creek Group, LP are AGG, CHH, AGG. The fund has invested 23.4% of it's portfolio in ISHARES CORE S&P TOTAL U.S. and 16.6% of portfolio in CHOICE HOTELS INTL INC.

The fund managers got completely rid off SPDR MSCI USA GENDER DIVERSI (BIL), ISHARES MSCI CHINA ETF (AMPS) and XTRACKERS HARVEST CSI 300 CHINA ETF (ACSG) stocks. They significantly reduced their stock positions in SKYLINE CHAMPION ORD (NYS) (SKY), GIGACLOUD TECHNOLOGY CL A ORD (NMS) (GCT) and RLX TECHNOLOGY ADS REP CL A ORD (NYS) (RLX). Rock Creek Group, LP opened new stock positions in ISHARES MSCI INDIA ETF (AMPS), CRH PUBLIC LIMITED ORD (NYS) (CRH) and PAR TECHNOLOGY ORD (NYS) (PAR). The fund showed a lot of confidence in some stocks as they added substantially to KE HOLDINGS ADR REP 3 CL A ORD (NYS) (BEKE), MINISO GROUP HOLD ADR REP 4 ORD (NYS) (MNSO) and BILIBILI ADS (NMS) (BILI).

New Buys

Ticker$ Bought
ISHARES MSCI INDIA ETF24,173,000
CRH PUBLIC LIMITED ORD (NYS)4,841,000
PAR TECHNOLOGY ORD (NYS)2,600,400
RENTOKIL INITIAL ADS ECH REP 5 ORD (NYS)2,246,750
XPONENTIAL FITNESS CL A ORD (NYS)1,654,000
GENIUS SPORTS ORD (NYS)856,500
ISHARES FLOATING RATE BOND ETF702,075
US SILICA HOLDINGS ORD (NYS)442,156

New stocks bought by Rock Creek Group, LP

Additions

Ticker% Inc.
KE HOLDINGS ADR REP 3 CL A ORD (NYS)440
MINISO GROUP HOLD ADR REP 4 ORD (NYS)163
BILIBILI ADS (NMS)59.91
ISHARES CORE S&P 500 ETF55.59
QIFU TECHNOLOGY ADR (NMS)46.65
VASTA PLATFORM CL A ORD (NMS)46.07
ISHARES CORE U.S. AGGREGATE BOND ETF42.58
YUM CHINA ORD (NYS)41.77

Additions to existing portfolio by Rock Creek Group, LP

Reductions

Ticker% Reduced
SKYLINE CHAMPION ORD (NYS)-87.5
GIGACLOUD TECHNOLOGY CL A ORD (NMS)-62.29
RLX TECHNOLOGY ADS REP CL A ORD (NYS)-61.32
ZTO EXPRESS CAYMAN ADR REP CL A ORD (NYS)-58.81
ISHARES MSCI MEXICO ETF-56.8
PETROLEO BRASILEIRO ADR REPSTG 2 PRF (NYS)-37.41
ITAU UNIBANCO HOLDING ADR REP 1 PRF (NYS)-36.09
NU HOLDINGS CL A ORD (NYS)-35.11

Rock Creek Group, LP reduced stake in above stock

Sold off

Ticker$ Sold
SPDR MSCI USA GENDER DIVERSI-17,084,200
ISHARES MSCI CHINA ETF-4,431,490
XTRACKERS HARVEST CSI 300 CHINA ETF-863,509
I3 VERTICALS CL A ORD (NMS)-635,100
BANCO BRADESCO ADR REPSTG 1 PRF (NYS)-12,604
AMBEV ADR REP ONE ORD (NYS)-8,434
EATON VANCE FLTING RATE INC-7,607
ICICI BANK ADR REP 2 ORD (NYS)-13,160

Rock Creek Group, LP got rid off the above stocks

Current Stock Holdings of Rock Creek Group, LP

Last Reported on: 13 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
ABEVAMBEV ADR REP ONE ORD (NYS)0.000.000.00SOLD OFF-100
ABGASBURY AUTOMOTIVE GROUP ORD (NYS)0.145,0001,124,850UNCHANGED0.00
ACSGXTRACKERS HARVEST CSI 300 CHINA ETF0.000.000.00SOLD OFF-100
ACWFISHARES MSCI SAUDI ARABIA ETF0.1221,705958,493REDUCED-27.45
ACWFISHARES MSCI QATAR ETF0.0941,004723,311REDUCED-28.79
ACWFISHARES MSCI UAE ETF (NMS)0.002,53937,552UNCHANGED0.00
ACWVISHARES MSCI MEXICO ETF0.3742,3652,936,320REDUCED-56.8
ACWVISHARES MSCI SOUTH AFRICA ETF (PSE)0.011,78269,801REDUCED-7.91
AGGISHARES CORE S&P TOTAL U.S.23.371,610,200185,656,000ADDED4.9
AGGISHARES CORE U.S. AGGREGATE BOND ETF13.241,277,480105,131,000ADDED42.58
AGGISHARES TIPS BOND ETF7.732,770,60061,388,700ADDED0.52
AGGISHARES CORE S&P 500 ETF0.071,419583,323ADDED55.59
AGTISHARES CORE MSCI INTERNATIONAL DEVELOPED MARKETS ETF7.14844,59756,677,800ADDED39.31
ALTGALTA EQUIPMENT GROUP CL A ORD (NYS)0.23150,0001,855,500UNCHANGED0.00
AMPSISHARES MSCI INDIA ETF3.04468,55924,173,000NEW
AMPSISHARES FLOATING RATE BOND ETF0.0913,750702,075NEW
AMPSISHARES MSCI CHINA ETF0.000.000.00SOLD OFF-100
AMPSISHARES MSCI POLAND ETF (PSE)0.001,83843,358REDUCED-16.07
ARENARENA GROUP HLDGS ORD (ASE)0.000.000.00SOLD OFF-100
ASOACADEMY SPORTS AND OUTDOORS ORD (NMS)0.2125,0001,650,000UNCHANGED0.00
BBAXJP MORGAN ULTRA SHORT INCOME ETF5.10803,48640,535,900ADDED39.14
BBDBANCO BRADESCO ADR REPSTG 1 PRF (NYS)0.000.000.00SOLD OFF-100
BEKEKE HOLDINGS ADR REP 3 CL A ORD (NYS)0.002,04428,064ADDED440
BILSPDR MSCI USA GENDER DIVERSI0.000.000.00SOLD OFF-100
BILIBILIBILI ADS (NMS)0.001,46816,442ADDED59.91
BXCBLUELINX ORD (NYS)0.2820,0002,266,200UNCHANGED0.00
CHHCHOICE HOTELS INTL INC16.651,046,580132,235,000UNCHANGED0.00
CRHCRH PUBLIC LIMITED ORD (NYS)0.6170,0004,841,000NEW
CROXCROCS ORD (NMS)0.2117,5001,634,680UNCHANGED0.00
DMXFISHARES MSCI KUWAIT ETF (BAT)0.0050817,071REDUCED-33.42
EDUNEW ORIENTL EDUCTN GRP ADR REP 1 ORD (NYS)0.1513,7201,191,170ADDED0.62
EEFTEURONET WORLDWIDE ORD (NMS)0.3225,0002,537,250UNCHANGED0.00
EMGFISHARES CORE MSCI EMERGING ETF2.46379,80219,541,700ADDED1.75
EXTREXTREME NETWORKS ORD (NMS)0.22100,0001,764,000UNCHANGED0.00
GBILGOLDMAN SACHES ACCESS TREASURY 0 ETF5.39424,77042,844,600ADDED9.19
GCTGIGACLOUD TECHNOLOGY CL A ORD (NMS)0.0619,104510,458REDUCED-62.29
GENIGENIUS SPORTS ORD (NYS)0.11150,000856,500NEW
GFFGRIFFON ORD (NYS)2.05266,84316,264,100UNCHANGED0.00
GLDSPDR GOLD SHARES ETF5.78223,97545,950,600ADDED16.59
IBCEISHARES CORE MSCI EAFE ETF2.14229,15017,007,500REDUCED-3.3
IBNICICI BANK ADR REP 2 ORD (NYS)0.000.000.00SOLD OFF-100
IIIVI3 VERTICALS CL A ORD (NMS)0.000.000.00SOLD OFF-100
IMXIINTERNATIONAL MONEY EXPRESS ORD (NMS)0.2070,0001,546,300UNCHANGED0.00
INABIN8BIO, INC. (NMS)0.03151,314208,813UNCHANGED0.00
ITUBITAU UNIBANCO HOLDING ADR REP 1 PRF (NYS)0.002,11114,629REDUCED-36.09
LEGHLEGACY HOUSING ORD (NMS)0.1340,0001,008,800UNCHANGED0.00
MLNKMERIDIANLINK ORD (NYS)0.0311,407213,311NEW
MNSOMINISO GROUP HOLD ADR REP 4 ORD (NYS)0.11162,271857,115ADDED163
NUNU HOLDINGS CL A ORD (NYS)0.001,04812,503REDUCED-35.11
PARPAR TECHNOLOGY ORD (NYS)0.3357,3282,600,400NEW
PBRPETROLEO BRASILEIRO ADR REPSTG 2 PRF (NYS)0.001,80727,176REDUCED-37.41
PDDPDD HOLDINGS ADS (NMS)0.095,935689,944REDUCED-22.89
PLYAPLAYA HOTELS RESORTS ORD (NMS)0.16150,0001,297,500UNCHANGED0.00
QFINQIFU TECHNOLOGY ADR (NMS)0.001,49027,461ADDED46.65
RCMR1 RCM ORD (NMS)0.40300,0003,171,000UNCHANGED0.00
RLXRLX TECHNOLOGY ADS REP CL A ORD (NYS)0.005,1739,932REDUCED-61.32
RTORENTOKIL INITIAL ADS ECH REP 5 ORD (NYS)0.2874,5192,246,750NEW
SESEA ADS REP CL A ORD (NYS)0.012,128114,295REDUCED-3.4
SKYSKYLINE CHAMPION ORD (NYS)0.0910,000742,600REDUCED-87.5
SLCAUS SILICA HOLDINGS ORD (NYS)0.0635,629442,156NEW
SQMSOCIEDAD QUIMICA ADR REP 1 SRS B ORD (NYS)0.000.000.00SOLD OFF-100
SWISOLARWINDS ORD (NYS)0.24150,0001,873,500UNCHANGED0.00
VALEVALE ADR REPTG ONE ORD (NYS)0.001,60319,541REDUCED-34.22
VIPSVISHOP HLDGS LTD0.0421,400354,170NEW
VSTAVASTA PLATFORM CL A ORD (NMS)0.004,75918,893ADDED46.07
VTRUVITRU ORD (NMS)0.013,55651,278ADDED27.14
XPOFXPONENTIAL FITNESS CL A ORD (NYS)0.21100,0001,654,000NEW
YMMFULL TRUCK ALLNC 20 ADR REP CL A ORD (NYS)0.12131,292954,493ADDED9.41
YUMCYUM CHINA ORD (NYS)0.0046518,502ADDED41.77
ZTOZTO EXPRESS CAYMAN ADR REP CL A ORD (NYS)0.0076916,103REDUCED-58.81
AMER SPORTS INC0.0420,000326,000NEW
EATON VANCE FLTING RATE INC0.000.000.00SOLD OFF-100