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Skye Global Management LP – ‘13F-HR’ for 12/31/17 – ‘INFO-TABLE’

On:  Tuesday, 2/13/18, at 1:12pm ET   ·   Effective:  2/13/18   ·   For:  12/31/17   ·   Accession #:  1420506-18-172   ·   File #:  28-18413

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  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 2/13/18  Skye Global Management LP         13F-HR     12/31/17    2:21K                                    EDGARfilingagent.com/FA

Quarterly Holdings and Combination Report by a Money Manager   —   Form 13F
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 13F-HR      Quarterly Holdings and Combination Report by a      HTML      3K 
                Money Manager -- primary_doc.xml                                 
 2: INFO-TABLE  Information Table for Skye Global Management Lp --  HTML      3K 
                Form13F_InfoTable.xml                                            


‘INFO-TABLE’   —   Information Table for Skye Global Management Lp — Form13F_InfoTable.xml




        

This ‘INFO-TABLE’ Document is an XML Data File that may be rendered in various formats:

  Information Table    –   Plain Text   –  SEC Website  –  EDGAR System  –    XML Data    –  <?xml?> File
 

 
SEC Info rendering:  Information Table for Skye Global Management Lp
 

Skye Global Management LP  
 FL
  ·   Form 13F Holdings Report

§13(f) Securities Holdings   ·   For:  12/31/17   ·   Assets:  $234,464,000   ·   History:  Assets Under Management
Assets Under Management emoji
Assets Under Management emoji
Assets Under Management emoji

Security Market ValueªShares or PrincipalInvestment
Discretion
Other 
Managersº
Voting Authority
Issuer NameIssue ClassOpt.CUSIP/CINS$1000sWeightAmountS/PPriceSoleSharedNone
In ascending orderSort in ascending orderSort in ascending orderSort in ascending orderSort in descending orderSort in ascending orderSort in descending orderSort in ascending order   List(S/P Amounts or For All)
ACTIVISION BLIZZARD INC CMNCOM00507V·10·9716  0.31%11,300Sh.63.36   SoleSole
ADOBE SYSTEMS INC CMNCOM00724F·10·15,258  2.24%30,000Sh.175.27   SoleSole
ALPHABET INC. CMN CLASS CCOM CL C02079K·10·712,034  5.13%11,500Sh.1,046.43   SoleSole
ALTERYX, INC. CMN CLASS ACOM CL A02156B·10·3809  0.35%32,000Sh.25.28   SoleSole
AMAZON.COM INC CMNCOM023135·10·627,249  11.62%23,300Sh.1,169.48   SoleSole
AMERICAN OUTDOOR BRANDS CORPCOM02874P·10·34,841  2.06%377,000Sh.12.84   SoleSole
AMERICAN TOWER CORPORATION CMNCOM03027X·10·01,199  0.51%8,400Sh.142.74   SoleSole
APOLLO GLOBAL MGMT LLC CL A SHSSHS037612·30·65,623  2.40%168,000Sh.33.47   SoleSole
APPIAN CORPORATION CMNCOM03782L·10·11,386  0.59%44,000Sh.31.50   SoleSole
ATLASSIAN CORPORATION PLC CMN CLASS ACOM CL AG06242·10·4547  0.23%12,000Sh.45.58   SoleSole
AUTODESK INCCOM052769·10·620,757  8.85%198,000Sh.104.83   SoleSole
CHASE CORP CMNCOM16150R·10·4717  0.31%5,950Sh.120.50   SoleSole
CHURCHILL DOWNS INC CMNCOM171484·10·8256  0.11%1,100Sh.232.73   SoleSole
COLLIERS INTERNATIONAL GROUP INC CMNCOM194693·10·71,189  0.51%19,700Sh.60.36   SoleSole
ELECTRONIC ARTS INCCOM285512·10·98,405  3.58%80,000Sh.105.06   SoleSole
FIRSTSERVICE CORPORATION CMN CLASSCOM33767E·10·32,308  0.98%33,000Sh.69.94   SoleSole
GODADDY.COM, INC. CMN CLASS ACOM CL A380237·10·7202  0.09%4,000Sh.50.50   SoleSole
GUIDEWIRE SOFTWARE INC CMNCOM40171V·10·0687  0.29%9,250Sh.74.27   SoleSole
INTERCONTINENTAL EXCHANGE INC CMNCOM45866F·10·4953  0.41%13,500Sh.70.59   SoleSole
INTL BUSINESS MACHINES CORP CMNCOM459200·10·1798  0.34%5,200Sh.153.46   SoleSole
IQVIA HOLDINGS INC. CMNCOM46266C·10·54,504  1.92%46,000Sh.97.91   SoleSole
JD.COM, INC. SPONSORED ADR CMNCOM47215P·10·6435  0.19%10,500Sh.41.43   SoleSole
KKR & CO. L.P. CMNCOM48248M·10·2759  0.32%36,000Sh.21.08   SoleSole
LIBERTY MEDIA CORP DELAWARE COM C BRAVES GRPCOM531229·88·81,445  0.62%65,000Sh.22.23   SoleSole
LIBERTY MEDIA CORP LIBERTY FORMULA ONE COMMON STOCKCOM531229·87·0524  0.22%16,000Sh.32.75   SoleSole
LIVE NATION ENTERTAINMENT INC CMNCOM538034·10·9462  0.20%10,850Sh.42.58   SoleSole
MADISON SQUARE GARDEN COMPANYCOM CL A55825T·10·31,455  0.62%6,900Sh.210.87   SoleSole
MICROSOFT CORPCOM594918·10·462,230  26.54%727,500Sh.85.54   SoleSole
MIMECAST LTD CMNCOMG14838·10·9803  0.34%28,000Sh.28.68   SoleSole
NEW YORK TIMES CO.A CMN CLASS ACOM CL A650111·10·7315  0.13%17,000Sh.18.53   SoleSole
SALESFORCE.COM, INC CMNCOM79466L·30·2317  0.14%3,100Sh.102.26   SoleSole
SBA COMMUNICATIONS CORPORATION CMNCOM78410G·10·4327  0.14%2,000Sh.163.50   SoleSole
SERVICENOW INC CMNCOM81762P·10·2522  0.22%4,000Sh.130.50   SoleSole
SHOPIFY INC CMN CLASS ACOM CL A82509L·10·7606  0.26%6,000Sh.101.00   SoleSole
STAR GROUP L P UNIT LTD PARTNRCOM85512C·10·51,500  0.64%139,500Sh.10.75   SoleSole
TAKE-TWO INTERACTIVE SOFTWARECOM874054·10·930,739  13.11%280,000Sh.109.78   SoleSole
TWITTER INCCOM90184L·10·23,458  1.47%144,000Sh.24.01   SoleSole
UNITEDHEALTH GROUP INCCOM91324P·10·211,023  4.70%50,000Sh.220.46   SoleSole
VAIL RESORTS INCCOM91879Q·10·914,810  6.32%69,700Sh.212.48   SoleSole
VISA INC. CMN CLASS ACOM CL A92826C·83·9457  0.19%4,000Sh.114.25   SoleSole
WATSCO INC. CMNCOM942622·20·01,208  0.52%7,100Sh.170.14   SoleSole
WORKDAY, INC. CMN CLASS ACOM98138H·10·1631  0.27%6,200Sh.101.77   SoleSole
41 Issuers42 Issues42 Holdings:  $234,464,000Sole Manager
____________
 ª  No market value of any Holding was adjusted.
 º  Other Included Managers with whom investment discretion is shared as to any Holding:  No Other Included Managers

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Filing Submission 0001420506-18-000172   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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