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PACIFIC HEIGHTS ASSET MANAGEMENT LLC

Q3 2025 · 13F-HR

PACIFIC HEIGHTS ASSET MANAGEMENT LLCholdings as filed

Filed 2025-10-29 · accession 0001193125-25-256152

$2.26B
Reported value
79
Positions
2025-09-30
Period end
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The Brief · PACIFIC HEIGHTS ASSET MANAGEMENT LLC · Q3 2025

AI · grounded in 13F

PACIFIC HEIGHTS ASSET MANAGEMENT LLC established a new position in PLTR valued at $204.3M. The fund also initiated new stakes in TPL for $172.7M and NVDA for $145.5M. Additional new positions included META at $117.5M and FCX at $100M. The fund ended the period with 79 positions and total AUM of $2.26B.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
69608A108PLTRPALANTIR TECHNOLOGIES INC$204.3M9.05%1,120,000CommonSOLE
88262P102TPLTEXAS PACIFIC LAND CORP$172.7M7.65%185,000CommonSOLE
67066G104NVDANVIDIA CORP$145.5M6.45%780,000CommonSOLE
30303M102METAMETA PLATFORMS INC$117.5M5.21%160,000CommonSOLE
35671D857FCXFREEPORT-MCMORAN INC$100.0M4.43%2,550,000CommonSOLE
11135F101AVGOBROADCOM INC$79.2M3.51%240,000CommonSOLE
03831W108APPAPPLOVIN CORP$75.4M3.34%105,000CommonSOLE
701094104PHPARKER HANNIFIN CORP$49.3M2.18%65,000CommonSOLE
22160K105COSTCOSTCO WHSL CORP NEW$48.1M2.13%52,000CommonSOLE
13321L108CCJCAMECO CORP$41.9M1.86%500,000CommonSOLE
617446448MSMORGAN STANLEY$38.2M1.69%240,000CommonSOLE
539830109LMTLOCKHEED MARTIN CORP$37.4M1.66%75,000CommonSOLE
166764100CVXCHEVRON CORP$32.6M1.44%210,000CommonSOLE
00827B106AFRMAFFIRM HLDGS INC$32.2M1.42%440,000CommonSOLE
052769106ADSKAUTODESK INC$27.0M1.20%85,000CommonSOLE
042068205ARMARM HOLDINGS PLC$26.2M1.16%185,000CommonSOLE
452308109ITWILLINOIS TOOL WKS INC$26.1M1.16%100,000CommonSOLE
74340W103PLDPROLOGIS INC$25.8M1.14%225,000CommonSOLE
90353T100UBERUBER TECHNOLOGIES INC$25.5M1.13%260,000CommonSOLE
969904101WSMWILLIAMS SONOMA INC$25.4M1.13%130,000CommonSOLE
808513105SCHWSCHWAB CHARLES CORP$24.8M1.10%260,000CommonSOLE
03027X100AMTAMERICAN TOWER CORP NEW$24.0M1.07%125,000CommonSOLE
031162100AMGNAMGEN INC$24.0M1.06%85,000CommonSOLE
30231G102XOMEXXON MOBIL CORP$23.7M1.05%210,000CommonSOLE
828806109SPGSIMON PPTY GROUP INC NEW$23.5M1.04%125,000CommonSOLE
009158106APDAIR PRODS & CHEMS INC$23.2M1.03%85,000CommonSOLE
297178105ESSESSEX PPTY TR INC$22.8M1.01%85,000CommonSOLE
92826C839VVISA INC$22.2M0.98%65,000CommonSOLE
526057104LENLENNAR CORP$22.1M0.98%175,000CommonSOLE
253868103DLRDIGITAL RLTY TR INC$21.6M0.96%125,000CommonSOLE
857477103STTSTATE STREET CORPORATION$21.5M0.95%185,000CommonSOLE
767204100RIORIO TINTO PLC$21.5M0.95%325,000CommonSOLE
670346105NUENUCOR CORP$21.0M0.93%155,000CommonSOLE
31428X106FDXFEDEX CORP$20.0M0.89%85,000CommonSOLE
90138F102TWLOTWILIO INC$20.0M0.89%200,000CommonSOLE
20825C104COPCONOCOPHILLIPS$19.9M0.88%210,000CommonSOLE
86366E106GPCRSTRUCTURE THERAPEUTICS INC$19.6M0.87%700,000CommonSOLE
69047Q102OVVOVINTIV INC$19.6M0.87%485,000CommonSOLE
088606108BHPBHP BILLITON LTD$19.5M0.86%350,000CommonSOLE
983134107WYNNWYNN RESORTS LTD$19.2M0.85%150,000CommonSOLE
783549108RRYDER SYS INC$18.9M0.84%100,000CommonSOLE
403949100DINOHF SINCLAIR CORPORATION$18.3M0.81%350,000CommonSOLE
67077M108NTRNUTRIEN LTD$17.6M0.78%300,000CommonSOLE
25179M103DVNDEVON ENERGY CORPORATION$17.5M0.78%500,000CommonSOLE
254687106DISDISNEY WALT CO$17.2M0.76%150,000CommonSOLE
674599105OXYOCCIDENTAL PETE CORP$17.0M0.75%360,000CommonSOLE
601137102MRPMILLROSE PPTYS INC$16.8M0.74%500,000CommonSOLE
053484101AVBAVALONBAY CMNTYS INC$16.4M0.73%85,000CommonSOLE
758849103REGREGENCY CTRS CORP$16.4M0.73%225,000CommonSOLE
012653101ALBALBEMARLE CORP$16.2M0.72%200,000CommonSOLE
136385101CNQCANADIAN NAT RES LTD$16.0M0.71%500,000CommonSOLE
44980X109IPGPIPG PHOTONICS CORP$15.8M0.70%200,000CommonSOLE
00846U101AAGILENT TECHNOLOGIES INC$15.4M0.68%120,000CommonSOLE
313745101FRTFEDERAL RLTY INVT TR$15.2M0.67%150,000CommonSOLE
13646K108CPCANADIAN PACIFIC KANSAS CITY$14.9M0.66%200,000CommonSOLE
090697103BIREFBIRCHCLIFF ENERGY LTD$14.4M0.64%3,500,000CommonSOLE
626717102MURMURPHY OIL CORP$14.2M0.63%500,000CommonSOLE
85254J102STAGSTAG INDL INC$14.1M0.63%400,000CommonSOLE
343412102FLRFLUOR CORP NEW$13.7M0.61%325,000CommonSOLE
64361Q101VNOMVIPER ENERGY INC$13.4M0.59%350,000CommonSOLE
15202L107CSRCENTERSPACE$13.3M0.59%225,000CommonSOLE
101121101BXPBXP INC (formerly Boston Properties, Inc.)$13.0M0.58%175,000CommonSOLE
69007J304OUTOUTFRONT MEDIA INC$12.8M0.57%700,000CommonSOLE
718546104PSXPHILLIPS 66$12.2M0.54%90,000CommonSOLE
229663109CUBECUBESMART$12.2M0.54%300,000CommonSOLE
74766W108QUBTQUANTUM COMPUTING INC$12.0M0.53%650,000CommonSOLE
550021109LULULULULEMON ATHLETICA INC$11.6M0.51%65,000CommonSOLE
49446R109KIMKIMCO RLTY CORP$10.9M0.48%500,000CommonSOLE
055622104BPBP PLC$10.3M0.46%300,000CommonSOLE
03743Q108APAAPA CORPORATION$10.3M0.46%425,000CommonSOLE
962166104WYWEYERHAEUSER CO$8.7M0.38%350,000CommonSOLE
902653104UDRUDR INC$8.4M0.37%225,000CommonSOLE
929042109VNOVORNADO RLTY TR$8.1M0.36%200,000CommonSOLE
431284108HIWHIGHWOODS PPTYS INC$8.0M0.35%250,000CommonSOLE
903002103UMHUMH PPTYS INC$5.9M0.26%400,000CommonSOLE
91912E105VALEVALE SA$5.4M0.24%500,000CommonSOLE
84473L105SOUHYSOUTH32 LTD$4.5M0.20%500,000CommonSOLE
014491104ALEXALEXANDER & BALDWIN INC$3.6M0.16%200,000CommonSOLE
674599162OXY/WSOCCIDENTAL PETROLEUM CORP WARRANT$2.5M0.11%100,000CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.