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WESTPORT ASSET MANAGEMENT INC

Q2 2025 · 13F-HR

WESTPORT ASSET MANAGEMENT INCholdings as filed

Filed 2025-08-12 · accession 0001398344-25-015122

$226.3M
Reported value
76
Positions
2025-06-30
Period end
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The Brief · WESTPORT ASSET MANAGEMENT INC · Q2 2025

AI · grounded in 13F

WESTPORT ASSET MANAGEMENT INC established a new position in Synopsys Inc SNPS valued at $26.1M. The fund also initiated new stakes in Willis Towers Watson PLC for $21.2M and Adtalem Global Education Inc. for $16M. Additional new positions include MGIC Investment Corp MTG at $12.2M and Universal Health Services Inc UHS at $11.8M.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
871607107SNPSSynopsys Inc$26.1M11.6%51,000CommonNONE
G96629103WTWWillis Towers Watson PLC$21.2M9.38%69,234CommonSHARED
251893103Adtalem Global Education Inc.$16.0M7.07%125,759CommonSHARED
552848103MTGMGIC Investment Corp$12.2M5.40%439,013CommonSHARED
913903100UHSUniversal Health Services Inc$11.8M5.21%65,059CommonSHARED
989207105ZBRAZebra Technologies Corp$10.6M4.68%34,335CommonSHARED
68389X105ORCLOracle Corp$8.3M3.67%38,000CommonNONE
237194105DRIDarden Restaurants Inc$7.6M3.37%35,000CommonSHARED
M22465104CHKPCheck Point Software Technolog$7.1M3.16%32,300CommonNONE
911363109URIUnited Rentals Inc$6.0M2.66%8,000CommonSHARED
90353T100UBERUber Technologies Inc$5.8M2.58%62,577CommonSHARED
69370C100PTCPTC Inc$5.4M2.37%31,100CommonNONE
44980X109IPGPIPG Photonics Corp$5.3M2.35%77,500CommonNONE
464287234EEMiShares MSCI Emerging Markets$4.8M2.13%100,000CommonSHARED
750236101RDNRadian Group Inc$4.7M2.08%130,371CommonSHARED
26875P101EOGEOG Resources Inc$4.7M2.06%38,889CommonSHARED
02079K107GOOGAlphabet Inc$4.3M1.88%24,000CommonNONE
G5494J103Linde PLC$4.2M1.87%9,000CommonNONE
14448C104CARRCarrier Global Corp$3.8M1.70%52,400CommonNONE
760759100RSGRepublic Services Inc$3.7M1.63%15,000CommonNONE
16119P108CHTRCharter Communications Inc$3.1M1.37%7,559CommonNONE
773903109ROKRockwell Automation Inc$3.0M1.32%9,000CommonNONE
459200101IBMInternational Business Machine$2.9M1.30%10,000CommonNONE
887098101TSBKTimberland Bancorp Inc/WA$2.5M1.12%80,909CommonSHARED
78377T107RHPRyman Hospitality Properties I$2.5M1.09%25,000CommonSHARED
127190304CACICACI International Inc$2.4M1.05%5,000CommonNONE
778296103ROSTRoss Stores Inc$2.2M0.96%17,000CommonSHARED
907818108UNPUnion Pacific Corp$2.0M0.89%8,800CommonNONE
00971T101AKAMAkamai Technologies, Inc.$2.0M0.89%25,200CommonNONE
023135106AMZNAmazon.com Inc$1.9M0.85%8,720CommonSHARED
26969P108EXPEagle Materials Inc$1.6M0.71%8,000CommonNONE
655844108NSCNorfolk Southern Corp$1.5M0.68%6,000CommonNONE
775133101ROGRogers Corp$1.4M0.62%20,456CommonSHARED
882508104TXNTexas Instruments Inc$1.3M0.55%6,026CommonNONE
126650100CVSCVS Health Corp$1.2M0.54%17,772CommonSHARED
192479103COHREURCoherent Inc$1.2M0.53%13,500CommonNONE
92532F100VRTXVertex Pharmaceuticals Inc$1.1M0.49%2,500CommonNONE
375558103GILDGilead Sciences Inc$1.1M0.49%10,000CommonNONE
934423104WBDWarner Bros. Discovery, Inc.$1.1M0.49%95,800CommonNONE
046353108AZNNAstraZeneca PLC$1.0M0.46%15,000CommonNONE
92537N108VRTVertiv Holdings Co.$1.0M0.45%8,000CommonNONE
830566105SKAASkechers U.S.A. Inc$946,5000.42%15,000CommonSHARED
00206R102TAT&T Inc$923,7360.41%31,919CommonSHARED
55024U109LITELumentum Holdings Inc$903,0700.40%9,500CommonNONE
090572207BIOBio-Rad Laboratories Inc$723,9600.32%3,000CommonNONE
009158106APDAir Products & Chemicals Inc$705,1500.31%2,500CommonNONE
03662Q105AKXAnsys Inc$702,4400.31%2,000CommonNONE
67077M108NTRNutrien Ltd$649,3760.29%11,150CommonNONE
285512109EAElectronic Arts Inc.$638,8000.28%4,000CommonNONE
302491303FMCFMC Corp$626,2500.28%15,000CommonNONE
75513E101RTXRaytheon Technologies Corp$602,6250.27%4,127CommonNONE
552690109MDUMDU Resources Group Inc$583,4500.26%35,000CommonNONE
002824100ABTAbbott Laboratories$544,0400.24%4,000CommonNONE
35086T109FCPTFour Corners Property Trust In$538,1460.24%19,998CommonSHARED
22788C105CRWDCrowdStrike Holdings, Inc. - A$509,3100.23%1,000CommonNONE
92343X100VTYVerint Systems Inc$442,5750.20%22,500CommonNONE
M25133105CGNTCognyte Software Ltd$415,8000.18%45,000CommonNONE
039483102ADMArcher-Daniels-Midland Co$395,8500.17%7,500CommonNONE
11135F101AVGOBroadcom Inc$361,6530.16%1,312CommonNONE
460690100IPGInterpublic Group of Cos Inc/T$342,7200.15%14,000CommonNONE
674599105OXYOccidental Petroleum Corp$341,7510.15%8,135CommonNONE
651639106NEMNewmont Mining Corp$320,7210.14%5,505CommonNONE
98978V103ZTSZoetis Inc$311,9000.14%2,000CommonNONE
032095101APHAmphenol Corp -CL A$246,8750.11%2,500CommonNONE
300426103ECGEverus Construction Group$238,2380.11%3,750CommonNONE
13645T100Canadian Pacific Railway Ltd$228,6150.10%2,884CommonNONE
81730H109SSentinelOne Inc$228,5000.10%12,500CommonNONE
88033G407THCTenet Healthcare Corp$176,0000.08%1,000CommonSHARED
88076W103TDCTeradata Corp$167,3250.07%7,500CommonNONE
28414H103ELANElanco Animal Health Inc$142,8000.06%10,000CommonNONE
384637104GHCGraham Holdings Co$141,9260.06%150CommonNONE
92857W308VODVodafone Group PLC$95,8230.04%8,989CommonNONE
406216101HALHalliburton Co$70,1890.03%3,444CommonNONE
92343V104VZVerizon Communications Inc$37,2990.02%862CommonNONE
12685J105CABOCable One Inc$20,3720.01%150CommonNONE
523768109LEE1EURLee Enterprises Inc$3,4560.00%540CommonNONE

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.