Fund HoldingsPAR CAPITAL MANAGEMENT INC

Total Portfolio Value
$4.03B
Total Bought
$454.78M
Total Sold
$430.25M
Net Transaction
+$24.53M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
UNITED AIRLS HLDGS INC(UAL)4,996,8505,359,741+362,891460,060728,87118.07%+268,811
DELTA AIR LINES INC(DAL)3,514,4453,482,745-31,700233,640326,1948.09%+92,554
SYNCHRONY FINANCIAL(SYF)7,612,1377,612,1370517,778578,90314.35%+61,125
SOUTHWEST AIRLS CO(LUV)5,219,1924,905,756-313,436196,085252,2546.25%+56,169
UBER TECHNOLOGIES INC(UBER)3,736,9734,217,700+480,727268,800304,3497.54%+35,549
EXPEDIA GROUP INC(EXPE)1,952,1201,895,847-56,273450,725485,10912.03%+34,384
META PLATFORMS INC(META)054,983+54,983030,9710.77%+30,971
ALLEGIANT TRAVEL CO(ALGT)846,191844,632-1,55968,57599,3292.46%+30,753
ZILLOW GROUP INC(Z)0823,000+823,000025,9410.64%+25,941
ALASKA AIR GROUP INC1,581,5001,579,636-1,86458,16882,4572.04%+24,289
GRUPO AEROMEXICO SAB DE CV(AERO)01,189,824+1,189,824021,4170.53%+21,417
VISA INC(V)80,000127,600+47,60024,17943,7781.09%+19,599
HYATT HOTELS CORP(H)338,500338,500048,67365,6151.63%+16,942
MASTERCARD INCORPORATED(MA)030,000+30,000015,4080.38%+15,408
AIRBNB INC747,500750,000+2,50094,394107,3252.66%+12,931
TRIPADVISOR INC(TRIP)4,072,0544,072,054043,40855,8281.38%+12,420
TRIVAGO N V4,193,1144,292,733+99,61911,36323,4810.58%+12,118
CARVANA CO(CVNA)347,8721,739,360+1,391,488109,364114,4852.84%+5,121
AMERICAN AIRLINES GROUP INC(AAL)1,250,0001,000,000-250,00013,42518,0700.45%+4,645
JETBLUE AIRWAYS CORP(JBLU)4,457,4254,000,000-457,42519,70222,9200.57%+3,218
RYANAIR HOLDINGS PLC(RYAAY)345,000340,000-5,00019,94122,0150.55%+2,074
FLEX LTD(FLEX)09,910+9,91001,6060.04%+1,606
REPUBLIC AWYS HLDGS INC(RJET)506,844506,84409,06210,6490.26%+1,586
ZOOM COMMUNICATIONS INC(ZM)6,00017,000+11,0004821,4670.04%+985
EBAY INC.(EBAY)08,000+8,00008940.02%+894
CARS COM INC246,299246,29902,0002,6950.07%+695
CITIZENS FINL GROUP INC(CFG)16,00020,000+4,0009601,4010.03%+442
AFFIRM HLDGS INC(AFRM)04,000+4,00003260.01%+326
CITIGROUP INC(C)10,00010,00001,1341,4000.03%+266
CITIGROUP INC(C)(Put)10,00010,00001,1341,400+266
PNC FINL SVCS GROUP INC(PNC)01,000+1,00002460.01%+246
MAPLEBEAR INC(CART)20,33620,33607629630.02%+201
CARGURUS INC(CARG)10,37610,37603533540.01%0
NEXTPOWER INC1,7261,72602082060.01%-2
TRIP COM GROUP LTD(TCOM)13,52313,52306735390.01%-135
TRUIST FINL CORP(TFC)15,00010,000-5,0006904980.01%-191
DELTA AIR LINES INC(DAL)(Put)18,00010,500-7,5001,197983-213
SNAP INC(SNAP)110,6930-110,6935090-509
PINTEREST INC(PINS)31,8250-31,8255840-584
SCHWAB CHARLES CORP(SCHW)253,300245,000-8,30023,80522,6060.56%-1,199
ALPHABET INC(GOOG)35,60025,200-10,40010,2128,9040.22%-1,308
BOOKING HOLDINGS INC(BKNG)42,573992,100+949,527179,246176,8324.38%-2,414
WEBSTER FINL CORP(WBS)50,0000-50,0003,4710-3,471
HERTZ GLOBAL HLDGS INC1,400,000911,001-488,9996,4542,0630.05%-4,391
FRONTIER GROUP HLDGS INC(ULCC)2,131,1000-2,131,1007,5230-7,523
BILL HOLDINGS INC400,000200,000-200,00015,3207,2320.18%-8,088
LATAM AIRLINES GROUP SA(LTM)165,0000-165,0008,1580-8,158
ALPHABET INC(GOOG)(Put)33,6002,500-31,1009,638883-8,755
GLOBAL BUSINESS TRAVEL GROUP(GBTG)1,686,6340-1,686,6349,4110-9,411
MARRIOTT INTL INC NEW(MAR)90,00040,000-50,00029,43614,8240.37%-14,613
COPA HOLDINGS SA(CPA)157,19720,115-137,08217,8593,1290.08%-14,730
LYFT INC(LYFT)3,130,0001,605,000-1,525,00041,62923,4490.58%-18,180
SUN CTRY AIRLS HLDGS INC1,467,8000-1,467,80024,2480-24,248
WEX INC(WEX)2,254,9842,254,9840345,103318,1567.89%-26,947
SKYWEST INC(SKYW)357,92354,881-303,04232,8685,4510.14%-27,417
AVIS BUDGET GROUP INC200,0000-200,00029,1700-29,170
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