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Beach Point Capital Management LP - Carl Goldsmith&Scott Klein

Beach Point Capital Management LP Portfolio Activity as reported in the most recent 13F form published on Mar 31, 2025
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Carl Goldsmith&Scott Klein

Carl Goldsmith&Scott Klein
Beach Point Capital Management LP

Hedge Fund Manager
Ranked #344 out of 487 Hedge Fund Managers

Portfolio Gain

+11.55%
Since Jan 2016

Sharpe Ratio

-0.04
Average Hedge Fund Sharpe: 1.48991

Hedge Fund Net Worth

$283.76M
Carl Goldsmith&Scott Klein manages more assets than 12% of other Hedge Fund Managers
Total assets under management as reported to the SEC

Average Return

-0.72%
A Hedge Fund's portfolio is comprised of data made available by the SEC

Portfolio Breakdown by Sector

PortfolioBreakdown
39.78% Financial
34.42% Technology
6.62% Healthcare
2.58% Real Estate
<0.01% Industrials
A breakdown of Beach Point Capital Management LP's portfolio by sector

Beach Point Capital Management LP Portfolio Activity

Company Name
Action
Sector
Average Price in Last QTR
Holding Change
Value Reported
% of Portfolio
Acadia Healthcare
Not Changed
Healthcare
$37.34
($27.61-$47.08)
0.00%
10.78M
3.80%
Diebold Nixdorf Inc
Not Changed
Technology
$43.85
($39.90-$47.80)
0.00%
82.54M
29.09%
Dragonfly Energy Holdings Corp
Not Changed
Industrials
$2.43
($0.97-$3.89)
0.00%
27.12K
<0.01%
Claritev
Added
Healthcare
$20.64
($11.43-$29.84)
+0.95%
8.02M
2.83%
Velocity Financial
Added
Financial
$19.44
($17.90-$20.98)
+4.19%
102.75M
36.21%
Finance of America Companies
New
Financial
$24.49
($16.58-$32.40)
+100.00%
10.12M
3.57%
Rithm Property Trust
Reduced
Real Estate
$3.04
($2.65-$3.42)
-17.69%
7.48M
2.58%
Global Business Travel Group
Reduced
Technology
$8.23
($7.13-$9.34)
-23.30%
15.13M
5.33%
See a list of Beach Point Capital Management LP's holdings, as reported to the SEC on Mar 31, 2025. Click on any holding to see more details

Measured Performance

Compare Beach Point Capital Management LP's performance with other Hedge Funds and the S&P 500

Beach Point Capital Management LP activity FAQ

What is Beach Point Capital Management LP’s portfolio gain since Jun 2013?
Beach Point Capital Management LP’s portfolio gain since Jun 2013 was -6.86%.
    What is Beach Point Capital Management LP’s Sharpe Ratio?
    Beach Point Capital Management LP’s Sharpe Ratio is -0.04.
      What is Beach Point Capital Management LP’s portfolio value?
      Beach Point Capital Management LP’s portfolio value is $283.76M.
        What is Beach Point Capital Management LP’s average return since the fund’s last 13F filing?
        Beach Point Capital Management LP’s average return since the fund’s last 13F filing is 11.21%.
          What was Beach Point Capital Management LP’s average return in the last 12 months?
          Beach Point Capital Management LP’s average return in the last 12 months was 11.55%.
            What was Beach Point Capital Management LP’s average return in the last 3 years?
            Beach Point Capital Management LP’s average return in the last 3 years was -0.72%.
              When was the most recent most recent 13F form submitted by Beach Point Capital Management LP?
              Beach Point Capital Management LP's most recent 13F form was submitted on Mar 31, 2025.
                who are the best performing hedge funds?
                Head over to our Expert Center to see a list of the Top Hedge Fund Managers and follow the top hedge fund managers of your choice. Visit their profiles for more details about their holdings and see how they perform on a stock-by-stock basis.
                  What is Carl Goldsmith&Scott Klein Net Worth?
                  Carl Goldsmith&Scott Klein is Managing Beach Point Capital Management LP which has a net worth of $283.76M.
                    TipRanks & Hedge Funds: TipRanks measures the performance of Carl Goldsmith&Scott Klein and other hedge fund managers based on information submitted to the SEC. Any hedge fund managing over $100M is required to submit a 13F form to the SEC which lists their current holdings at the end of each fiscal quarter. TipRanks uses this information to determine how each hedge fund performed in comparison to other hedge funds and to the S&P 500. Top Hedge Funds are determined by those that generate the highest return based on their stock portfolio.

                    Disclosure on Hedge Fund Expert Ranking:
                    We only track and measure hedge fund managers based on their long positions on stocks and ETFs. Our ranking excludes:
                    1. Hedge funds that manage stocks of more than 1,500 different companies
                    2. Hedge funds with a portfolio turnover of over 50% from the previous quarter
                    3. Securities are not stocks, such as warrants, units, stock options (calls and puts), international investments, swaps, short positions, etc.

                    Additionally, Our performance analysis considers long positions only and does not factor in short positions or hedging strategies. Furthermore, because we do not have the exact dates on which a hedge fund bought or sold any specific ticker, we use the average price of the stock during the quarter in which it was acquired to estimate performance.