Hedge Fund

HAWK RIDGE CAPITAL MANAGEMENT LP

New York, NY SEC Registered Investment Advisor Institutional CIK: 0001609074
13F Score ?
7
3Y · Top 10 · Mgr Wt
13F Score ?
7
7Y · Top 10 · Mgr Wt
S&P 500 ?
80
Benchmark
$2.17B
AUM
+16.05%
2025 Q4
+21.30%
1-Year Return
+53.93%
Top 10 Concentration
+28.40%
Turnover
+3.24%
AUM Change
Since 2014
First Filing
44
# of Holdings

Fund Overview

13F Filed: 2026-02-17

As of 2025 Q4, Hawk Ridge Capital Management Lp manages $2.17B in reported 13F assets , holds 44 positions with +53.93% top-10 concentration , and delivered a 1-year return of +21.30% on its disclosed equity portfolio. Filing 13F reports since 2014.

About

Investment Strategy

Analytics Summary

Risk Profile

Key Personnel

David Brown — Founder and Chief Investment Officer
Shawn Bergerson — Partner and Portfolio Manager
Official 13F Filings — SEC EDGAR Key personnel and Fund Overview may contain mistakes

Activity Summary — 2025 Q4

Q4 2025 13F Filed: Feb 17, 2026

Top Buys

% $
Stock % Impact
+6.91%
+3.14%
+3.08%
+1.80%
+1.79%
+1.75%

Top Sells

% $
Stock % Impact
Sold All 😨 Was: 4.80% -4.65%
Sold All 😨 Was: 4.55% -4.40%
Sold All 😨 Was: 4.28% -4.15%
Sold All 😨 Was: 2.15% -2.08%
Sold All 😨 Was: 2.08% -2.02%
-1.65%

Top Holdings

2025 Q4
Stock %
6.91%
6.14%
6.06%
6.01%
5.75%
5.59%
View All Holdings

Activity Summary

Latest
Market Value $2.17B
AUM Change +3.24%
New Positions 4
Increased Positions 21
Closed Positions 12
Top 10 Concentration +53.93%
Portfolio Turnover +28.40%
Alt Turnover +29.97%

Sector Allocation Trends

Quarterly History
Free View: Last 10 Quarters. Subscribe to see full history

Holdings Analysis

Size: % of Portfolio Color: Last Full-Quarter Return No data
Free: 10 quarters

Positions Dynamics

Visualizing Top 20 holdings weight history over the last 10 quarters.

Portfolio Analytics — Latest

HAWK RIDGE CAPITAL MANAGEMENT LP risk dashboard covering volatility, beta, value-at-risk, drawdowns, concentration, factor tilts, benchmark comparison, and stress testing for the latest disclosed portfolio.

Risk access
Building institutional risk profile...
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Real-time Analytics
High-Conviction Alpha
AAPL 92.4
NVDA 88.1
MSFT 74.3
Strategy Guardian
Style Drift 0.12
Sector Rotation 0.38

Tracking institutional benchmark deviation

Scenario Lab
2008 GFC -32.4%
Covid-19 -18.1%
2022 Bear -24.7%
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Best Strategy vs. Benchmarks

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Returns
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Risk
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Std Deviation
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Max Drawdown
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Beta vs SPY
Quality
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Sharpe
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Win Rate
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Payoff Ratio
Edge Metrics Last 10 quarters only
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Alpha annualized
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Up Capture
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Down Capture

Strategy Backtester: HAWK RIDGE CAPITAL MANAGEMENT LP

Replicate top holdings performance • Compare vs benchmarks • Optimize N

Find the best N! Test multiple portfolio sizes at once to discover the optimal configuration.

Risk insights! Identify periods when the fund lagged the benchmark – critical for timing entries.

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Avg. Return

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Underperformance Analysis — Top 10 Holdings vs SPY

Backtesting HAWK RIDGE CAPITAL MANAGEMENT LP's top 10 holdings against SPY identified 34 underperformance periods. Worst drawdown: 2020-02 – 2020-03 (-21.2% vs SPY, 2 quarters).

Avg. lag: -6.4% vs SPY Avg. duration: 2.1 quarters
Backtest Snapshot — Top 10 Holdings (Mn-Weighted)

The ticker-level breakdown shows how each of HAWK RIDGE CAPITAL MANAGEMENT LP's top holdings contributed to portfolio returns quarter by quarter. Strongest recent contributors inside the last 5 years of the quarterly Top 10 backtest window: SMCI (2021 Q1 – 2023 Q1, +25.4 pts), WWD (2024 Q4 – 2025 Q3, +8.4 pts), LW (2021 Q3 – 2022 Q3, +6.7 pts), KAR (2021 Q4 – 2025 Q1, +6.4 pts), TKO (2024 Q2 – 2025 Q1, +6.1 pts) .

Strategy ann.: 12.5% SPY ann.: 13.6% Period: 2014–2026
Best Recent Contributors — Last 5Y
All 5 recent top contributors beat SPY, which means this fund's strongest recent return drivers also outperformed the index over the same window.
2021 Q1 – 2023 Q1 • 9Q in Top 10 Beat SPY
SMCI
+647%
Contrib
+25.4%
2024 Q4 – 2025 Q3 • 4Q in Top 10 Beat SPY
WWD
+109%
SPY
+13%
Contrib
+8.4%
2021 Q3 – 2022 Q3 • 5Q in Top 10 Beat SPY
LW
+71%
Contrib
+6.7%
2021 Q4 – 2025 Q1 • 8Q in Top 10 Beat SPY
KAR
+95%
SPY
+16%
Contrib
+6.4%
2024 Q2 – 2025 Q1 • 4Q in Top 10 Beat SPY
TKO
+60%
SPY
+20%
Contrib
+6.1%
Stock return (green = beat SPY)   Stock return (red = lagged SPY)   SPY same period   Cumulative contribution during the last 5 years of the quarterly Mn-weighted Top 10 strategy

Frequently Asked Questions

What does Hawk Ridge Capital Management Lp invest in?
Hawk Ridge Capital Management LP pursues an opportunistic long-short equity strategy characterized by concentrated positioning in high-conviction ideas, particularly within the technology and healthcare sectors. The...
What is Hawk Ridge Capital Management Lp's AUM?
Hawk Ridge Capital Management Lp reported $2.17B in 13F assets as of 2025 Q4. Note: 13F AUM reflects only long equity positions reported to the SEC and may differ from total assets under management.
How concentrated is Hawk Ridge Capital Management Lp's portfolio?
Hawk Ridge Capital Management Lp holds 44 disclosed positions. The top 10 holdings represent +53.93% of the reported portfolio, indicating a highly concentrated investment approach.
How to track Hawk Ridge Capital Management Lp 13F filings?
Track Hawk Ridge Capital Management Lp's quarterly filings on SEC EDGAR or on this page — data is updated within days of each filing deadline. Subscribe to 13Foresight for position-change alerts.
Who manages Hawk Ridge Capital Management Lp?
Hawk Ridge Capital Management Lp is managed by David Brown (Founder and Chief Investment Officer), Shawn Bergerson (Partner and Portfolio Manager).

Disclaimer: 13Foresight is not a registered investment adviser, broker-dealer, or financial planner. All information on this site is provided solely for informational and educational purposes and does not constitute investment advice, a solicitation, or a recommendation to buy or sell any security. Portfolio backtests shown on this page are hypothetical and simulated — they do not represent actual trading results and were constructed with the benefit of hindsight. Actual results would differ materially. 13F filings disclose only long equity positions valued above $10,000, submitted up to 45 days after quarter-end; they do not capture short positions, options, bonds, cash, private investments, or non-U.S. securities. A fund's backtest performance may not reflect its actual returns, as managers frequently generate alpha through strategies not visible in 13F data. Past performance is not indicative of future results. All data sourced from public SEC EDGAR filings. Use at your own risk. Full Terms of Use.

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