KING STREET CAPITAL MANAGEMENT, L.P.

CIK 0001218199 · NEW YORK, NY · Quarter end: 2026-06-30 · Filed on: 2026-08-14 · Open the SEC source

KING STREET CAPITAL MANAGEMENT, L.P. reported 6 positions worth $189.7M as of June 30, 2026 (13F filed August 14, 2026). Largest holding: SGRY (53.7%).

Portfolio Value (AUM)Total value of the fund's US stock portfolio reported to the SEC.
$189.7M
2026 Q2
Positions
6
Top-10 ConcentrationHow much of the portfolio sits in the 10 largest holdings. High = concentrated bets.
100.0%
Est. Net Flow (Q)
2026 Q2
6 positions shown
#SymbolCompanyTypeValue% Port.Shares1YYTD
1SGRYSURGERY PARTNERS INCSH$101.8M53.66%6,058,141
2USHYISHARES TRSH$37.0M19.50%999,000
3HYGISHARES TRSH$19.0M10.00%237,100
4TLNTALEN ENERGY CORPSH$18.1M9.52%47,000
5VSTVISTRA CORPSH$9.4M4.93%59,000
6OPTUOPTIMUM COMMUNICATIONS INCSH$4.5M2.39%3,125,000

Read the 2026-Q2 quarterly report · 13F Filing Calendar

Frequently Asked Questions

What stocks does KING STREET CAPITAL MANAGEMENT, L.P. hold as of Q2 2026?

KING STREET CAPITAL MANAGEMENT, L.P. reported 6 positions worth $189.7M in its Q2 2026 13F filing. Largest positions: SGRY (53.7%), USHY (19.5%), HYG (10.0%), TLN (9.5%) and VST (4.9%).

What did KING STREET CAPITAL MANAGEMENT, L.P. buy in Q2 2026?

No previous quarter is available yet; the comparison appears with the next filing.

What did KING STREET CAPITAL MANAGEMENT, L.P. sell in Q2 2026?

No previous quarter is available yet.

13F data shows quarter-end positions, is delayed by up to 45 days and covers only long positions in US-listed securities; short positions, most derivatives and non-US assets are not reported.