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United Maritime Capital LLC

SEC CIK
0001669362
Latest filing
Nov 10, 2022

The latest 13F from United Maritime Capital LLC covers Q3 2022 (filed Nov 10, 2022): 26 long positions worth $15.2M. The top 10 holdings make up 83.9% of the portfolio, and the largest is Amazon Com Inc (AMZN) at 25.1%. Livermore has 7 filings on Form 13F from this institution, going back to Q1 2021.

What changed in Q3 2022

Share counts compared with Q2 2022: how many positions were new, added to, reduced or sold out, and the biggest buys and sells. Dollar amounts are estimated at the quarter-end prices implied by the filing.

Full comparison
New
8
Est. +$1.78M
Added
10
Est. +$4.96M
Reduced
2
Est. −$195.9K
Sold out
10
Est. −$1.94M

Top 5 holdings

Share of this quarter's portfolio value

  1. AMZNAmazon Com Inc
    25.1%$3.81MHistory
  2. MELIMercadolibre Inc
    13.3%$2.02MHistory
  3. AAPLApple Inc.
    9.6%$1.46MHistory
  4. SPYSPDR S&P 500 ETF Trust
    7.6%$1.15MHistory
  5. ProShares Tr74347X831
    6.9%$1.05M

Share of portfolio

Top 5 holdings and the other 21 positions, by share of portfolio value

  1. AMZN25.1%
  2. MELI13.3%
  3. AAPL9.6%
  4. SPY7.6%
  5. ProShares Tr6.9%
  6. Other 21 positions37.6%

Biggest buys

New and added positions, by estimated amount bought

  1. AMZNAmazon Com Inc
    +$1.37MAddedHistory
  2. AAPLApple Inc.
    +$1.25MAddedHistory
  3. Direxion Shs ETF Tr25459W847
    +$976.0KNew
  4. MELIMercadolibre Inc
    +$828.6KAddedHistory
  5. GOOGLAlphabet Inc.
    +$591.3KAddedConverted for a 20-for-1 splitHistory

Largest weight increases

New and added positions, by percentage points of the portfolio gained

  1. AAPLApple Inc.
    +7.73 pp1.9% → 9.6%History
  2. Direxion Shs ETF Tr25459W847
    +6.42 pp0.0% → 6.4%
  3. MELIMercadolibre Inc
    +4.90 pp8.4% → 13.3%History
  4. AMZNAmazon Com Inc
    +4.09 pp21.0% → 25.1%History
  5. GOOGLAlphabet Inc.
    +3.00 pp2.4% → 5.4%History

Biggest sells

Reduced and sold-out positions, by estimated amount sold

  1. DISWalt Disney Co
    −$689.0KSold outHistory
  2. iShares Tr464288687
    −$279.0KSold out
  3. BABAAlibaba Group Holding Ltd
    −$263.0KSold outHistory
  4. MSFTMicrosoft Corp
    −$257.0KSold outHistory
  5. SPYSPDR S&P 500 ETF Trust
    −$191.7KReducedHistory

Largest weight decreases

Reduced and sold-out positions, by percentage points of the portfolio lost

  1. DISWalt Disney Co
    −6.30 pp6.3% → 0.0%History
  2. SPYSPDR S&P 500 ETF Trust
    −6.20 pp13.8% → 7.6%History
  3. iShares Tr464288687
    −2.55 pp2.6% → 0.0%
  4. BABAAlibaba Group Holding Ltd
    −2.40 pp2.4% → 0.0%History
  5. MSFTMicrosoft Corp
    −2.35 pp2.3% → 0.0%History

Metrics

13F metrics for Q3 2022, computed only from the numbers in the filings. Definitions below.

Portfolio value
$15.2M
+$4.27M (+39.0%) vs. prior quarter
Positions
26
−2 vs. prior quarter
Top 10 concentration
83.9%
Top 10 as share of value
Turnover
16.3%
Q3 2022, one quarter
Average holding period
5.8 quarters
Weighted by value

How these are calculated

  • Portfolio value: the market value of all long positions in the 13F, as reported at quarter end, excluding options.
  • Top 10 concentration: the combined value of the 10 largest positions as a share of portfolio value.
  • Turnover: the smaller of this quarter's estimated purchases and estimated sales, divided by the average of this and last quarter's portfolio value. Estimates multiply the change in shares by the quarter-end price implied by the filing (market value divided by shares); new positions use this quarter's value and sold-out positions last quarter's. Only positions reported in shares count, and it is not calculated when the previous quarter was not filed.
  • Average holding period: how many consecutive quarters each current position has been held (including this one; a quarter without the position or without a filing starts the count over), weighted by this quarter's value. Counting starts with the first 13F in Livermore (Q1 2021), so positions held before then are understated.

13F filings by quarter

7 quarters, going back to Q1 2021. Bars show each quarter's 13F portfolio value; quarters without a filing are left blank.

Peak $131.9M (Q2 2021)

Q1 2021: $121.2MQ2 2021: $131.9MQ3 2021: $89.8MQ4 2021: $86.8MQ1 2022: $36.5MQ2 2022: $10.9MQ3 2022: $15.2M
Q1 2021Q3 2022
13F filings of United Maritime Capital LLC by quarter
QuarterFiledPositionsValueTop 3 holdingsChangesFiling
Q3 2022Nov 10, 202226$15.2MAMZNMELIAAPLvs. Q2 2022SEC
Q2 2022Aug 12, 202228$10.9MAMZNSPYMELIvs. Q1 2022SEC
Q1 2022May 12, 202242$36.5MAMZNMELISHOPvs. Q4 2021SEC
Q4 2021Feb 14, 202273$86.8MROKUAMZNBIDUvs. Q3 2021SEC
Q3 2021Oct 25, 202180$89.8MAMZNBIDUMELIvs. Q2 2021SEC
Q2 2021Aug 11, 202181$131.9MAMZNBIDUGOOGLvs. Q1 2021SEC
Q1 2021May 7, 202177$121.2MAMZNBIDUMELI–SEC