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TPG GP A, LLC

SEC CIK
0001903793
Latest filing
Aug 14, 2026

Holdings in Q4 2021

Holdings as of Dec 31, 2021, filed Feb 14, 2022. Long positions only.

Institution overview
Positions
43
No filing for Q3 2021
Portfolio value
$10.0B
No filing for Q3 2021
Filed
Feb 14, 2022
SEC

TPG GP A, LLC did not file a 13F for Q3 2021, so these holdings cannot be compared with the previous quarter and changes are not shown.

Holdings of TPG GP A, LLC in Q4 2021
SecurityClassSharesValue% of portfolioShare changeActionHistory
LFSTLifeStance Health Group, Inc.COM175,284,635$1.67B16.7%––History
MCFEMcAfee Corp.COM CL A59,894,768$1.54B15.4%––History
CWKCushman & Wakefield Ltd.SHS37,753,672$839.6M8.4%––History
LTHLife Time Group Holdings, Inc.COMMON STOCK43,069,730$741.2M7.4%––History
PGNYProgyny, Inc.COM10,000,000$503.5M5.0%––History
CNVYConvey Health Solutions Holdings, Inc.COM54,699,513$457.3M4.6%––History
ELVElevance Health, Inc.Stock923,113$427.9M4.3%––History
FISFidelity National Information Services, Inc.Stock3,443,305$375.8M3.8%––History
TRIThomson Reuters CorpCOM NEW2,509,170$300.1M3.0%––History
ALLOAllogene Therapeutics, Inc.COM18,716,306$279.2M2.8%––History
PLANAnaplan, Inc.COM5,623,748$257.8M2.6%––History
FWONKLiberty Media CorpCOM SER C FRMLA3,520,415$222.6M2.2%––History
CMCSAComcast CorpStock3,777,395$190.1M1.9%––History
TOSTToast, Inc.Stock5,469,143$189.8M1.9%––History
PEGAPegasystems IncCOM1,490,120$166.6M1.7%––History
MSFTMicrosoft CorpStock466,470$156.9M1.6%––History
JCIJohnson Controls International plcStock1,840,120$149.6M1.5%––History
FNFFidelity National Financial, Inc.COM SHS2,851,940$148.8M1.5%––History
BLKBBlackbaud IncCOM1,716,540$135.6M1.4%––History
OPTUOptimum Communications, Inc.CL A8,019,558$129.8M1.3%––History
UBERUber Technologies, IncStock2,902,459$121.7M1.2%––History
AIC3.ai, Inc.Stock3,460,322$108.1M1.1%––History
PCVXVaxcyte, Inc.COM4,207,575$100.1M1.0%––History
ROSTRoss Stores, Inc.COM871,895$99.6M1.0%––History
METAMeta Platforms, Inc.Stock295,485$99.4M1.0%––History
TRTXTPG RE Finance Trust, Inc.COM7,086,779$87.3M0.9%––History
SONYSony Group CorpSPONSORED ADR662,700$83.8M0.8%––History
AMRXAmneal Pharmaceuticals, Inc.COM STK CL A16,213,367$77.7M0.8%––History
MPLXMPLX LPCOM UNIT REP LTD2,071,416$61.3M0.6%––History
NRDYNerdy Inc.CL A COM13,223,250$59.5M0.6%––History
MSPDatto Holding Corp.COM2,233,270$58.8M0.6%––History
FWONALiberty Media CorpCOM SER A FRMLA632,179$37.5M0.4%––History
PHGKoninklijke Philips NVNY REGIS SHS NEW975,730$36.0M0.4%––History
VCSAVacasa, Inc.CLASS A COM4,275,845$35.6M0.4%––History
RLYBRallybio CorpCOM3,028,414$28.9M0.3%––History
FUSNFusion Pharmaceuticals Inc.COM2,551,794$10.6M0.1%––History
UXINUxin LtdADS6,710,950$10.6M0.1%––History
STSASatsuma Pharmaceuticals, Inc.COM1,885,939$8.49M0.1%––History
TRVITrevi Therapeutics, Inc.COM4,824,883$3.77M<0.1%––History
FERGFerguson Enterprises Inc.SHS18,949$3.40M<0.1%––History
ETTXEntasis Therapeutics Holdings Inc.COM1,020,748$2.23M<0.1%––History
RPIDRapid Micro Biosystems, Inc.CLASS A COM47,935$510.0K<0.1%––History
Nerdy Inc.64081V117*W EXP 08/16/202500,000$450.0K<0.1%–––