DOSSIER · 13F-HR · Q2 2026

H&F Corporate Investors VIII, Ltd.

$133M in tracked AUM across 1 positions as of Q2 2026.

HC
CIK 0001767563 · last filed Jun 30, 2026
Total AUM
$133M
as of Q2 2026
Holdings
1
positions
Whale Score
71
71
strong
Activity
no data
changes this Q
AI Analysis · Q2 2026
Comprehensive Analysis of H&F Corporate Investors VIII, Ltd. 13F Filing
Portfolio Overview

H&F Corporate Investors VIII, Ltd. presents a highly specialized and concentrated investment portfolio, characteristic of a dedicated single-vehicle structure rather than a diversified fund of funds. As of the report date September 30, 2025, the total portfolio value stands at approximately $285.99 million, representing a growth of 17.6% from the previous quarter's $243.15 million. The portfo...

Key Holdings

The portfolio is entirely composed of CLARITEV CORPORATION, which accounts for 100% of the total value. The position consists of 5.39 million shares valued at $285.99 million. The absence of any other holdings suggests that Claritev Corporation is the sole focus of this specific investment vehicle. Given the substantial value and the complete concentration, the performance of H&F Corporate Investors VIII, Ltd. is directly tethered to the operational and financial success of Claritev. The 17.6% increase in portfolio value over the quarter implies that either the underlying value of Claritev appreciated significantly, or there was an additional capital injection that was not reflected as a share count change in this snapshot (or the share count remained static while the per-share valuation increased).

Sector Allocation

The sector allocation is reported as "Unknown," comprising $285.99 million or 100% of the portfolio. This classification often arises when a holding company or a specific corporate entity does not fit neatly into standard GICS (Global Industry Classification Standard) sectors used by automated data aggregators, or because Claritev Corporation operates in a niche or newly defined industry vertical. Without a standard sector tag, the portfolio exhibits an extreme concentration in whatever specific business vertical Claritev occupies, reinforcing the high-conviction, non-diversified nature of this investment vehicle.

Analysis generated by 13F Insight from SEC Form 13F filing data · Q2 2026. Methodology

Quarter at a glance — Q2 2026

Position-change comparison pending.

No quarter-over-quarter changes available.

Top 10 holdings

By portfolio weight as of Q2 2026.

#HoldingValueSharesWeight
01
CTEV
CLARITEV CORPORATION
$133M3.9M100.0%

Filing history

2026Q2Jun 30
$133M 108.8%
1 positionsView →
2026Q1Mar 31
$64M 61.8%
1 positionsView →
2025Q4Dec 31
$166M 41.9%
1 positionsView →
2025Q3Sep 30
$286M 17.6%
1 positionsView →
2025Q2Jun 30
$243M 118.8%
1 positionsLocked
2025Q1Mar 31
$111M 39.6%
1 positionsLocked
2024Q4Dec 31
$80M 93.5%
1 positionsLocked
2024Q3Sep 30
$41M 50.8%
1 positionsLocked
2024Q2Jun 30
$84M 87.2%
1 positionsLocked
2024Q1Mar 31
$653M 18.9%
2 positionsLocked
2023Q4Dec 31
$804M 8.0%
2 positionsLocked
2023Q3Sep 30
$874M 20.6%
2 positionsLocked
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