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Appaloosa LP 13F filings

Manager(s): David Tepper

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Holdings as of 2020-06-30

Filed on 2020-08-14 under CIK 1656456

Company name, stock class and CUSIPValue (x$1000) Shares
ALIBABA GROUP HLDG LTD
SPONSORED ADS 01609W102
$727,988$287,4913,375,000 sh1,110,000 sh
49%
AMAZON COM INC
COM 023135106
$620,735$133,305225,000 sh-25,000 sh
-10%
T MOBILE US INC
COM 872590104
$614,485$549,8825,900,000 sh5,130,000 sh
666%
Facebook, Inc.
COM 30303M102
$507,047$104,5592,233,000 sh-180,000 sh
-7%
MICRON TECHNOLOGY INC
COM 595112103
$481,712$109,0609,350,000 sh490,000 sh
6%
Alphabet Inc., Cl. C
COM 02079K107
$472,146$52,372334,000 sh-27,000 sh
-7%
AT&T INC
CS 00206R102
$274,404$274,4049,077,200 sh9,077,200 sh
NEW
TWITTER INC
COM 90184L102
$165,335$29,5185,550,000 sh20,000 sh
0%
Visa Inc.
COM 92826C839
$162,263$162,263840,000 sh840,000 sh
NEW
MasterCard, Inc.
COM 57636Q104
$161,157$161,157545,000 sh545,000 sh
NEW
Paypal Hldgs Inc.
COM 70450Y103
$151,580$151,580870,000 sh870,000 sh
NEW
DISNEY WALT CO
COM DISNEY 254687106
$133,812$133,8121,200,000 sh1,200,000 sh
NEW
ENERGY TRANSFER LP
COM UT LTD PTN 29273V100
$107,655$32,72715,120,103 sh-1,168,562 sh
-7%
Netflix Inc
cs 64110L106
$104,659$8,906230,000 sh-25,000 sh
-10%
SYSCO CORP
COM 871829107
$102,488$102,4881,875,000 sh1,875,000 sh
NEW
HCA Healthcare Co.
COM 40412C101
$101,913$76,3061,050,000 sh765,000 sh
268%
Salesforce.com
COM 79466L302
$93,665$26,642500,000 sh34,500 sh
7%
Adobe Inc Com
cs 00724F101
$89,892$18,924206,500 sh-16,500 sh
-7%
EMERSON ELEC CO
COM 291011104
$86,842$86,8421,400,000 sh1,400,000 sh
NEW
PG&E CORP
COM 69331C108
$79,330-$22,6178,943,659 sh-2,396,341 sh
-21%
Broadcom Inc.
COM 11135F101
$63,122$7,878200,000 sh-33,000 sh
-14%
ALTRIA GROUP INC
COM 02209S103
$60,838$60,8381,550,000 sh1,550,000 sh
NEW
MICROSOFT CORP
COM 594918104
$56,474$42,280277,500 sh187,500 sh
208%
WELLS FARGO CO NEW
COM 949746101
$48,640$28,5501,900,000 sh1,200,000 sh
171%
QUALCOMM INC
COM 747525103
$47,019$9,338515,500 sh-41,500 sh
-7%
GOODYEAR TIRE & RUBR CO
COM 382550101
$44,725$25,1235,000,000 sh1,632,000 sh
48%
SQUARE INC
CL A 852234103
$42,374$42,374403,793 sh403,793 sh
NEW
UnitedHealth Group
COM 91324P102
$39,818-$22,527135,000 sh-115,000 sh
-46%
BOSTON SCIENTIFIC CORP
COM 101137107
$33,355$29,603950,000 sh835,000 sh
726%
ALPS ETF TR
ALERIAN MLP 00162Q452
$27,592$27,5921,118,000 sh1,118,000 sh
NEW
VISTRA ENERGY CORP COM
COM 92840M102
$20,854$1,5421,120,000 sh-90,000 sh
-7%
WESTERN MIDSTREAM PARTNERS L
COM UNIT LP INT 958669103
$10,797$9,5171,075,428 sh680,327 sh
172%
TENNECO INC
CL A VTG COM STK 880349105
$8,316$8,3161,100,000 sh1,100,000 sh
NEW
Tesla Inc
cs 88160R101
$7,559-$14,4497,000 sh-35,000 sh
-83%
HUMANA INC
COM 444859102
$5,429-$13,09814,000 sh-45,000 sh
-76%
ENABLE MIDSTREAM PARTNERS LP
COM UNIT RP IN 292480100
$2,170$2,170463,670 sh463,670 sh
NEW
T-MOBILE US INC
RIGHT 07/27/2020 872590112
$260$2601,550,000 sh1,550,000 sh
NEW
ALLERGAN PLC
SHS G0177J108
$0-$123,0850 sh-695,000 sh
-100%
SPRINT CORPORATION
COM 85207U105
$0-$54,9960 sh-6,380,000 sh
-100%
ALPS ETF TR
ALERIAN MLP 00162Q866
$0-$20,7780 sh-6,040,000 sh
-100%
INTELSAT S A
COM L5140P101
$0-$15,5240 sh-10,146,300 sh
-100%
SELECT SECTOR SPDR TR
SBI INT-UTILS 81369Y886
$0-$15,0440 sh-271,500 sh
-100%
INTELSAT S A
NOTE 4.500\% 6/1 45790VAB6
$0-$5,502Bond principal of
$0
-$25,000,000
-100%
INVESCO EXCHNG TRADED FD TR
SR LN ETF 46138G508
$0-$3,0690 sh-150,000 sh
-100%