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Third Point 13F filings

Manager(s): Dan Loeb

Holdings as of 2024-09-30

Filed on 2024-11-14 under CIK 1040273

Company
Investment Type
Change
Value (x$1000)
increase or decrease
PG&E CORP COM
49,750,000 sh
-4,000,000 sh
-7%
$983,558
$45,083
Amazon.com Inc
3,700,000 sh
-1,400,000 sh
-27%
$689,421
-$296,154
Danaher Corp
1,950,000 sh
-100,000 sh
-5%
$542,139
$29,946
Vistra Corp.
3,175,000 sh
-1,295,000 sh
-29%
$376,365
-$7,966
Bath and Body Works, Inc
11,785,000 sh
-190,000 sh
-2%
$376,177
-$91,447
Microsoft Corp
870,000 sh
-710,000 sh
-45%
$374,361
-$331,820
Intercontinental Exchange Inc
2,085,000 sh
1,085,000 sh
109%
$334,934
$198,044
Meta Platforms, Inc.
545,000 sh
-555,000 sh
-50%
$311,980
-$242,662
TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADS
1,780,000 sh
-245,000 sh
-12%
$309,133
-$42,832
Live Nation Entertainment Inc
2,340,000 sh
975,000 sh
71%
$256,207
$128,252
BROOKFIELD CORP CL A LTD VT SH Stock
4,725,000 sh
4,725,000 sh
NEW
$251,134
$251,134
CORPAY INC
765,000 sh
 
$239,261
Apple Inc
930,000 sh
-1,020,000 sh
-52%
$216,690
-$194,019
Jacobs Engineering Group Inc
1,650,000 sh
-93,239 sh
-5%
$215,985
-$27,563
Cinemark Holdings Inc
7,000,000 sh
 
$194,880
FERGUSON PLC NEW COMMON STOCK NEW
965,000 sh
 
$191,620
CRH PLC ORD COMMON STOCK
2,050,000 sh
1,400,000 sh
215%
$190,117
$141,380
Roper Technologies Inc
240,000 sh
 
$133,546
FLUTTER ENTERTAINMENT PLC COM
510,000 sh
510,000 sh
NEW
$121,013
$121,013
Apollo Global Management LLC
950,000 sh
-50,000 sh
-5%
$118,665
$595
LPL Financial Holdings Inc
485,000 sh
485,000 sh
NEW
$112,826
$112,826
Carpenter Technology Corp
660,000 sh
660,000 sh
NEW
$105,323
$105,323
Tesla Inc
400,000 sh
400,000 sh
NEW
$104,652
$104,652
Amphenol Corp
1,600,000 sh
-1,200,000 sh
-43%
$104,256
-$84,380
CVS Health Corp.
1,575,000 sh
1,575,000 sh
NEW
$99,036
$99,036
Hess Corp
625,000 sh
 
$84,875
ANSYS Inc.
255,000 sh
255,000 sh
NEW
$81,251
$81,251
EQT Corp
1,950,000 sh
 
$71,448
Telephone and Data Systems Inc
2,875,000 sh
608,940 sh
27%
$66,844
$19,869
APOLLO GLOBAL MANAGEMENT SER
900,000 sh
 
$61,191
GLOBAL BLUE GROUP HOLDING AG ORD SHS
8,387,601 sh
 
$45,880
United States Cellular Corp
545,344 sh
 
$29,803
HAWAIIAN ELEC INDUSTRIES COM
1,535,000 sh
1,535,000 sh
NEW
$14,859
$14,859
HERTZ GLOBAL HLDGS INC -CW51 COM
3,970,000 sh
 
$8,694
Aurora Innovation Inc. COMMON STOCK
1,032,463 sh
 
$6,112
FLYEXCLUSIVE INC COM CL A Stock
1,022,000 sh
 
$3,046
AURORA INNOVATIO EQUITY WRT
1,835,000 sh
 
$1,521
Clear Channel Outdoor Holdings Inc
850,000 sh
850,000 sh
NEW
$1,360
$1,360
NET POWER INC *W EXP 06/08/202
500,000 sh
 
$580
FLYEXCLUSIVE INC *W EXP 05/28/202
367,499 sh
 
$118
GLOBAL BLUE GROUP HOLDING AG *W EXP 08/28/202
1,333,333 sh
 
$112
JAWS MUSTANG ACQUISITION C A JAWS MUSTANG ACQ C CW26
1,000,000 sh
 
$23
Alphabet Inc
0 sh
-1,980,000 sh
-100%
$0
-$360,657
American International Group Inc
0 sh
-3,450,000 sh
-100%
$0
-$256,128
Verizon Communications Inc
0 sh
-4,675,000 sh
-100%
$0
-$192,797
Uber Technologies Inc
0 sh
-2,100,000 sh
-100%
$0
-$152,628
KB Home
0 sh
-2,100,000 sh
-100%
$0
-$147,378
International Flavors & Fragrances Inc.
0 sh
-1,300,000 sh
-100%
$0
-$123,773
Advance Auto Parts Inc
0 sh
-1,500,100 sh
-100%
$0
-$94,617
ASML HOLDING N V N Y REGISTRY SHS
0 sh
-80,000 sh
-100%
$0
-$81,818
MSCI Inc
0 sh
-150,000 sh
-100%
$0
-$72,263
Micron Technology Inc
0 sh
-275,000 sh
-100%
$0
-$36,139
Dynatrace Inc
0 sh
-150,000 sh
-100%
$0
-$6,711