Earnings ยท 13F ยท About ยท Subscribe

Form 13F manager

APPALOOSA LP โ€” David Tepper

Latest quarter 2026-06-30 ยท filed 2026-08-14 ยท reported total $7,725M ยท filing โ€”

As filed on Form 13F โ€” long US-listed positions only. No shorts, cash, bonds, or non-13F assets appear here.

Filed up to 45 days after quarter end; holdings may have changed since.

Positions

RowIssuerClassPut/callValue% of totalSH/PRN qty
1AMZN ยท AMAZON COM INCCOMโ€”$1,192M15.4%SH 5,000,000
2MU ยท MICRON TECHNOLOGY INCCOMโ€”$1,125M14.6%SH 975,000
3TSM ยท TAIWAN SEMICONDUCTOR MANUFACSPONSORED ADSโ€”$788M10.2%SH 1,650,000
4GOOG ยท ALPHABET INCCAP STK CL Cโ€”$654M8.5%SH 1,850,000
5UBER ยท UBER TECHNOLOGIES INCCOMโ€”$555M7.2%SH 7,694,071
6ISHARES INCMSCI STH KOR ETFโ€”$490M6.3%SH 2,425,000
7META ยท META PLATFORMS INCCL Aโ€”$380M4.9%SH 675,000
8VST ยท VISTRA CORPCOMโ€”$351M4.5%SH 2,215,272
9NVDA ยท NVIDIA CORPORATIONCOMโ€”$305M3.9%SH 1,525,000
10NRG ยท NRG ENERGY INCCOM NEWโ€”$257M3.3%SH 1,760,000
11AAPL ยท APPLE INCCOM[PUT]$242M3.1%SH 835,000
12ALIBABA GROUP HLDG LTDSPONSORED ADSโ€”$192M2.5%SH 2,000,000
13BOEING COCOMโ€”$173M2.2%SH 800,000
14LRCX ยท LAM RESEARCH CORPCOM NEWโ€”$166M2.1%SH 382,500
15BAIDU INCSPON ADR REP Aโ€”$148M1.9%SH 1,295,000
16AAL ยท AMERICAN AIRLINES GROUP INCCOMโ€”$136M1.8%SH 7,500,000
17AMD ยท ADVANCED MICRO DEVICES INCCOMโ€”$115M1.5%SH 197,500
18CRWV ยท COREWEAVE INCCOM CL Aโ€”$107M1.4%SH 1,078,248
19ASML HLDG NVN Y REGISTRY SHSโ€”$99M1.3%SH 50,000
20AVGO ยท BROADCOM INCCOMโ€”$57M0.7%SH 150,000
21QUALCOMM INCCOMโ€”$46M0.6%SH 250,000
22SPACE EXPLORATION TECHN CORPCLASS A COM STKโ€”$38M0.5%SH 225,000
23ENERGY TRANSFER L PCOM UT LTD PTNโ€”$30M0.4%SH 1,576,125
24MPLX LPCOM UNIT REP LTDโ€”$28M0.4%SH 502,460
25WHIRLPOOL CORPCOMโ€”$28M0.4%SH 715,000
26BRK-B ยท BERKSHIRE HATHAWAY INC DELCL B NEW[PUT]$13M0.2%SH 25,000
27GOODYEAR TIRE & RUBR COCOMโ€”$10.0M0.1%SH 1,508,591
Filed rows (27) โ€” as filed
RowIssuerClassPut/callValue% of totalSH/PRN qtySource
1AMAZON COM INCCOMโ€”$1,192M15.4%SH 5,000,0000001656456-26-000003
2MICRON TECHNOLOGY INCCOMโ€”$1,125M14.6%SH 975,0000001656456-26-000003
3TAIWAN SEMICONDUCTOR MANUFACSPONSORED ADSโ€”$788M10.2%SH 1,650,0000001656456-26-000003
4ALPHABET INCCAP STK CL Cโ€”$654M8.5%SH 1,850,0000001656456-26-000003
5UBER TECHNOLOGIES INCCOMโ€”$555M7.2%SH 7,694,0710001656456-26-000003
6ISHARES INCMSCI STH KOR ETFโ€”$490M6.3%SH 2,425,0000001656456-26-000003
7META PLATFORMS INCCL Aโ€”$380M4.9%SH 675,0000001656456-26-000003
8VISTRA CORPCOMโ€”$351M4.5%SH 2,215,2720001656456-26-000003
9NVIDIA CORPORATIONCOMโ€”$305M3.9%SH 1,525,0000001656456-26-000003
10NRG ENERGY INCCOM NEWโ€”$257M3.3%SH 1,760,0000001656456-26-000003
11APPLE INCCOM[PUT]$242M3.1%SH 835,0000001656456-26-000003
12ALIBABA GROUP HLDG LTDSPONSORED ADSโ€”$192M2.5%SH 2,000,0000001656456-26-000003
13BOEING COCOMโ€”$173M2.2%SH 800,0000001656456-26-000003
14LAM RESEARCH CORPCOM NEWโ€”$166M2.1%SH 382,5000001656456-26-000003
15BAIDU INCSPON ADR REP Aโ€”$148M1.9%SH 1,295,0000001656456-26-000003
16AMERICAN AIRLINES GROUP INCCOMโ€”$136M1.8%SH 7,500,0000001656456-26-000003
17ADVANCED MICRO DEVICES INCCOMโ€”$115M1.5%SH 197,5000001656456-26-000003
18COREWEAVE INCCOM CL Aโ€”$107M1.4%SH 1,078,2480001656456-26-000003
19ASML HLDG NVN Y REGISTRY SHSโ€”$99M1.3%SH 50,0000001656456-26-000003
20BROADCOM INCCOMโ€”$57M0.7%SH 150,0000001656456-26-000003
21QUALCOMM INCCOMโ€”$46M0.6%SH 250,0000001656456-26-000003
22SPACE EXPLORATION TECHN CORPCLASS A COM STKโ€”$38M0.5%SH 225,0000001656456-26-000003
23ENERGY TRANSFER L PCOM UT LTD PTNโ€”$30M0.4%SH 1,576,1250001656456-26-000003
24MPLX LPCOM UNIT REP LTDโ€”$28M0.4%SH 502,4600001656456-26-000003
25WHIRLPOOL CORPCOMโ€”$28M0.4%SH 715,0000001656456-26-000003
26BERKSHIRE HATHAWAY INC DELCL B NEW[PUT]$13M0.2%SH 25,0000001656456-26-000003
27GOODYEAR TIRE & RUBR COCOMโ€”$10.0M0.1%SH 1,508,5910001656456-26-000003

Changes from 2026-03-31 (rows of a security combined)

Reported change, not a confirmed trade: this compares quarter-end reports filed up to 45 days later, and the position may since have changed. Amendments, corporate actions, and changes in reporting scope can also move these rows. Value change compares period-end reported values; for continuing rows it includes market price movement.

8 new ยท โ–ฒ 11 up ยท โ–ผ 5 down ยท 12 exited ยท 3 unchanged โ€” by reported quantity, largest value change first

RowChangeIssuerClassPut/callValue changeQty change
1โ–ผ downMICRON TECHNOLOGY INCCOMโ€”+$563MSH โˆ’690,000 (โˆ’41.4%)
2โ–ฒ upTAIWAN SEMICONDUCTOR MANUFACSPONSORED ADSโ€”+$339MSH +322,500 (+24.3%)
3โ–ฒ upAMAZON COM INCCOMโ€”+$292MSH +680,000 (+15.7%)
4โ–ผ downALIBABA GROUP HLDG LTDSPONSORED ADSโ€”โˆ’$243MSH โˆ’1,465,000 (โˆ’42.3%)
5newAPPLE INCCOM[PUT]+$242MSH +835,000
6โ–ฒ upISHARES INCMSCI STH KOR ETFโ€”+$194MSH +25,000 (+1.0%)
7exitedSANDISK CORPCOMโ€”โˆ’$179MSH โˆ’281,250
8newBOEING COCOMโ€”+$173MSH +800,000
9โ–ฒ upALPHABET INCCAP STK CL Cโ€”+$157MSH +117,300 (+6.8%)
10exitedCORNING INCCOMโ€”โˆ’$154MSH โˆ’1,129,500
11newAMERICAN AIRLINES GROUP INCCOMโ€”+$136MSH +7,500,000
12โ–ฒ upMETA PLATFORMS INCCL Aโ€”+$130MSH +238,500 (+54.6%)
13newCOREWEAVE INCCOM CL Aโ€”+$107MSH +1,078,248
14โ–ฒ upUBER TECHNOLOGIES INCCOMโ€”+$100MSH +1,361,351 (+21.5%)
15exitedPDD HOLDINGS INCSPONSORED ADSโ€”โˆ’$92MSH โˆ’900,000
16โ–ผ downWHIRLPOOL CORPCOMโ€”โˆ’$77MSH โˆ’1,235,000 (โˆ’63.3%)
17โ–ฒ upBAIDU INCSPON ADR REP Aโ€”+$71MSH +602,900 (+87.1%)
18โ–ผ downADVANCED MICRO DEVICES INCCOMโ€”+$70MSH โˆ’23,900 (โˆ’10.8%)
19exitedL3HARRIS TECHNOLOGIES INCCOMโ€”โˆ’$68MSH โˆ’198,000
20exitedRTX CORPORATIONCOMโ€”โˆ’$66MSH โˆ’342,000
Remaining 16 reported changes
RowChangeIssuerClassPut/callValue changeQty change
21newBROADCOM INCCOMโ€”+$57MSH +150,000
22exitedBALL CORPCOMโ€”โˆ’$49MSH โˆ’837,000
23โ–ฒ upNVIDIA CORPORATIONCOMโ€”+$49MSH +53,500 (+3.6%)
24โ–ฒ upVISTRA CORPCOMโ€”+$47MSH +192,940 (+9.5%)
25exitedJD.COM INCSPON ADS CL Aโ€”โˆ’$39MSH โˆ’1,305,000
26newSPACE EXPLORATION TECHN CORPCLASS A COM STKโ€”+$38MSH +225,000
27exitedLYFT INCCL A COMโ€”โˆ’$36MSH โˆ’2,700,000
28โ–ฒ upASML HLDG NVN Y REGISTRY SHSโ€”+$34MSH +500 (+1.0%)
29exitedMICROSOFT CORPCOMโ€”โˆ’$33MSH โˆ’90,000
30exitedKRANESHARES TRUSTCSI CHI INTERNETโ€”โˆ’$31MSH โˆ’1,080,000
31exitedUNITEDHEALTH GROUP INCCOMโ€”โˆ’$24MSH โˆ’90,000
32โ–ผ downQUALCOMM INCCOMโ€”โˆ’$18MSH โˆ’248,613 (โˆ’49.9%)
33newBERKSHIRE HATHAWAY INC DELCL B NEW[PUT]+$13MSH +25,000
34newGOODYEAR TIRE & RUBR COCOMโ€”+$10.0MSH +1,508,591
35exitedDEUTSCHE BK AGNAMEN AKTโ€”โˆ’$7.7MSH โˆ’257,616
36โ–ฒ upNRG ENERGY INCCOM NEWโ€”+$3.6MSH +25,558 (+1.5%)

Changes appear only where the prior quarter's validated report exists.

Filing details

CIK set: 0001656456

Filing history

2026-06-3013F-HR