Earnings ยท 13F ยท About ยท Subscribe

Form 13F manager

DME Capital Management, LP โ€” David Einhorn โ€” Greenlight

Latest quarter 2026-06-30 ยท filed 2026-08-14 ยท reported total $3,909M ยท filing combined

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.

Combined report.

Positions

RowIssuerClassPut/callValue% of totalSH/PRN qty
1GREEN BRICK PARTNERS INCCOMโ€”$758M19.4%SH 9,467,383
2FLR ยท FLUOR CORPCOMโ€”$244M6.2%SH 4,658,750
3CNR ยท CORE NATURAL RESOURCES INCCOM SHSโ€”$183M4.7%SH 2,283,200
4BRIGHTHOUSE FINL INCCOMโ€”$180M4.6%SH 2,842,100
5ACADIA HEALTHCARE COMPANY INCOMโ€”$130M3.3%SH 4,400,641
6PENN ยท PENN ENTERTAINMENT INCCOMโ€”$125M3.2%SH 5,860,270
7FORTUNE BRANDS INNOVATIONS ICOMโ€”$123M3.1%SH 2,241,875
8PG&E CORPCOMโ€”$112M2.9%SH 6,632,852
9CENTENE CORP DELCOMโ€”$106M2.7%SH 1,651,150
10GRAPHIC PACKAGING HLDG COCOMโ€”$105M2.7%SH 9,953,430
11SNX ยท TD SYNNEX CORPORATIONCOMโ€”$102M2.6%SH 381,042
12TEVA PHARMACEUTICAL INDS LTDSPONSORED ADSโ€”$98M2.5%SH 2,886,059
13VGNT ยท VERSIGENT PLCORDINARY SHARESโ€”$96M2.4%SH 2,277,640
14CPRI ยท CAPRI HOLDINGS LIMITEDSHSโ€”$90M2.3%SH 4,820,118
15BKV ยท BKV CORPCOMโ€”$85M2.2%SH 3,095,173
16DHT ยท DHT HOLDINGS INCSHS NEWโ€”$83M2.1%SH 5,034,320
17CROX ยท CROCS INCCOMโ€”$81M2.1%SH 669,140
18ROIV ยท ROIVANT SCIENCES LTDSHSโ€”$76M1.9%SH 2,152,669
19SHC ยท SOTERA HEALTH COCOMโ€”$73M1.9%SH 4,135,515
20VSNT ยท VERSANT MEDIA GROUP INCCOM CL Aโ€”$69M1.8%SH 1,922,172
21PRMB ยท PRIMO BRANDS CORPORATIONCLASS A COM SHSโ€”$69M1.8%SH 2,823,660
22DCH ยท DAUCH CORPCOMโ€”$67M1.7%SH 12,395,104
23PAYPAL HLDGS INCCOMโ€”$62M1.6%SH 1,424,320
24SCHEIN HENRY INCCOMโ€”$60M1.5%SH 718,550
25WBD ยท WARNER BROS DISCOVERY INCCOM SER Aโ€”$60M1.5%SH 2,246,180
26LIBERTY GLOBAL LTDCOM CL Aโ€”$56M1.4%SH 4,963,322
27AR ยท ANTERO RESOURCES CORPCOMโ€”$55M1.4%SH 1,574,140
28STUBHUB HLDGS INCCL Aโ€”$54M1.4%SH 4,233,200
29REZI ยท RESIDEO TECHNOLOGIES INCCOMโ€”$53M1.4%SH 1,699,590
30DECK ยท DECKERS OUTDOOR CORPCOMโ€”$50M1.3%SH 506,398
31SPB ยท SPECTRUM BRANDS HOLDINGS INCCOMโ€”$48M1.2%SH 561,438
32CNH INDL N VSHSโ€”$47M1.2%SH 4,188,940
33VTRS ยท VIATRIS INCCOMโ€”$44M1.1%SH 2,773,470
34PSKY ยท PARAMOUNT SKYDANCE CORPCOM CL Bโ€”$39M1.0%SH 3,926,080
35PVH CORPORATIONCOMโ€”$39M1.0%SH 520,800
36COMCAST CORP NEWCL Aโ€”$33M0.8%SH 1,345,780
37SLIDE INS HLDGS INCCOMโ€”$33M0.8%SH 1,686,630
38TRIP ยท TRIPADVISOR INCCOMโ€”$32M0.8%SH 2,361,973
39SPDR GOLD TRGOLD SHSโ€”$31M0.8%SH 83,421
40THE CIGNA GROUPCOMโ€”$24M0.6%SH 88,400
41LAKEFRONT BIOTHERAPEUTICS NVSPON ADRโ€”$14M0.4%SH 482,746
42COYA ยท COYA THERAPEUTICS INCCOMMON STOCKโ€”$14M0.3%SH 2,335,540
43IMVT ยท IMMUNOVANT INCCOMโ€”$3.6M<0.1%SH 93,520
44GPRO ยท GOPRO INCCL Aโ€”$1.3M<0.1%SH 1,693,860
45GANX ยท GAIN THERAPEUTICS INCCOMโ€”$1.1M<0.1%SH 566,130
46NUVB ยท NUVATION BIO INCCOM CL Aโ€”<$1M<0.1%SH 34,995
Filed rows (95) โ€” as filed

The filer reports some securities in multiple rows; rows are shown as filed.

RowIssuerClassPut/callValue% of totalSH/PRN qtySource
1GREEN BRICK PARTNERS INCCOMโ€”$692M17.7%SH 8,642,5070001172661-26-003786
2FLUOR CORPCOMโ€”$201M5.1%SH 3,828,2300001172661-26-003786
3CORE NATURAL RESOURCES INCCOM SHSโ€”$156M4.0%SH 1,946,5780001172661-26-003786
4BRIGHTHOUSE FINL INCCOMโ€”$145M3.7%SH 2,293,7160001172661-26-003786
5ACADIA HEALTHCARE COMPANY INCOMโ€”$112M2.9%SH 3,786,9310001172661-26-003786
6FORTUNE BRANDS INNOVATIONS ICOMโ€”$110M2.8%SH 2,006,7950001172661-26-003786
7PENN ENTERTAINMENT INCCOMโ€”$103M2.6%SH 4,815,9690001172661-26-003786
8PG&E CORPCOMโ€”$94M2.4%SH 5,594,0920001172661-26-003786
9CENTENE CORP DELCOMโ€”$89M2.3%SH 1,393,6300001172661-26-003786
10TD SYNNEX CORPORATIONCOMโ€”$87M2.2%SH 324,6320001172661-26-003786
11VERSIGENT PLCORDINARY SHARESโ€”$83M2.1%SH 1,981,6800001172661-26-003786
12GRAPHIC PACKAGING HLDG COCOMโ€”$83M2.1%SH 7,872,9600001172661-26-003786
13TEVA PHARMACEUTICAL INDS LTDSPONSORED ADSโ€”$83M2.1%SH 2,451,8020001172661-26-003786
14CAPRI HOLDINGS LIMITEDSHSโ€”$76M1.9%SH 4,084,2280001172661-26-003786
15BKV CORPCOMโ€”$73M1.9%SH 2,670,1330001172661-26-003786
16DHT HOLDINGS INCSHS NEWโ€”$71M1.8%SH 4,294,0550001172661-26-003786
17CROCS INCCOMโ€”$67M1.7%SH 559,2000001172661-26-003786
18PRIMO BRANDS CORPORATIONCLASS A COM SHSโ€”$67M1.7%SH 2,723,3000001172661-26-003786
19GREEN BRICK PARTNERS INCCOMโ€”$66M1.7%SH 824,8760001172661-26-003786
20SOTERA HEALTH COCOMโ€”$66M1.7%SH 3,704,7650001172661-26-003786
21DAUCH CORPCOMโ€”$59M1.5%SH 10,936,3040001172661-26-003786
22VERSANT MEDIA GROUP INCCOM CL Aโ€”$59M1.5%SH 1,629,0120001172661-26-003786
23ROIVANT SCIENCES LTDSHSโ€”$58M1.5%SH 1,644,7290001172661-26-003786
24WARNER BROS DISCOVERY INCCOM SER Aโ€”$56M1.4%SH 2,088,3400001172661-26-003786
25PAYPAL HLDGS INCCOMโ€”$52M1.3%SH 1,212,7900001172661-26-003786
26SCHEIN HENRY INCCOMโ€”$52M1.3%SH 624,6800001172661-26-003786
27ANTERO RESOURCES CORPCOMโ€”$49M1.3%SH 1,394,9100001172661-26-003786
28LIBERTY GLOBAL LTDCOM CL Aโ€”$47M1.2%SH 4,164,1320001172661-26-003786
29RESIDEO TECHNOLOGIES INCCOMโ€”$46M1.2%SH 1,475,2940001172661-26-003786
30STUBHUB HLDGS INCCL Aโ€”$46M1.2%SH 3,562,6300001172661-26-003786
31DECKERS OUTDOOR CORPCOMโ€”$42M1.1%SH 428,0180001172661-26-003786
32SPECTRUM BRANDS HOLDINGS INCCOMโ€”$41M1.0%SH 474,4740001172661-26-003786
33VIATRIS INCCOMโ€”$40M1.0%SH 2,503,8800001172661-26-003786
34CNH INDL N VSHSโ€”$39M1.0%SH 3,489,6900001172661-26-003786
35FLUOR CORPCOMโ€”$36M0.9%SH 688,7900001172661-26-003786
36COMCAST CORP NEWCL Aโ€”$33M0.8%SH 1,345,7800001172661-26-003786
37PVH CORPORATIONCOMโ€”$33M0.8%SH 443,8200001172661-26-003786
38PARAMOUNT SKYDANCE CORPCOM CL Bโ€”$32M0.8%SH 3,272,7900001172661-26-003786
39TRIPADVISOR INCCOMโ€”$32M0.8%SH 2,349,3530001172661-26-003786
40SPDR GOLD TRGOLD SHSโ€”$31M0.8%SH 83,4210001172661-26-003786
41SLIDE INS HLDGS INCCOMโ€”$27M0.7%SH 1,409,1100001172661-26-003786
42CORE NATURAL RESOURCES INCCOM SHSโ€”$27M0.7%SH 336,6220001172661-26-003786
43BRIGHTHOUSE FINL INCCOMโ€”$26M0.7%SH 416,2720001172661-26-003786
44THE CIGNA GROUPCOMโ€”$21M0.5%SH 75,1000001172661-26-003786
45PENN ENTERTAINMENT INCCOMโ€”$18M0.5%SH 863,6240001172661-26-003786
46ACADIA HEALTHCARE COMPANY INCOMโ€”$18M0.5%SH 613,7100001172661-26-003786
47PG&E CORPCOMโ€”$17M0.4%SH 1,038,7600001172661-26-003786
48CENTENE CORP DELCOMโ€”$17M0.4%SH 257,5200001172661-26-003786
49GRAPHIC PACKAGING HLDG COCOMโ€”$16M0.4%SH 1,520,4000001172661-26-003786
50TD SYNNEX CORPORATIONCOMโ€”$15M0.4%SH 56,4100001172661-26-003786
51TEVA PHARMACEUTICAL INDS LTDSPONSORED ADSโ€”$15M0.4%SH 434,2570001172661-26-003786
52CAPRI HOLDINGS LIMITEDSHSโ€”$14M0.3%SH 735,8900001172661-26-003786
53CROCS INCCOMโ€”$13M0.3%SH 109,9400001172661-26-003786
54VERSIGENT PLCORDINARY SHARESโ€”$12M0.3%SH 295,9600001172661-26-003786
55DHT HOLDINGS INCSHS NEWโ€”$12M0.3%SH 740,2650001172661-26-003786
56ROIVANT SCIENCES LTDSHSโ€”$12M0.3%SH 337,0100001172661-26-003786
57BKV CORPCOMโ€”$12M0.3%SH 425,0400001172661-26-003786
58COYA THERAPEUTICS INCCOMMON STOCKโ€”$11M0.3%SH 1,946,0790001172661-26-003786
59LAKEFRONT BIOTHERAPEUTICS NVSPON ADRโ€”$11M0.3%SH 376,0630001172661-26-003786
60VERSANT MEDIA GROUP INCCOM CL Aโ€”$11M0.3%SH 293,1600001172661-26-003786
61PAYPAL HLDGS INCCOMโ€”$9.1M0.2%SH 211,5300001172661-26-003786
62LIBERTY GLOBAL LTDCOM CL Aโ€”$9.1M0.2%SH 799,1900001172661-26-003786
63FORTUNE BRANDS INNOVATIONS ICOMโ€”$8.6M0.2%SH 157,2300001172661-26-003786
64STUBHUB HLDGS INCCL Aโ€”$8.6M0.2%SH 670,5700001172661-26-003786
65BRIGHTHOUSE FINL INCCOMโ€”$8.4M0.2%SH 132,1120001172661-26-003786
66DAUCH CORPCOMโ€”$7.9M0.2%SH 1,458,8000001172661-26-003786
67CNH INDL N VSHSโ€”$7.9M0.2%SH 699,2500001172661-26-003786
68SCHEIN HENRY INCCOMโ€”$7.8M0.2%SH 93,8700001172661-26-003786
69DECKERS OUTDOOR CORPCOMโ€”$7.8M0.2%SH 78,3800001172661-26-003786
70SOTERA HEALTH COCOMโ€”$7.6M0.2%SH 430,7500001172661-26-003786
71SPECTRUM BRANDS HOLDINGS INCCOMโ€”$7.5M0.2%SH 86,9640001172661-26-003786
72FLUOR CORPCOMโ€”$7.4M0.2%SH 141,7300001172661-26-003786
73RESIDEO TECHNOLOGIES INCCOMโ€”$7.0M0.2%SH 224,2960001172661-26-003786
74PARAMOUNT SKYDANCE CORPCOM CL Bโ€”$6.4M0.2%SH 653,2900001172661-26-003786
75ANTERO RESOURCES CORPCOMโ€”$6.3M0.2%SH 179,2300001172661-26-003786
76ROIVANT SCIENCES LTDSHSโ€”$6.0M0.2%SH 170,9300001172661-26-003786
77GRAPHIC PACKAGING HLDG COCOMโ€”$5.9M0.2%SH 560,0700001172661-26-003786
78PVH CORPORATIONCOMโ€”$5.7M0.1%SH 76,9800001172661-26-003786
79SLIDE INS HLDGS INCCOMโ€”$5.4M0.1%SH 277,5200001172661-26-003786
80VIATRIS INCCOMโ€”$4.3M0.1%SH 269,5900001172661-26-003786
81FORTUNE BRANDS INNOVATIONS ICOMโ€”$4.3M0.1%SH 77,8500001172661-26-003786
82WARNER BROS DISCOVERY INCCOM SER Aโ€”$4.2M0.1%SH 157,8400001172661-26-003786
83PENN ENTERTAINMENT INCCOMโ€”$3.9M<0.1%SH 180,6770001172661-26-003786
84THE CIGNA GROUPCOMโ€”$3.7M<0.1%SH 13,3000001172661-26-003786
85LAKEFRONT BIOTHERAPEUTICS NVSPON ADRโ€”$3.2M<0.1%SH 106,6830001172661-26-003786
86IMMUNOVANT INCCOMโ€”$3.0M<0.1%SH 78,6100001172661-26-003786
87PRIMO BRANDS CORPORATIONCLASS A COM SHSโ€”$2.5M<0.1%SH 100,3600001172661-26-003786
88COYA THERAPEUTICS INCCOMMON STOCKโ€”$2.3M<0.1%SH 389,4610001172661-26-003786
89GOPRO INCCL Aโ€”$1.1M<0.1%SH 1,358,9900001172661-26-003786
90GAIN THERAPEUTICS INCCOMโ€”$1.0M<0.1%SH 492,1300001172661-26-003786
91IMMUNOVANT INCCOMโ€”$0.6M<0.1%SH 14,9100001172661-26-003786
92GOPRO INCCL Aโ€”<$1M<0.1%SH 334,8700001172661-26-003786
93NUVATION BIO INCCOM CL Aโ€”<$1M<0.1%SH 34,9950001172661-26-003786
94TRIPADVISOR INCCOMโ€”<$1M<0.1%SH 12,6200001172661-26-003786
95GAIN THERAPEUTICS INCCOMโ€”<$1M<0.1%SH 74,0000001172661-26-003786

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.

7 new ยท โ–ฒ 11 up ยท โ–ผ 11 down ยท 6 exited ยท 17 unchanged โ€” by reported quantity, largest value change first

RowChangeIssuerClassPut/callValue changeQty change
1newFORTUNE BRANDS INNOVATIONS ICOMโ€”+$123MSH +2,241,875
2exitedVICTORIAS SECRET AND COCOMMON STOCKโ€”โˆ’$105MSH โˆ’2,256,889
3newVERSIGENT PLCORDINARY SHARESโ€”+$96MSH +2,277,640
4newPRIMO BRANDS CORPORATIONCLASS A COM SHSโ€”+$69MSH +2,823,660
5newPAYPAL HLDGS INCCOMโ€”+$62MSH +1,424,320
6newWARNER BROS DISCOVERY INCCOM SER Aโ€”+$60MSH +2,246,180
7exitedSLM CORPCOMโ€”โˆ’$45MSH โˆ’2,101,840
8โ–ฒ upSOTERA HEALTH COCOMโ€”+$44MSH +2,069,835 (+100.2%)
9exitedPELOTON INTERACTIVE INCCL A COMโ€”โˆ’$43MSH โˆ’10,113,940
10โ–ผ downVERSANT MEDIA GROUP INCCOM CL Aโ€”โˆ’$43MSH โˆ’1,106,443 (โˆ’36.5%)
11newPVH CORPORATIONCOMโ€”+$39MSH +520,800
12โ–ผ downPENN ENTERTAINMENT INCCOMโ€”+$34MSH โˆ’184,170 (โˆ’3.0%)
13newCOMCAST CORP NEWCL Aโ€”+$33MSH +1,345,780
14โ–ฒ upDAUCH CORPCOMโ€”+$30MSH +6,083,754 (+96.4%)
15โ–ผ downACADIA HEALTHCARE COMPANY INCOMโ€”+$24MSH โˆ’117,740 (โˆ’2.6%)
16โ–ผ downFLUOR CORPCOMโ€”+$23MSH โˆ’88,600 (โˆ’1.9%)
17โ–ฒ upANTERO RESOURCES CORPCOMโ€”+$21MSH +765,620 (+94.7%)
18โ–ผ downTD SYNNEX CORPORATIONCOMโ€”+$21MSH โˆ’98,488 (โˆ’20.5%)
19โ–ฒ upVIATRIS INCCOMโ€”+$19MSH +955,900 (+52.6%)
20โ–ผ downCENTENE CORP DELCOMโ€”+$17MSH โˆ’1,080,660 (โˆ’39.6%)
Remaining 15 reported changes
RowChangeIssuerClassPut/callValue changeQty change
21โ–ฒ upSCHEIN HENRY INCCOMโ€”+$16MSH +119,250 (+19.9%)
22โ–ฒ upTRIPADVISOR INCCOMโ€”+$16MSH +797,277 (+51.0%)
23โ–ฒ upGRAPHIC PACKAGING HLDG COCOMโ€”+$15MSH +853,450 (+9.4%)
24exitedWEATHERFORD INTL PLCORD SHSโ€”โˆ’$14MSH โˆ’145,721
25โ–ผ downDHT HOLDINGS INCSHS NEWโ€”โˆ’$13MSH โˆ’238,450 (โˆ’4.5%)
26โ–ผ downSPDR GOLD TRGOLD SHSโ€”โˆ’$12MSH โˆ’16,190 (โˆ’16.3%)
27โ–ฒ upCORE NATURAL RESOURCES INCCOM SHSโ€”โˆ’$12MSH +425,060 (+22.9%)
28โ–ผ downTEVA PHARMACEUTICAL INDS LTDSPONSORED ADSโ€”+$10MSH โˆ’24,670 (โˆ’0.8%)
29exitedZIM INTEGRATED SHIPPING SERVSHSโ€”โˆ’$9.3MSH โˆ’354,526
30โ–ฒ upBKV CORPCOMโ€”+$7.8MSH +399,630 (+14.8%)
31โ–ผ downCAPRI HOLDINGS LIMITEDSHSโ€”+$2.6MSH โˆ’110,200 (โˆ’2.2%)
32โ–ฒ upDECKERS OUTDOOR CORPCOMโ€”+$2.1MSH +25,000 (+5.2%)
33โ–ฒ upRESIDEO TECHNOLOGIES INCCOMโ€”โˆ’<$1MSH +124,640 (+7.9%)
34โ–ผ downSPECTRUM BRANDS HOLDINGS INCCOMโ€”+<$1MSH โˆ’88,921 (โˆ’13.7%)
35exitedKATAPULT HOLDINGS INC*W EXP 06/09/202โ€”โˆ’<$1MSH โˆ’262,227

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

Filing details

CIK set: 0001489933

Filing history

2026-06-3013F-HR