Highbridge Capital Management LLC Top Holdings and 13F Report (2024) → Shocking $16T Elon Musk Crypto Leak (From Crypto 101 Media) (Ad) About Highbridge Capital Management LLCInvestment ActivityHighbridge Capital Management LLC has $2.73 billion in total holdings as of March 31, 2024.Highbridge Capital Management LLC owns shares of 341 different stocks, but just 42 companies or ETFs make up 80% of its holdings.Approximately 31.44% of the portfolio was purchased this quarter.About 22.79% of the portfolio was sold this quarter.This quarter, Highbridge Capital Management LLC has purchased 360 new stocks and bought additional shares in 104 stocks.Highbridge Capital Management LLC sold shares of 70 stocks and completely divested from 77 stocks this quarter.Largest Holdings ISHARES TR $210,300,000FORD MTR CO DEL $155,370,000OCCIDENTAL PETE CORP $137,304,373OCCIDENTAL PETE CORP $120,104,012SOUTHERN CO $105,702,140 Largest New Holdings this Quarter SOUTHERN CO $105,702,140 HoldingALLIANT ENERGY CORP $64,920,625 HoldingVIAVI SOLUTIONS INC $54,233,300 HoldingCOLLEGIUM PHARMACEUTICAL INC $52,222,445 HoldingPioneer Natural Resources $43,230,863 Holding Largest Purchases this Quarter SOUTHERN CO 106,000,000 shares (about $105.70M)MICROSTRATEGY INC 54,700,000 shares (about $74.72M)ALLIANT ENERGY CORP 66,500,000 shares (about $64.92M)VIAVI SOLUTIONS INC 55,000,000 shares (about $54.23M)AMERICAN AIRLINES GROUP INC 46,500,000 shares (about $54.03M) Largest Sales this Quarter ISHARES TR 500,000 shares (about $105.15M)OCCIDENTAL PETE CORP 936,517 shares (about $40.36M)DIGITALOCEAN HLDGS INC 25,000,000 shares (about $20.99M)KENVUE INC 500,000 shares (about $10.73M)TILRAY BRANDS INC 10,400,000 shares (about $9.93M) Sector Allocation Over TimeMap of 500 Largest Holdings ofHighbridge Capital Management LLC Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorISHARES TR$210,300,000$105,150,000 ▼-33.3%1,000,0007.7%OPTIONFORD MTR CO DEL$155,370,000$5,179,000 ▲3.4%150,000,0005.7%BONDOCCIDENTAL PETE CORP$137,304,3730.0%2,112,7005.0%OPTIONOCCIDENTAL PETE CORP$120,104,012$40,363,883 ▼-25.2%2,786,6364.4%WARRANTSOUTHERN CO$105,702,140$105,702,140 ▲New Holding106,000,0003.9%BONDAMERICAN AIRLINES GROUP INC$104,570,100$54,027,885 ▲106.9%90,000,0003.8%BONDMICROSTRATEGY INC$81,964,200$74,724,029 ▲1,032.1%60,000,0003.0%BONDAIRBNB INC$66,270,346$46,671,466 ▲238.1%71,008,0002.4%BONDALLIANT ENERGY CORP$64,920,625$64,920,625 ▲New Holding66,500,0002.4%BONDNICE LTD$60,228,950$6,284,760 ▼-9.4%57,500,0002.2%BONDGAMIDA CELL INC$60,000,0000.0%75,000,0002.2%BONDVIAVI SOLUTIONS INC$54,233,300$54,233,300 ▲New Holding55,000,0002.0%BONDLBRDKLiberty Broadband$52,640,040$128,825 ▲0.2%919,7981.9%Consumer DiscretionaryCOLLEGIUM PHARMACEUTICAL INC$52,222,445$52,222,445 ▲New Holding40,989,0001.9%BONDPDD HOLDINGS INC$51,940,475$5,825,100 ▲12.6%53,500,0001.9%BONDINTEGRA LIFESCIENCES HLDGS C$48,402,567$3,099,842 ▼-6.0%50,513,0001.8%BONDPXDPioneer Natural Resources$43,230,863$43,230,863 ▲New Holding164,6891.6%Oils/EnergyLCI INDS$40,622,820$3,868,840 ▼-8.7%42,000,0001.5%BONDCONMED CORP$39,403,910$27,949,285 ▲244.0%43,000,0001.4%BONDLIBERTY MEDIA CORP DEL$38,758,921$6,339,176 ▲19.6%884,5031.4%COMMONSEA LTD$38,616,300$2,574,420 ▼-6.3%45,000,0001.4%BONDOMNICELL COM$38,404,993$3,757,000 ▼-8.9%40,889,0001.4%BONDHESHess$36,633,600$32,054,400 ▲700.0%240,0001.3%Oils/EnergyGUARDANT HEALTH INC$33,646,000$12,112,560 ▲56.3%50,000,0001.2%BONDOMEROS CORP$32,741,5290.0%45,083,0001.2%BONDNIO INC$31,830,545$2,736,150 ▲9.4%34,900,0001.2%BONDACORDA THERAPEUTICS INC$31,018,8550.0%45,283,0001.1%BONDSSR MINING IN$30,994,249$30,994,249 ▲New Holding34,675,0001.1%BONDSNAP INC$29,125,440$809,040 ▲2.9%36,000,0001.1%BONDNEENextEra Energy$27,295,961$7,771,456 ▲39.8%427,1001.0%UtilitiesACCURAY INC DEL$27,153,2100.0%31,000,0001.0%BONDXOMETRY INC$26,493,250$1,627,443 ▲6.5%35,000,0001.0%BONDTILRAY BRANDS INC$26,341,164$9,925,656 ▼-27.4%27,600,0001.0%BONDMARATHON DIGITAL HOLDINGS IN$25,858,949$2,812,124 ▲12.2%30,805,0000.9%BONDUNITY SOFTWARE INC$25,852,105$847,610 ▲3.4%30,500,0000.9%BONDGLAUKOS CORP$24,688,300$24,688,300 ▲New Holding14,000,0000.9%BONDINOTIV INC$22,800,000$315,000 ▲1.4%38,000,0000.8%BONDAMERICAN AIRLS GROUP INC$22,257,500$6,140,000 ▲38.1%1,450,0000.8%OPTIONAMEDAmedisys$22,118,400$1,377,239 ▲6.6%240,0000.8%MedicalREDFIN CORP$21,592,275$2,666,775 ▲14.1%25,100,0000.8%BONDTRAVERE THERAPEUTICS INC$19,992,757$976,050 ▲5.1%30,725,0000.7%BONDFUBOTV INC$19,404,000$2,047,500 ▲11.8%30,800,0000.7%BONDINSEEGO CORP$18,819,410$830,250 ▼-4.2%45,901,0000.7%BONDMESA LABS INC$18,800,000$3,760,000 ▼-16.7%20,000,0000.7%BONDCOHERUS BIOSCIENCES INC$18,726,948$321,250 ▼-1.7%29,147,0000.7%BONDBEYOND MEAT INC$17,853,750$714,150 ▲4.2%75,000,0000.7%BONDKARYOPHARM THERAPEUTICS INC$16,663,5000.0%31,500,0000.6%BONDINSULET CORP$16,157,045$16,157,045 ▲New Holding15,500,0000.6%BONDALBEMARLE CORP$15,992,068$15,992,068 ▲New Holding271,0520.6%PREF CONVNOVAVAX INC$15,671,438$15,671,438 ▲New Holding25,175,0000.6%BONDESPERION THERAPEUTICS INC NE$15,355,000$3,112,500 ▼-16.9%18,500,0000.6%BONDCNSLConsolidated Communications$14,473,430$13,139,479 ▲985.0%3,350,3310.5%UtilitiesCUTERA INC$13,359,9940.0%32,685,0000.5%BONDCHEGG INC$13,181,0000.0%14,000,0000.5%BONDBRIGHTSPRING HEALTH SVCS INC$13,154,614$13,154,614 ▲New Holding291,8060.5%PREF CONVPROTALIX BIOTHERAPEUTICS INC$13,052,2250.0%12,500,0000.5%BONDNATIONAL VISION HLDGS INC$12,868,553$1,420,254 ▲12.4%12,232,0000.5%BONDOLKOlink Holding AB (publ)$12,837,306$12,837,306 ▲New Holding546,0360.5%MedicalDIGITALOCEAN HLDGS INC$12,792,301$20,987,500 ▼-62.1%15,238,0000.5%BONDCORE SCIENTIFIC INC NEW$11,840,655$11,840,655 ▲New Holding13,360,4220.4%BONDINNOVIVA INC$11,497,591$8,753,400 ▼-43.2%13,135,0000.4%BONDPETIQ INC$11,416,582$2,361,949 ▲26.1%11,557,0000.4%BONDCUTERA INC$11,392,8750.0%47,970,0000.4%BONDCPRICapri$11,325,000$3,850,500 ▲51.5%250,0000.4%Retail/WholesaleREVANCE THERAPEUTICS INC$11,166,170$3,033,830 ▼-21.4%15,727,0000.4%BONDPELOTON INTERACTIVE INC$10,981,100$2,534,100 ▲30.0%13,000,0000.4%BONDGOSSAMER BIO INC$10,696,875$509,375 ▲5.0%26,250,0000.4%BONDNIO INC$9,900,000$924,300 ▲10.3%2,200,0000.4%OPTIONFWONAFormula One Group$9,455,319$1,737,647 ▲22.5%160,9690.3%Consumer DiscretionaryTPI COMPOSITES INC$8,093,750$8,093,750 ▲New Holding17,500,0000.3%BONDSTHOStar$7,635,694$107,197 ▼-1.4%590,9980.3%FinanceVEECO INSTRS INC DEL$7,207,8000.0%5,000,0000.3%BONDOGIOrganigram$6,884,300$6,884,300 ▲New Holding3,202,0000.3%MedicalCLBTWCellebrite DI$6,348,806$2,421,188 ▲61.6%3,037,7060.2%Computer and TechnologySOLAREDGE TECHNOLOGIES INC$5,910,7100.0%6,500,0000.2%BONDCELLEBRITE DI LTD$5,540,000$5,540,000 ▲New Holding500,0000.2%OPTIONJETBLUE AIRWAYS CORP$5,473,063$5,473,063 ▲New Holding6,250,0000.2%BONDIACIAC$5,176,007$4,493,255 ▲658.1%97,0380.2%Multi-Sector ConglomeratesBATRKAtlanta Braves$5,063,1530.0%129,6250.2%Multi-Sector ConglomeratesSIRISirius XM$4,837,584$154,036 ▲3.3%1,246,8000.2%Consumer DiscretionarySIRIUS XM HOLDINGS INC$4,837,584$154,036 ▲3.3%1,246,8000.2%OPTIONWESTWWestrock Coffee$4,742,660$1,950 ▼0.0%2,098,5220.2%Consumer DefensiveTGANTransphorm$4,711,474$4,711,474 ▲New Holding959,5670.2%Computer and TechnologyIRON HORSE ACQUISITIONS CORP$4,697,313$4,697,313 ▲New Holding470,4370.2%COMMONRPHMReneo Pharmaceuticals$4,542,706$2,680,677 ▲144.0%2,736,5700.2%MedicalETRNEquitrans Midstream$4,532,633$4,532,633 ▲New Holding362,9010.2%Oils/EnergyGRINDR INC$3,934,501$581,413 ▲17.3%1,703,2470.1%WARRANTFIVNFive9$3,739,022$3,739,022 ▲New Holding60,2000.1%Computer and TechnologyNUTXNutex Health$3,223,420$3,223,420 ▲New Holding33,612,3040.1%MedicalKENVUE INC$2,682,500$10,730,000 ▼-80.0%125,0000.1%OPTIONIB ACQUISITION CORP$2,251,125$2,251,125 ▲New Holding225,0000.1%UNITCCTSCactus Acquisition Corp. 1$2,218,8900.0%199,9000.1%UnclassifiedXUnited States Steel$2,039,000$1,631,200 ▲400.0%50,0000.1%Basic MaterialsUHGWWUnited Homes Group$1,920,361$111,166 ▲6.1%2,052,7640.1%Consumer CyclicalROCKET LAB USA INC$1,849,500$1,849,500 ▲New Holding450,0000.1%OPTIONLIBERTY MEDIA CORP DEL$1,817,069$1,817,069 ▲New Holding42,9060.1%COMMONPURECYCLE TECHNOLOGIES INC$1,555,000$3,421,000 ▼-68.8%250,0000.1%OPTIONZYNEX INC$1,453,4750.0%117,5000.1%OPTIONARQQWArqit Quantum$1,346,154$1,082,688 ▲410.9%6,410,2560.0%Computer and TechnologyWALDWWaldencast$1,315,635$14,893 ▼-1.1%2,392,0630.0%Computer and TechnologyShowing largest 100 holdings. 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