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Highbridge Capital Management LLC Top Holdings and 13F Report (2024)

About Highbridge Capital Management LLC

Investment Activity

  • Highbridge 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
$210,300,000
FORD MTR CO DEL
$155,370,000
OCCIDENTAL PETE CORP
$137,304,373
OCCIDENTAL PETE CORP
$120,104,012
SOUTHERN CO
$105,702,140

Largest New Holdings this Quarter

SOUTHERN CO
$105,702,140 Holding
ALLIANT ENERGY CORP
$64,920,625 Holding
VIAVI SOLUTIONS INC
$54,233,300 Holding
COLLEGIUM PHARMACEUTICAL INC
$52,222,445 Holding
Pioneer 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 Time

Map of 500 Largest Holdings ofHighbridge Capital Management LLC

 
 
Selling
 
 
Neutral
 
 
Buying
Issuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSector
ISHARES TR
$210,300,000$105,150,000 -33.3%1,000,0007.7%OPTION
FORD MTR CO DEL
$155,370,000$5,179,000 3.4%150,000,0005.7%BOND
OCCIDENTAL PETE CORP
$137,304,3730.0%2,112,7005.0%OPTION
OCCIDENTAL PETE CORP
$120,104,012$40,363,883 -25.2%2,786,6364.4%WARRANT
SOUTHERN CO
$105,702,140$105,702,140 New Holding106,000,0003.9%BOND
AMERICAN AIRLINES GROUP INC
$104,570,100$54,027,885 106.9%90,000,0003.8%BOND
MICROSTRATEGY INC
$81,964,200$74,724,029 1,032.1%60,000,0003.0%BOND
AIRBNB INC
$66,270,346$46,671,466 238.1%71,008,0002.4%BOND
ALLIANT ENERGY CORP
$64,920,625$64,920,625 New Holding66,500,0002.4%BOND
NICE LTD
$60,228,950$6,284,760 -9.4%57,500,0002.2%BOND
GAMIDA CELL INC
$60,000,0000.0%75,000,0002.2%BOND
VIAVI SOLUTIONS INC
$54,233,300$54,233,300 New Holding55,000,0002.0%BOND
Liberty Broadband Co. stock logo
LBRDK
Liberty Broadband
$52,640,040$128,825 0.2%919,7981.9%Consumer Discretionary
COLLEGIUM PHARMACEUTICAL INC
$52,222,445$52,222,445 New Holding40,989,0001.9%BOND
PDD HOLDINGS INC
$51,940,475$5,825,100 12.6%53,500,0001.9%BOND
INTEGRA LIFESCIENCES HLDGS C
$48,402,567$3,099,842 -6.0%50,513,0001.8%BOND
Pioneer Natural Resources stock logo
PXD
Pioneer Natural Resources
$43,230,863$43,230,863 New Holding164,6891.6%Oils/Energy
LCI INDS
$40,622,820$3,868,840 -8.7%42,000,0001.5%BOND
CONMED CORP
$39,403,910$27,949,285 244.0%43,000,0001.4%BOND
LIBERTY MEDIA CORP DEL
$38,758,921$6,339,176 19.6%884,5031.4%COMMON
SEA LTD
$38,616,300$2,574,420 -6.3%45,000,0001.4%BOND
OMNICELL COM
$38,404,993$3,757,000 -8.9%40,889,0001.4%BOND
Hess Co. stock logo
HES
Hess
$36,633,600$32,054,400 700.0%240,0001.3%Oils/Energy
GUARDANT HEALTH INC
$33,646,000$12,112,560 56.3%50,000,0001.2%BOND
OMEROS CORP
$32,741,5290.0%45,083,0001.2%BOND
NIO INC
$31,830,545$2,736,150 9.4%34,900,0001.2%BOND
ACORDA THERAPEUTICS INC
$31,018,8550.0%45,283,0001.1%BOND
SSR MINING IN
$30,994,249$30,994,249 New Holding34,675,0001.1%BOND
SNAP INC
$29,125,440$809,040 2.9%36,000,0001.1%BOND
NextEra Energy, Inc. stock logo
NEE
NextEra Energy
$27,295,961$7,771,456 39.8%427,1001.0%Utilities
ACCURAY INC DEL
$27,153,2100.0%31,000,0001.0%BOND
XOMETRY INC
$26,493,250$1,627,443 6.5%35,000,0001.0%BOND
TILRAY BRANDS INC
$26,341,164$9,925,656 -27.4%27,600,0001.0%BOND
MARATHON DIGITAL HOLDINGS IN
$25,858,949$2,812,124 12.2%30,805,0000.9%BOND
UNITY SOFTWARE INC
$25,852,105$847,610 3.4%30,500,0000.9%BOND
GLAUKOS CORP
$24,688,300$24,688,300 New Holding14,000,0000.9%BOND
INOTIV INC
$22,800,000$315,000 1.4%38,000,0000.8%BOND
AMERICAN AIRLS GROUP INC
$22,257,500$6,140,000 38.1%1,450,0000.8%OPTION
Amedisys, Inc. stock logo
AMED
Amedisys
$22,118,400$1,377,239 6.6%240,0000.8%Medical
REDFIN CORP
$21,592,275$2,666,775 14.1%25,100,0000.8%BOND
TRAVERE THERAPEUTICS INC
$19,992,757$976,050 5.1%30,725,0000.7%BOND
FUBOTV INC
$19,404,000$2,047,500 11.8%30,800,0000.7%BOND
INSEEGO CORP
$18,819,410$830,250 -4.2%45,901,0000.7%BOND
MESA LABS INC
$18,800,000$3,760,000 -16.7%20,000,0000.7%BOND
COHERUS BIOSCIENCES INC
$18,726,948$321,250 -1.7%29,147,0000.7%BOND
BEYOND MEAT INC
$17,853,750$714,150 4.2%75,000,0000.7%BOND
KARYOPHARM THERAPEUTICS INC
$16,663,5000.0%31,500,0000.6%BOND
INSULET CORP
$16,157,045$16,157,045 New Holding15,500,0000.6%BOND
ALBEMARLE CORP
$15,992,068$15,992,068 New Holding271,0520.6%PREF CONV
NOVAVAX INC
$15,671,438$15,671,438 New Holding25,175,0000.6%BOND
ESPERION THERAPEUTICS INC NE
$15,355,000$3,112,500 -16.9%18,500,0000.6%BOND
Consolidated Communications Holdings, Inc. stock logo
CNSL
Consolidated Communications
$14,473,430$13,139,479 985.0%3,350,3310.5%Utilities
CUTERA INC
$13,359,9940.0%32,685,0000.5%BOND
CHEGG INC
$13,181,0000.0%14,000,0000.5%BOND
BRIGHTSPRING HEALTH SVCS INC
$13,154,614$13,154,614 New Holding291,8060.5%PREF CONV
PROTALIX BIOTHERAPEUTICS INC
$13,052,2250.0%12,500,0000.5%BOND
NATIONAL VISION HLDGS INC
$12,868,553$1,420,254 12.4%12,232,0000.5%BOND
Olink Holding AB (publ) stock logo
OLK
Olink Holding AB (publ)
$12,837,306$12,837,306 New Holding546,0360.5%Medical
DIGITALOCEAN HLDGS INC
$12,792,301$20,987,500 -62.1%15,238,0000.5%BOND
CORE SCIENTIFIC INC NEW
$11,840,655$11,840,655 New Holding13,360,4220.4%BOND
INNOVIVA INC
$11,497,591$8,753,400 -43.2%13,135,0000.4%BOND
PETIQ INC
$11,416,582$2,361,949 26.1%11,557,0000.4%BOND
CUTERA INC
$11,392,8750.0%47,970,0000.4%BOND
Capri Holdings Limited stock logo
CPRI
Capri
$11,325,000$3,850,500 51.5%250,0000.4%Retail/Wholesale
REVANCE THERAPEUTICS INC
$11,166,170$3,033,830 -21.4%15,727,0000.4%BOND
PELOTON INTERACTIVE INC
$10,981,100$2,534,100 30.0%13,000,0000.4%BOND
GOSSAMER BIO INC
$10,696,875$509,375 5.0%26,250,0000.4%BOND
NIO INC
$9,900,000$924,300 10.3%2,200,0000.4%OPTION
Formula One Group stock logo
FWONA
Formula One Group
$9,455,319$1,737,647 22.5%160,9690.3%Consumer Discretionary
TPI COMPOSITES INC
$8,093,750$8,093,750 New Holding17,500,0000.3%BOND
Star Holdings stock logo
STHO
Star
$7,635,694$107,197 -1.4%590,9980.3%Finance
VEECO INSTRS INC DEL
$7,207,8000.0%5,000,0000.3%BOND
Organigram Holdings Inc. stock logo
OGI
Organigram
$6,884,300$6,884,300 New Holding3,202,0000.3%Medical
CLBTW
Cellebrite DI
$6,348,806$2,421,188 61.6%3,037,7060.2%Computer and Technology
SOLAREDGE TECHNOLOGIES INC
$5,910,7100.0%6,500,0000.2%BOND
CELLEBRITE DI LTD
$5,540,000$5,540,000 New Holding500,0000.2%OPTION
JETBLUE AIRWAYS CORP
$5,473,063$5,473,063 New Holding6,250,0000.2%BOND
IAC Inc. stock logo
IAC
IAC
$5,176,007$4,493,255 658.1%97,0380.2%Multi-Sector Conglomerates
Atlanta Braves Holdings, Inc. stock logo
BATRK
Atlanta Braves
$5,063,1530.0%129,6250.2%Multi-Sector Conglomerates
Sirius XM Holdings Inc. stock logo
SIRI
Sirius XM
$4,837,584$154,036 3.3%1,246,8000.2%Consumer Discretionary
SIRIUS XM HOLDINGS INC
$4,837,584$154,036 3.3%1,246,8000.2%OPTION
Westrock Coffee stock logo
WESTW
Westrock Coffee
$4,742,660$1,950 0.0%2,098,5220.2%Consumer Defensive
Transphorm, Inc. stock logo
TGAN
Transphorm
$4,711,474$4,711,474 New Holding959,5670.2%Computer and Technology
IRON HORSE ACQUISITIONS CORP
$4,697,313$4,697,313 New Holding470,4370.2%COMMON
Reneo Pharmaceuticals, Inc. stock logo
RPHM
Reneo Pharmaceuticals
$4,542,706$2,680,677 144.0%2,736,5700.2%Medical
Equitrans Midstream Co. stock logo
ETRN
Equitrans Midstream
$4,532,633$4,532,633 New Holding362,9010.2%Oils/Energy
GRINDR INC
$3,934,501$581,413 17.3%1,703,2470.1%WARRANT
Five9, Inc. stock logo
FIVN
Five9
$3,739,022$3,739,022 New Holding60,2000.1%Computer and Technology
Nutex Health Inc. stock logo
NUTX
Nutex Health
$3,223,420$3,223,420 New Holding33,612,3040.1%Medical
KENVUE INC
$2,682,500$10,730,000 -80.0%125,0000.1%OPTION
IB ACQUISITION CORP
$2,251,125$2,251,125 New Holding225,0000.1%UNIT
CCTS
Cactus Acquisition Corp. 1
$2,218,8900.0%199,9000.1%Unclassified
United States Steel Co. stock logo
X
United States Steel
$2,039,000$1,631,200 400.0%50,0000.1%Basic Materials
UHGWW
United Homes Group
$1,920,361$111,166 6.1%2,052,7640.1%Consumer Cyclical
ROCKET LAB USA INC
$1,849,500$1,849,500 New Holding450,0000.1%OPTION
LIBERTY MEDIA CORP DEL
$1,817,069$1,817,069 New Holding42,9060.1%COMMON
PURECYCLE TECHNOLOGIES INC
$1,555,000$3,421,000 -68.8%250,0000.1%OPTION
ZYNEX INC
$1,453,4750.0%117,5000.1%OPTION
Arqit Quantum Inc. stock logo
ARQQW
Arqit Quantum
$1,346,154$1,082,688 410.9%6,410,2560.0%Computer and Technology
Waldencast plc stock logo
WALDW
Waldencast
$1,315,635$14,893 -1.1%2,392,0630.0%Computer and Technology

Showing largest 100 holdings. View all holdings.

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