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Alpine Global Management, LLC Top Holdings and 13F Report (2024)

About Alpine Global Management, LLC

Investment Activity

  • Alpine Global Management, LLC has $443.63 million in total holdings as of June 30, 2024.
  • Alpine Global Management, LLC owns shares of 162 different stocks, but just 29 companies or ETFs make up 80% of its holdings.
  • Approximately 38.27% of the portfolio was purchased this quarter.
  • About 35.08% of the portfolio was sold this quarter.
  • This quarter, Alpine Global Management, LLC has purchased 130 new stocks and bought additional shares in 17 stocks.
  • Alpine Global Management, LLC sold shares of 19 stocks and completely divested from 70 stocks this quarter.

Largest Holdings

CORNERSTONE STRATEGIC INVEST
$53,695,898
Archer Aviation
$50,533,365
Immunovant
$42,027,072
CORNERSTONE TOTAL RETURN FD
$22,305,373

Largest New Holdings this Quarter

25400Q105 - Digital World Acquisition
$33,853,936 Holding
90353TAM2 - UBER TECHNOLOGIES INC
$14,269,549 Holding
84921RAB6 - SPOTIFY USA INC
$12,105,000 Holding
733245AD6 - PORCH GROUP INC
$7,009,500 Holding
42806J950 - HTZ
$4,497,245 Holding

Largest Purchases this Quarter

Digital World Acquisition
1,876,604 shares (about $33.85M)
UBER TECHNOLOGIES INC
10,000 shares (about $14.27M)
SPOTIFY USA INC
8,000 shares (about $12.11M)
iShares Russell 2000 ETF
39,343 shares (about $8.49M)
PORCH GROUP INC
6,000 shares (about $7.01M)

Largest Sales this Quarter

COREWEAVE INC
134,935 shares (about $22.00M)
LIVE NATION ENTERTAINMENT IN
5,500 shares (about $8.51M)
REDFIN CORP
6,000 shares (about $5.39M)
SPDR S&P 500 ETF Trust
7,541 shares (about $4.66M)

Sector Allocation Over Time

Map of 500 Largest Holdings ofAlpine Global Management, LLC

 
 
Selling
 
 
Neutral
 
 
Buying
Issuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSector
CORNERSTONE STRATEGIC INVEST
$53,695,898$2,732,510 5.4%6,612,79512.1%COM
Archer Aviation Inc. stock logo
ACHR
Archer Aviation
$50,533,365$3,863,153 8.3%4,657,45311.4%Aerospace
Immunovant, Inc. stock logo
IMVT
Immunovant
$42,027,0720.0%2,626,6929.5%Medical
Digital World Acquisition Corp. stock logo
DWAC
Digital World Acquisition
$33,853,936$33,853,936 New Holding1,876,6047.6%Business Services
CORNERSTONE TOTAL RETURN FD
$22,305,373$1,368,286 6.5%2,878,1125.0%COM
UBER TECHNOLOGIES INC
$14,269,549$14,269,549 New Holding10,0003.2%NOTE 0.875%12/0
SPOTIFY USA INC
$12,105,000$12,105,000 New Holding8,0002.7%NOTE 3/1
Paramount Global stock logo
PARA
Paramount Global
$11,102,063$129,323 1.2%860,6252.5%Consumer Discretionary
SUPER MICRO COMPUTER INC
$10,526,3890.0%10,0002.4%NOTE 3.500% 3/0
RIVIAN AUTOMOTIVE INC
$10,297,3960.0%10,0002.3%NOTE 4.625% 3/1
FORD MTR CO
$9,881,2500.0%10,0002.2%NOTE 3/1
iShares Russell 2000 ETF stock logo
IWM
iShares Russell 2000 ETF
$9,307,023$8,489,826 1,038.9%43,1302.1%Finance
RIVIAN AUTOMOTIVE INC
$9,050,5210.0%10,0002.0%NOTE 3.625%10/1
COREWEAVE INC
$8,163,599$22,002,501 -72.9%50,0651.8%COM CL A
PORCH GROUP INC
$7,009,500$7,009,500 New Holding6,0001.6%DEBT 9.000% 5/1
THE REALREAL INC
$6,095,2730.0%6,8721.4%DEBT 4.000% 2/1
INTEGER HLDGS CORP
$5,774,6960.0%3,8391.3%NOTE 2.125% 2/1
Juniper Networks, Inc. stock logo
JNPR
Juniper Networks
$4,991,250$1,996,500 -28.6%125,0001.1%Computer and Technology
Robinhood Markets, Inc. stock logo
HOOD
Robinhood Markets
$4,728,315$579,944 -10.9%50,5001.1%Finance
HTZ
$4,497,245$4,497,245 New Holding152,1751.0%PUT
COINBASE GLOBAL INC
$4,048,285$2,891,632 250.0%3,5000.9%NOTE 0.500% 6/0
Consumer Discretionary Select Sector SPDR Fund stock logo
XLY
Consumer Discretionary Select Sector SPDR Fund
$3,161,282$3,161,282 New Holding14,5460.7%Finance
LIVE NATION ENTERTAINMENT IN
$3,094,896$8,510,964 -73.3%2,0000.7%NOTE 3.125% 1/1
PIONEER ACQUISITION I CORP
$3,001,500$3,001,500 New Holding300,0000.7%UNIT 06/16/2030
ARTIUS II ACQUISITION INC
$2,916,695$2,916,695 New Holding288,2110.7%SHS CL A
THAYER VENTURES ACQ CORP II
$2,905,536$2,905,536 New Holding285,9780.7%UNIT 05/15/2030
SUNRUN INC
$2,881,575$2,881,575 New Holding3,9570.6%NOTE 4.000% 3/0
SAREPTA THERAPEUTICS INC
$2,583,073$2,583,073 New Holding3,5000.6%NOTE 1.250% 9/1
JAZZ INVESTMENTS I LTD
$2,520,833$2,520,833 New Holding2,5000.6%NOTE 2.000% 6/1
SIZZLE ACQUISITION CORP. II
$2,512,500$2,512,500 New Holding250,0000.6%USD CL A ORD SHS
SOULPOWER ACQUISITION CORP
$2,510,000$2,510,000 New Holding250,0000.6%USD CL A ORD SHS
Surmodics, Inc. stock logo
SRDX
Surmodics
$2,465,900$59,450 -2.4%82,9990.6%Medical
JBS N.V.
$2,264,550$2,264,550 New Holding155,0000.5%CL A SHS
iTeos Therapeutics, Inc. stock logo
ITOS
iTeos Therapeutics
$2,243,250$2,243,250 New Holding225,0000.5%Medical
Mr. Cooper Group Inc stock logo
COOP
Mr. Cooper Group
$2,238,150$2,238,150 New Holding15,0000.5%Finance
LIONSGATE STUDIOS CORP
$2,196,488$2,196,488 New Holding378,0530.5%COM
CANTOR EQUITY PARTNERS I INC
$2,065,364$2,065,364 New Holding173,5600.5%SHS CL A
Kellanova stock logo
K
Kellanova
$1,988,250$955,155 92.5%25,0000.4%Consumer Discretionary
ARRAY TECHNOLOGIES INC
$1,948,889$1,948,889 New Holding2,5000.4%NOTE 1.000%12/0
AGRICULTURE AND NAT SOL ACQ CO
$1,898,142$608 0.0%174,9440.4%SHS CL A
Third Harmonic Bio, Inc. stock logo
THRD
Third Harmonic Bio
$1,816,232$1,816,232 New Holding334,4810.4%Medical
CIRCLE INTERNET GROUP INC
$1,812,900$1,812,900 New Holding10,0000.4%COM CL A
Liberty Broadband Corporation stock logo
LBRDA
Liberty Broadband
$1,807,518$1,807,518 New Holding18,4780.4%Consumer Discretionary
AMENTUM HOLDINGS INC
$1,772,072$588,928 -24.9%75,0560.4%COM
Energy Select Sector SPDR Fund stock logo
XLE
Energy Select Sector SPDR Fund
$1,601,891$1,601,891 New Holding18,8880.4%ETF
iShares Russell 1000 Value ETF stock logo
IWD
iShares Russell 1000 Value ETF
$1,525,288$1,525,288 New Holding7,8530.3%ETF
Industrial Select Sector SPDR Fund stock logo
XLI
Industrial Select Sector SPDR Fund
$1,504,261$1,504,261 New Holding10,1970.3%ETF
T-Mobile US, Inc. stock logo
TMUS
T-Mobile US
$1,504,135$1,504,135 New Holding6,3130.3%Computer and Technology
ACUREN CORP
$1,472,339$1,451,562 -49.6%133,3640.3%COM
Hess Corporation stock logo
HES
Hess
$1,396,622$11,222 0.8%10,0810.3%Energy
Liquidia Technologies, Inc. stock logo
LQDA
Liquidia Technologies
$1,366,949$408,090 42.6%109,7070.3%Medical
AMRIZE LTD
$1,238,750$1,238,750 New Holding25,0000.3%SHS
MAGNERA CORP
$1,208,000$483,200 66.7%100,0000.3%COM SHS
Walgreens Boots Alliance, Inc. stock logo
WBA
Walgreens Boots Alliance
$1,182,440$34,440 3.0%103,0000.3%Retail/Wholesale
PAR TECHNOLOGY CORP
$1,143,1300.0%1,0000.3%NOTE 1.500%10/1
Redfin Corporation stock logo
RDFN
Redfin
$1,119,000$1,119,000 New Holding100,0000.3%Finance
ON Semiconductor Corporation stock logo
ON
ON Semiconductor
$1,116,333$1,116,333 New Holding21,3000.3%Computer and Technology
NFE
$1,098,640$1,098,640 New Holding16,2460.2%PUT
GSR III ACQUISITION CORP
$1,079,000$1,079,000 New Holding100,0000.2%CL A
Alight, Inc. stock logo
ALIT
Alight
$1,076,6400.0%190,2190.2%Computer and Technology
Amedisys, Inc. stock logo
AMED
Amedisys
$1,075,009$382,343 55.2%10,9260.2%Medical
Health Care Select Sector SPDR Fund stock logo
XLV
Health Care Select Sector SPDR Fund
$1,069,289$583,371 120.1%7,9330.2%ETF
Utilities Select Sector SPDR Fund stock logo
XLU
Utilities Select Sector SPDR Fund
$1,032,836$1,032,836 New Holding12,6480.2%ETF
Ionis Pharmaceuticals, Inc. stock logo
IONS
Ionis Pharmaceuticals
$1,005,016$105,097 -9.5%25,4370.2%Medical
ONESTREAM INC
$990,500$990,500 New Holding35,0000.2%CL A
ReNew Energy Global PLC stock logo
RNW
ReNew Energy Global
$981,220$884,480 -47.4%142,0000.2%Energy
AIRBNB INC
$964,2500.0%1,0000.2%NOTE 3/1
LMP Capital and Income Fund Inc. stock logo
SCD
LMP Capital and Income Fund
$898,466$898,466 New Holding57,5940.2%Financial Services
REDFIN CORP
$897,600$5,385,600 -85.7%1,0000.2%NOTE 0.500% 4/0
CION Investment Corporation stock logo
CION
CION Investment
$850,1610.0%88,8360.2%Finance
RUN
$814,522$814,522 New Holding16,3270.2%PUT
Bentley Systems, Incorporated stock logo
BSY
Bentley Systems
$754,393$754,393 New Holding13,9780.2%Computer and Technology
Xeris Biopharma Holdings, Inc. stock logo
XERS
Xeris Biopharma
$700,500$233,500 50.0%150,0000.2%Medical
Seritage Growth Properties stock logo
SRG
Seritage Growth Properties
$693,0000.0%225,0000.2%Finance
Uranium Energy Corp. stock logo
UEC
Uranium Energy
$680,000$1,020,000 -60.0%100,0000.2%Basic Materials
MicroStrategy Incorporated stock logo
MSTR
MicroStrategy
$663,341$663,341 New Holding1,6410.1%Computer and Technology
HENNESSY CAP INVT CORP VII
$660,654$660,654 New Holding65,0250.1%ORD SHS CL A
FLNC
$660,000$660,000 New Holding10,7000.1%PUT
ProShares Short VIX Short-Term Futures ETF stock logo
SVXY
ProShares Short VIX Short-Term Futures ETF
$650,161$650,161 New Holding15,2620.1%ETF
BrightSpire Capital, Inc. stock logo
BRSP
BrightSpire Capital
$641,946$141,319 28.2%127,1180.1%Finance
ALIBABA GROUP HLDG LTD
$637,601$637,601 New Holding5000.1%NOTE 0.500% 6/0
SIRIUSXM HOLDINGS INC
$574,2500.0%25,0000.1%COMMON STOCK
Paramount Global stock logo
PARAA
Paramount Global
$573,750$573,750 New Holding25,0000.1%Consumer Discretionary
APPLOVIN CORP
$561,178$561,178 New Holding1,6030.1%COM CL A
Telus Digital stock logo
TIXT
Telus Digital
$558,777$558,777 New Holding153,9330.1%Computer and Technology
Bausch + Lomb Corporation stock logo
BLCO
Bausch + Lomb
$546,6930.0%42,0210.1%Medical
SERVICETITAN INC
$535,900$535,900 New Holding5,0000.1%SHS CL A
Amphenol Corporation stock logo
APH
Amphenol
$530,485$530,485 New Holding5,3720.1%Computer and Technology
Real Estate Select Sector SPDR Fund stock logo
XLRE
Real Estate Select Sector SPDR Fund
$518,123$212,816 69.7%12,5090.1%ETF
BETTER HOME AND FINANCE HOLDIN
$513,442$204,435 -28.5%41,4400.1%COM NEW CL A
Bausch Health Cos Inc. stock logo
BHC
Bausch Health Cos
$499,500$499,500 New Holding75,0000.1%Medical
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
$496,134$4,659,211 -90.4%8030.1%Finance
MICROCHIP TECHNOLOGY INC.
$490,952$490,952 New Holding5000.1%NOTE 0.750% 6/0
GEN DIGITAL INC
$481,200$481,200 New Holding60,0000.1%RIGHT 99/99/9999
MERITAGE HOMES CORP
$479,667$479,667 New Holding5000.1%NOTE 1.750% 5/1
ENPHASE ENERGY INC
$477,500$477,500 -50.0%5000.1%NOTE 3/0
Aflac Incorporated stock logo
AFL
Aflac
$460,649$460,649 New Holding4,3680.1%Finance
SANDISK CORP
$453,500$453,500 New Holding10,0000.1%COM
Communication Services Select Sector SPDR Fund stock logo
XLC
Communication Services Select Sector SPDR Fund
$396,786$4,719,974 -92.2%3,6560.1%ETF
Interactive Brokers Group, Inc. stock logo
IBKR
Interactive Brokers Group
$389,421$389,421 New Holding7,0280.1%Finance

Showing largest 100 holdings. View all holdings.
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