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Alpine Global Management, LLC Top Holdings and 13F Report (2026)

About Alpine Global Management, LLC

Investment Activity

  • Alpine Global Management, LLC has $667.93 million in total holdings as of March 31, 2026.
  • Alpine Global Management, LLC owns shares of 226 different stocks, but just 43 companies or ETFs make up 80% of its holdings.
  • Approximately 62.43% of the portfolio was purchased this quarter.
  • About 32.16% of the portfolio was sold this quarter.
  • This quarter, Alpine Global Management, LLC has purchased 344 new stocks and bought additional shares in 36 stocks.
  • Alpine Global Management, LLC sold shares of 39 stocks and completely divested from 246 stocks this quarter.

Largest Holdings

Immunovant
$65,501,217
CORNERSTONE STRATEGIC INVEST
$49,608,340
Rivian Automotive
$40,046,063
Archer Aviation
$29,115,682
CORNERSTONE TOTAL RETURN FD
$20,711,779

Largest New Holdings this Quarter

594972AS0 - STRATEGY INC
$17,522,400 Holding
48251W104 - KKR & Co. Inc.
$15,012,195 Holding
03769M106 - Apollo Global Management
$14,702,426 Holding
064058100 - BNY
$14,641,433 Holding
76954AAD5 - RIVIAN AUTOMOTIVE INC
$14,538,229 Holding

Largest Purchases this Quarter

CORNERSTONE STRATEGIC INVEST
5,674,519 shares (about $41.31M)
STRATEGY INC
21,000 shares (about $17.52M)
KKR & Co. Inc.
162,294 shares (about $15.01M)
Apollo Global Management
131,955 shares (about $14.70M)
BNY
123,421 shares (about $14.64M)

Largest Sales this Quarter

STATE STR SPDR S&P 500 ETF T
21,633 shares (about $38.61M)
XEROX HOLDINGS CORP
13,600 shares (about $2.68M)
GIGCAPITAL7 CORP
200,000 shares (about $2.13M)
CANTOR EQUITY PARTNERS IV IN
200,000 shares (about $2.04M)
FUTURECREST ACQUISITION CORP
200,000 shares (about $2.01M)

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
Immunovant, Inc. stock logo
IMVT
Immunovant
$65,501,217$254,188 â–²0.4%2,636,9259.8%Medical
CORNERSTONE STRATEGIC INVEST
$49,608,340$41,310,501 â–²497.8%6,814,3327.4%COM
Rivian Automotive, Inc. stock logo
RIVN
Rivian Automotive
$40,046,063$490,163 â–²1.2%2,660,8686.0%Auto/Tires/Trucks
Archer Aviation Inc. stock logo
ACHR
Archer Aviation
$29,115,682$4,934,843 â–²20.4%5,631,6604.4%Aerospace
CORNERSTONE TOTAL RETURN FD
$20,711,779$12,292,173 â–²146.0%2,980,1123.1%COM
STRATEGY INC
$17,522,400$17,522,400 â–²New Holding21,0002.6%NOTE 12/0
KKR & Co. Inc. stock logo
KKR
KKR & Co. Inc.
$15,012,195$15,012,195 â–²New Holding162,2942.2%Finance
Apollo Global Management Inc. stock logo
APO
Apollo Global Management
$14,702,426$14,702,426 â–²New Holding131,9552.2%Finance
Ares Management Corporation stock logo
ARES
Ares Management
$14,690,206$7,220,238 â–²96.7%134,6492.2%Finance
BNY stock logo
BK
BNY
$14,641,433$14,641,433 â–²New Holding123,4212.2%Finance
RIVIAN AUTOMOTIVE INC
$14,538,229$14,538,229 â–²New Holding15,0002.2%NOTE 3.625%10/1
Blue Owl Capital Inc. stock logo
OWL
Blue Owl Capital
$14,477,852$14,477,852 â–²New Holding1,585,7452.2%Finance
BLACKROCK INC
$14,266,006$14,266,006 â–²New Holding14,8342.1%COM
RIVIAN AUTOMOTIVE INC
$13,314,445$13,314,445 â–²New Holding12,5002.0%NOTE 4.625% 3/1
SUPER MICRO COMPUTER INC
$12,736,267$1,990,042 â–²18.5%16,0001.9%NOTE 3.500% 3/0
STRATEGY INC
$12,006,000$12,006,000 â–²New Holding13,8001.8%NOTE 3/0
Banco Bradesco SA stock logo
BBD
Banco Bradesco
$11,972,000$2,117,000 â–²21.5%3,280,0001.8%Finance
Strategy Inc stock logo
MSTR
Strategy
$10,609,498$1,597,565 â–²17.7%85,0121.6%Computer and Technology
Liberty Broadband Corporation stock logo
LBRDA
Liberty Broadband
$9,780,998$4,758,998 â–²94.8%194,7631.5%Consumer Discretionary
YPF Sociedad Anónima stock logo
YPF
YPF Sociedad Anónima
$9,428,880$9,428,880 â–²New Holding204,0001.4%Energy
Electronic Arts Inc. stock logo
EA
Electronic Arts
$8,052,865$8,052,865 â–²New Holding39,5001.2%Consumer Discretionary
Grupo Financiero Galicia S.A. stock logo
GGAL
Grupo Financiero Galicia
$7,940,700$7,940,700 â–²New Holding170,0001.2%Finance
Microsoft Corporation stock logo
MSFT
Microsoft
$7,610,325$7,610,325 â–²New Holding20,5591.1%Computer and Technology
BROOKFIELD BUSINESS CORP
$7,366,829$7,366,829 â–²New Holding194,3051.1%CL A SUB VTG SH
EXACT SCIENCES CORP
$6,972,3330.0%6,5001.0%NOTE 0.375% 3/1
Hologic, Inc. stock logo
HOLX
Hologic
$6,084,995$4,384,220 â–²257.8%80,5000.9%Medical
NXG NextGen Infrastructure Income Fund stock logo
NXG
NXG NextGen Infrastructure Income Fund
$6,078,883$6,078,883 â–²New Holding110,6660.9%Financial Services
ALLIED GOLD CORP
$5,911,364$5,911,364 â–²New Holding137,0910.9%COM NEW
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
$5,859,563$4,517,912 â–²336.7%9,0100.9%Finance
ON SEMICONDUCTOR CORP
$5,848,900$5,848,900 â–²New Holding6,0000.9%NOTE 0.500% 3/0
Macro Bank Inc. stock logo
BMA
Macro Bank
$5,802,750$5,802,750 â–²New Holding75,0000.9%Finance
YORK SPACE SYSTEMS INC
$5,477,741$5,477,741 â–²New Holding247,0790.8%COM
Janus Henderson Group plc stock logo
JHG
Janus Henderson Group
$5,418,867$5,418,867 â–²New Holding105,4870.8%Finance
Sealed Air Corporation stock logo
SEE
Sealed Air
$5,151,125$210,250 â–¼-3.9%122,5000.8%Industrials
Carnival Corporation stock logo
CUK
Carnival
$5,029,016$5,029,016 â–²New Holding195,1500.8%Consumer Discretionary
BrightSpire Capital, Inc. stock logo
BRSP
BrightSpire Capital
$5,025,994$4,483,931 â–²827.2%897,4990.8%Finance
NVIDIA Corporation stock logo
NVDA
NVIDIA
$4,973,016$4,973,016 â–²New Holding28,5150.7%Computer and Technology
Runway Growth Finance Corp. stock logo
RWAY
Runway Growth Finance
$4,680,194$3,942,610 â–²534.5%681,2510.7%Finance
The AES Corporation stock logo
AES
AES
$4,664,480$4,664,480 â–²New Holding331,0490.7%Utilities
Warner Bros. Discovery, Inc. stock logo
WBD
Warner Bros. Discovery
$4,599,550$1,853,550 â–¼-28.7%167,5000.7%Consumer Discretionary
Banco Santander Brasil SA stock logo
BSBR
Banco Santander Brasil
$4,595,750$4,595,750 â–²New Holding775,0000.7%Finance
HERTZ GLOBAL HLDGS INC
$4,226,182$116,180 â–²2.8%126,1160.6%PUT
BITGO HOLDINGS INC
$4,027,285$4,027,285 â–²New Holding489,3420.6%COM SHS CL A
Air Lease Corporation stock logo
AL
Air Lease
$3,961,340$3,961,340 â–²New Holding61,0000.6%Transportation
BBVA Banco Frances S.A. stock logo
BBAR
BBVA Banco Frances
$3,592,5740.0%223,6970.5%Finance
Liberty Broadband Corporation stock logo
LBRDK
Liberty Broadband
$3,326,943$871,297 â–²35.5%66,1420.5%Consumer Discretionary
Norfolk Southern Corporation stock logo
NSC
Norfolk Southern
$3,300,500$1,578,500 â–¼-32.4%11,5000.5%Transportation
FS KKR Capital Corp. stock logo
FSK
FS KKR Capital
$3,217,023$2,063,466 â–²178.9%316,0140.5%Finance
Ares Commercial Real Estate Corporation stock logo
ACRE
Ares Commercial Real Estate
$3,133,723$3,133,723 â–²New Holding652,8590.5%Finance
NEUBERGER HIGH YIELD ST FD I
$3,117,055$3,117,055 â–²New Holding481,0270.5%COM
RAMACO RES INC
$3,000,373$3,000,373 â–²New Holding3,8590.4%NOTE 11/0
Take-Two Interactive Software, Inc. stock logo
TTWO
Take-Two Interactive Software
$2,830,965$2,830,965 â–²New Holding14,3340.4%Consumer Discretionary
AMRIZE LTD
$2,801,560$840,860 â–²42.9%50,0100.4%SHS
TRUMP MEDIA & TECHNOLOGY GRO
$2,736,282$92,800 â–¼-3.3%294,8580.4%COM
OXFORD LANE CAP CORP
$2,523,162$2,269,606 â–²895.1%257,9920.4%COM
MSC INCOME FUND INC
$2,509,920$2,509,920 â–²New Holding206,0690.4%COM
Clearwater Analytics Holdings, Inc. stock logo
CWAN
Clearwater Analytics
$2,396,478$2,396,478 â–²New Holding101,3310.4%Computer and Technology
Automatic Data Processing, Inc. stock logo
ADP
Automatic Data Processing
$2,379,644$2,379,644 â–²New Holding11,7120.4%Computer and Technology
Masimo Corporation stock logo
MASI
Masimo
$2,223,375$2,223,375 â–²New Holding12,5000.3%Medical
BLUE OWL TECHNOLOGY FIN CORP
$2,213,994$2,213,994 â–²New Holding178,6920.3%COMMON STOCK
Northfield Bancorp, Inc. stock logo
NFBK
Northfield Bancorp
$2,031,000$2,031,000 â–²New Holding150,0000.3%Finance
CONFLUENT INC
$1,991,200$1,991,200 â–¼-50.0%2,0000.3%NOTE 1/1
Gabelli Equity Trust Inc. stock logo
GAB
Gabelli Equity Trust
$1,883,487$1,883,487 â–²New Holding336,3370.3%Finance
Golub Capital BDC, Inc. stock logo
GBDC
Golub Capital BDC
$1,859,159$1,859,159 â–²New Holding146,8530.3%Finance
Apollo Commercial Real Estate Finance stock logo
ARI
Apollo Commercial Real Estate Finance
$1,771,683$1,771,683 â–²New Holding167,7730.3%Finance
Coeur Mining, Inc. stock logo
CDE
Coeur Mining
$1,669,460$1,461,319 â–²702.1%88,9430.2%Basic Materials
VERSANT MEDIA GROUP INC
$1,620,069$1,620,069 â–²New Holding43,7620.2%COM CL A
Crescent Capital BDC, Inc. stock logo
CCAP
Crescent Capital BDC
$1,571,141$1,571,141 â–²New Holding129,3120.2%Finance
CANTOR EQUITY PARTNERS V INC
$1,515,000$745,370 â–²96.8%150,0000.2%SHS CL A S
ARCHIMEDES TECH SPAC PTNRS I
$1,477,500$1,477,500 â–²New Holding150,0000.2%ORD SHS
Enviri Corporation stock logo
NVRI
Enviri
$1,471,500$1,471,500 â–²New Holding75,0000.2%Business Services
LKQ Corporation stock logo
LKQ
LKQ
$1,468,500$1,468,500 â–²New Holding50,0000.2%Auto/Tires/Trucks
SkyWater Technology, Inc. stock logo
SKYT
SkyWater Technology
$1,370,500$1,370,500 â–²New Holding50,0000.2%Computer and Technology
CION Investment Corporation stock logo
CION
CION Investment
$1,327,370$685,532 â–²106.8%194,0600.2%Finance
National Storage Affiliates Trust stock logo
NSA
National Storage Affiliates Trust
$1,281,801$1,281,801 â–²New Holding33,9640.2%Finance
Carlyle Secured Lending, Inc. stock logo
CGBD
Carlyle Secured Lending
$1,265,353$1,265,353 â–²New Holding115,6630.2%Finance
Bain Capital Specialty Finance, Inc. stock logo
BCSF
Bain Capital Specialty Finance
$1,257,162$1,257,162 â–²New Holding101,3840.2%Finance
GEMINI SPACE STA INC
$1,243,492$1,199,292 â–²2,713.3%281,3330.2%CL A COM
Nuveen New York AMT-Free Quality Municipal Income Fund stock logo
NRK
Nuveen New York AMT-Free Quality Municipal Income Fund
$1,206,546$1,206,546 â–²New Holding118,1730.2%Financial Services
VanEck Semiconductor ETF stock logo
SMH
VanEck Semiconductor ETF
$1,187,390$1,187,390 â–²New Holding3,0970.2%Manufacturing
Ultra Clean Holdings, Inc. stock logo
UCTT
Ultra Clean
$1,126,950$1,126,950 â–²New Holding18,1240.2%Computer and Technology
Comcast Corporation stock logo
CMCSA
Comcast
$1,091,726$1,091,726 â–²New Holding38,0260.2%Consumer Discretionary
CLOUGH GLOBAL DIVID & INCOME
$1,023,112$1,023,112 â–²New Holding172,8230.2%COM
CANTOR EQUITY PARTNERS IV IN
$1,019,000$2,038,000 â–¼-66.7%100,0000.2%SHS CL A
SPRING VY ACQUISITION CORP I
$1,016,000$1,016,000 â–²New Holding100,0000.2%UNIT 01/22/2031
FUTURECREST ACQUISITION CORP
$1,006,000$2,012,000 â–¼-66.7%100,0000.2%CL A ORD SHS
AMCOR PLC
$993,750$993,750 â–²New Holding25,0000.1%COM NEW
STARZ ENTERTAINMENT CORP.
$990,150$719,935 â–¼-42.1%86,1000.1%COM
SUPER MICRO COMPUTER INC
$963,728$963,728 â–²New Holding34,6540.1%PUT
MAGNERA CORP
$951,000$475,500 â–²100.0%100,0000.1%COM SHS
Veeva Systems Inc. stock logo
VEEV
Veeva Systems
$946,456$946,456 â–²New Holding5,3880.1%Medical
LIBERTY LIVE HOLDINGS INC
$941,1000.0%10,0000.1%COM SHS SER C
SANDISK CORP
$931,408$931,408 â–²New Holding1,4660.1%COM
PAR TECHNOLOGY CORP
$922,8000.0%1,0000.1%NOTE 1.500%10/1
IONIS PHARMACEUTICALS INC
$907,232$907,232 â–²New Holding6000.1%NOTE 1.750% 6/1
MILLROSE PPTYS INC
$898,520$898,520 â–²New Holding32,0900.1%COM CL A
Oracle Corporation stock logo
ORCL
Oracle
$882,660$882,660 â–²New Holding6,0000.1%Computer and Technology
GROUPON INC
$882,188$882,188 â–²New Holding1,0000.1%NOTE 4.875% 6/3
Meta Platforms, Inc. stock logo
META
Meta Platforms
$857,051$495,465 â–²137.0%1,4980.1%Computer and Technology
EMPERY DIGITAL INC
$846,000$173,117 â–¼-17.0%200,0000.1%COM NEW

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