Highbridge Capital Management LLC Top Holdings and 13F Report (2025) About Highbridge Capital Management LLCInvestment ActivityHighbridge Capital Management LLC has $2.47 billion in total holdings as of December 31, 2024.Highbridge Capital Management LLC owns shares of 253 different stocks, but just 37 companies or ETFs make up 80% of its holdings.Approximately 34.52% of the portfolio was purchased this quarter.About 43.08% of the portfolio was sold this quarter.This quarter, Highbridge Capital Management LLC has purchased 303 new stocks and bought additional shares in 33 stocks.Highbridge Capital Management LLC sold shares of 120 stocks and completely divested from 111 stocks this quarter.Largest Holdings ISHARES TR $199,490,000FORD MTR CO $134,664,750iShares Russell 2000 ETF $93,388,850FIRSTENERGY CORP $91,245,600ALNYLAM PHARMACEUTICALS INC $85,478,880 Largest New Holdings this Quarter 464287955 - ISHARES TR $199,490,000 Holding464287655 - iShares Russell 2000 ETF $93,388,850 Holding81180WBL4 - SEAGATE HDD CAYMAN $60,169,194 Holding84921RAB6 - SPOTIFY USA INC $56,474,650 Holding90353TAM2 - UBER TECHNOLOGIES INC $39,295,060 Holding Largest Purchases this Quarter ISHARES TR 1,000,000 shares (about $199.49M)iShares Russell 2000 ETF 468,138 shares (about $93.39M)SEAGATE HDD CAYMAN 50,187,000 shares (about $60.17M)SPOTIFY USA INC 47,500,000 shares (about $56.47M)UBER TECHNOLOGIES INC 32,302,000 shares (about $39.30M) Largest Sales this Quarter SHIFT4 PMTS INC 62,853,000 shares (about $72.18M)GUESS INC 40,250,000 shares (about $37.23M)SEA LTD 20,000,000 shares (about $29.13M)SOUTHWEST AIRLS CO 25,000,000 shares (about $25.00M)SOUTHERN CO 20,000,000 shares (about $22.43M) 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$199,490,000$199,490,000 ▲New Holding1,000,0008.1%OPTIONFORD MTR CO$134,664,750$3,917,520 ▼-2.8%137,500,0005.5%BONDIWMiShares Russell 2000 ETF$93,388,850$93,388,850 ▲New Holding468,1383.8%FinanceFIRSTENERGY CORP$91,245,600$8,110,720 ▼-8.2%90,000,0003.7%BONDALNYLAM PHARMACEUTICALS INC$85,478,880$6,930,720 ▼-7.5%74,000,0003.5%BONDHESHess$84,203,586$8,351,164 ▼-9.0%527,1623.4%EnergyBOFA FIN LLC$82,616,540$14,930,700 ▲22.1%83,000,0003.3%BONDINSULET CORP$67,452,252$35,968,140 ▲114.2%53,447,0002.7%BONDSEAGATE HDD CAYMAN$60,169,194$60,169,194 ▲New Holding50,187,0002.4%BONDVENTAS RLTY LTD PARTNERSHIP$57,414,600$6,379,400 ▲12.5%45,000,0002.3%BONDSPOTIFY USA INC$56,474,650$56,474,650 ▲New Holding47,500,0002.3%BONDUBER TECHNOLOGIES INC$55,793,325$15,940,950 ▲40.0%52,500,0002.3%BONDALEALLETE$54,903,256$446,760 ▼-0.8%835,6662.2%UtilitiesDUKE ENERGY CORP NEW$53,919,931$13,312,681 ▲32.8%49,794,0002.2%BONDEVERGY INC$52,876,350$24,088,115 ▲83.7%45,000,0002.1%BONDBENTLEY SYS INC$52,539,421$14,237,538 ▲37.2%54,246,0002.1%BONDNUTANIX INC$50,183,175$18,516,452 ▲58.5%37,753,0002.0%BONDSOUTHWEST AIRLS CO$48,833,930$25,001,500 ▼-33.9%48,831,0002.0%BONDSOUTHERN CO$44,851,200$22,425,600 ▼-33.3%40,000,0001.8%BONDVIAVI SOLUTIONS INC$40,736,000$2,412,000 ▼-5.6%38,000,0001.6%BONDQ2 HLDGS INC$40,091,335$29,575,575 ▲281.3%30,500,0001.6%BONDFYBRFrontier Communications Parent$39,967,620$1,075,800 ▲2.8%1,114,5461.6%Computer and TechnologyUBER TECHNOLOGIES INC$39,295,060$39,295,060 ▲New Holding32,302,0001.6%BONDDROPBOX INC$38,449,710$38,449,710 ▲New Holding39,000,0001.6%BONDITRON INC$35,980,700$11,308,220 ▼-23.9%35,000,0001.5%BONDSAREPTA THERAPEUTICS INC$35,404,600$18,168,150 ▼-33.9%38,000,0001.4%BONDAMEDAmedisys$30,408,113$4,895,310 ▼-13.9%328,2751.2%MedicalBRIGHTSPRING HEALTH SVCS INC$29,755,057$5,571,337 ▼-15.8%450,0161.2%PREF CONVCERENCE INC$27,650,160$5,258,160 ▲23.5%38,403,0001.1%BONDNIO INC$26,952,840$2,919,891 ▼-9.8%36,000,0001.1%BONDKKR & CO INC$26,052,017$26,052,017 ▲New Holding530,2671.1%PREF CONVSSR MINING IN$26,019,0450.0%25,675,0001.1%BONDNBRNabors Industries$25,781,285$25,781,285 ▲New Holding618,1081.0%EnergyKKellanova$25,261,160$5,455,641 ▼-17.8%306,2331.0%Consumer DiscretionaryHERBALIFE LTD$24,908,262$3,025,260 ▼-10.8%28,817,0001.0%BONDACCURAY INC DEL$24,375,0000.0%26,000,0001.0%BONDEVRIEveri$23,727,470$4,693,253 ▲24.7%1,735,7331.0%Business ServicesFWONAFormula One Group$23,266,773$645,568 ▼-2.7%285,5870.9%Consumer DiscretionaryDROPBOX INC$22,687,890$22,687,890 ▲New Holding23,000,0000.9%BONDHEI.AHEICO$22,660,710$7,278,465 ▼-24.3%107,4120.9%AerospaceSEA LTD$22,578,540$29,133,600 ▼-56.3%15,500,0000.9%BONDITCIIntra-Cellular Therapies$18,769,578$18,769,578 ▲New Holding142,2800.8%MedicalIMMUNOCORE HLDGS PLC$17,803,463$17,803,463 ▲New Holding21,250,0000.7%BONDCOHERUS BIOSCIENCES INC$17,294,0600.0%17,647,0000.7%BONDCENTACentral Garden & Pet$15,621,734$6,826,038 ▼-30.4%477,2910.6%Consumer DiscretionaryCKPTCheckpoint Therapeutics$15,480,234$15,480,234 ▲New Holding3,831,7410.6%MedicalGRAF GLOBAL CORP$15,375,0000.0%1,500,0000.6%COMMONGREEN PLAINS INC$15,308,750$14,481,250 ▼-48.6%18,500,0000.6%BONDINTEGRA LIFESCIENCES HLDGS C$15,012,0680.0%15,338,0000.6%BONDGOSSAMER BIO INC$14,045,6250.0%24,750,0000.6%BONDM3BRIGADE ACQUISITION V CORP$12,837,5000.0%1,250,0000.5%COMMONGUESS INC$12,671,541$37,228,433 ▼-74.6%13,700,0000.5%BONDBOX INC$12,182,8110.0%9,808,0000.5%BONDLBRDKLiberty Broadband$12,062,982$18,229,873 ▼-60.2%141,8340.5%Consumer DiscretionaryINOTIV INC$10,790,0000.0%32,500,0000.4%BONDLIBERTY MEDIA CORP DEL$10,647,925$353,212 ▲3.4%158,3570.4%COMMONIACIAC$10,594,729$5,561,497 ▼-34.4%230,6210.4%Multi-Sector ConglomeratesCNNECannae$10,305,364$345,979 ▼-3.2%562,2130.4%FinanceSILVERBOX CORP IV$10,176,700$2,849,476 ▼-21.9%1,000,0000.4%COMMONSTHOStar$9,792,755$2,417,053 ▲32.8%1,150,7350.4%FinanceFUBOTV INC$9,762,500$3,416,875 ▼-25.9%10,000,0000.4%BONDPURECYCLE TECHNOLOGIES INC$9,716,670$181,620 ▲1.9%10,700,0000.4%BONDBATRKAtlanta Braves$9,215,103$4,837,569 ▲110.5%230,3200.4%Multi-Sector ConglomeratesLIBERTY MEDIA CORP DEL$7,914,529$12,320,666 ▼-60.9%116,1510.3%COMMONTHE REALREAL INC$7,098,016$7,098,016 ▲New Holding7,971,0000.3%BONDLUMINAR TECHNOLOGIES INC$7,009,650$1,869,240 ▼-21.1%15,000,0000.3%BONDLUMINAR TECHNOLOGIES INC$6,499,8180.0%11,700,0000.3%BONDRITHM ACQUISITION CORP$5,050,000$5,050,000 ▲New Holding500,0000.2%UNITSHIFT4 PMTS INC$5,018,508$72,180,385 ▼-93.5%4,370,0000.2%BONDITGRInteger$4,860,596$4,860,596 ▲New Holding41,1880.2%MedicalGATEMarblegate Acquisition$4,412,250$4,412,250 ▲New Holding225,0000.2%Financial ServicesSOLARBANK CORPORATION$3,475,901$3,475,901 ▲New Holding1,430,4120.1%COMMONCMPOWCompoSecure$3,052,490$2,324,413 ▼-43.2%769,8590.1%IndustrialsCORE SCIENTIFIC INC NEW$2,959,268$10,676,906 ▼-78.3%976,6560.1%WARRANTROMAN DBDR ACQUISITION CORP$2,507,500$2,507,500 ▲New Holding250,0000.1%COMMONSMSM Energy$2,448,413$2,448,413 ▲New Holding81,7500.1%EnergyAIRSHIP AI HLDGS INC$2,402,278$1,170,278 ▲95.0%2,144,8910.1%WARRANTNIO INC$2,190,750$2,190,750 ▲New Holding575,0000.1%OPTIONIB ACQUISITION CORP$2,042,150$17,551 ▼-0.9%198,2670.1%COMMONONKURE THERAPEUTICS INC$1,886,827$167,932 ▲9.8%438,7970.1%COMMONUY SCUTI ACQUISITION CORP.$1,558,525$1,558,525 ▲New Holding155,0000.1%UNITMAYWOOD ACQUISITION CORP$1,488,000$1,488,000 ▲New Holding150,0000.1%COMMONTILRAY BRANDS INC$1,461,650$7,968,350 ▼-84.5%1,550,0000.1%BONDGORILLA TECHNOLOGY GROUP INC$1,451,643$1,451,643 ▲New Holding49,0420.1%COMMONBEYOND MEAT INC$1,425,000$4,334,375 ▼-75.3%12,000,0000.1%BONDREE AUTOMOTIVE LTD$1,416,110$1,416,110 ▲New Holding532,3720.1%COMMONINTRA-CELLULAR THERAPIES INC$1,279,624$1,279,624 ▲New Holding9,7000.1%OPTIONAMPRIUS TECHNOLOGIES INC$1,249,828$96,770 ▲8.4%2,603,2660.1%WARRANTWDCWestern Digital$1,111,825$1,111,825 ▲New Holding27,5000.0%Computer and TechnologyLOGISTIC PROPERTIES OF THE A$1,003,838$1,003,838 ▲New Holding112,5000.0%COMMONLIFEZONE METALS LIMITED$690,259$259 ▲0.0%1,500,5620.0%WARRANTMURANO GLOBAL INVTS PLC$680,552$62,796 ▼-8.4%2,946,1110.0%WARRANTBITFUFU INC$671,714$19,719 ▲3.0%1,526,6230.0%WARRANTAFRIWForafric Global$663,801$5,914 ▼-0.9%948,2870.0%Consumer DefensiveBAIRD MED INVT HLDGS LTD$651,250$65,125 ▲11.1%125,0000.0%COMMONGOSSGossamer Bio$547,463$110,000 ▼-16.7%497,6940.0%MedicalEMLDWFTAC Emerald Acquisition$520,155$520,155 ▲New Holding693,5400.0%Financial ServicesSATLWSatellogic$477,881$67,527 ▼-12.4%995,5850.0%IndustrialsLCIILCI Industries$469,324$469,324 ▲New Holding5,3680.0%Auto/Tires/TrucksADSEADS-TEC Energy$454,890$454,890 ▲New Holding30,3260.0%Business ServicesShowing largest 100 holdings. 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