Highbridge Capital Management LLC Top Holdings and 13F Report (2026) About Highbridge Capital Management LLCInvestment ActivityHighbridge Capital Management LLC has $3.09 billion in total holdings as of March 31, 2026.Highbridge Capital Management LLC owns shares of 378 different stocks, but just 45 companies or ETFs make up 80% of its holdings.Approximately 57.45% of the portfolio was purchased this quarter.About 55.11% of the portfolio was sold this quarter.This quarter, Highbridge Capital Management LLC has purchased 297 new stocks and bought additional shares in 80 stocks.Highbridge Capital Management LLC sold shares of 64 stocks and completely divested from 102 stocks this quarter.Largest Holdings ISHARES TR $433,455,000STATE STR SPDR S&P 500 ETF T $315,985,000ISHARES TR $186,895,800SPDR SERIES TRUST $151,258,940Electronic Arts $110,586,002 Largest New Holdings this Quarter 78462F953 - STATE STR SPDR S&P 500 ETF T $315,985,000 Holding78468R956 - SPDR SERIES TRUST $151,258,940 Holding285512959 - ELECTRONIC ARTS INC $81,028,000 Holding86800U952 - SUPER MICRO COMPUTER INC $67,242,474 Holding464287902 - ISHARES TR $65,085,000 Holding Largest Purchases this Quarter STATE STR SPDR S&P 500 ETF T 500,000 shares (about $315.99M)SPDR SERIES TRUST 815,500 shares (about $151.26M)ISHARES TR 1,500,000 shares (about $118.22M)ELECTRONIC ARTS INC 400,000 shares (about $81.03M)SUPER MICRO COMPUTER INC 3,192,900 shares (about $67.24M) Largest Sales this Quarter ISHARES TR 720,000 shares (about $172.52M)WORKIVA INC 14,000,000 shares (about $13.08M)STRATEGY INC 10,000,000 shares (about $11.36M)BOFA FIN LLC 7,500,000 shares (about $8.89M)CANTOR EQUITY PARTNERS II IN 774,983 shares (about $8.41M) 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$433,455,000$118,215,000 â–²37.5%5,500,00014.0%OPTIONSTATE STR SPDR S&P 500 ETF T$315,985,000$315,985,000 â–²New Holding500,00010.2%OPTIONISHARES TR$186,895,800$172,519,200 â–¼-48.0%780,0006.1%OPTIONSPDR SERIES TRUST$151,258,940$151,258,940 â–²New Holding815,5004.9%OPTIONEAElectronic Arts$110,586,002$3,436,600 â–²3.2%545,9153.6%Consumer DiscretionaryELECTRONIC ARTS INC$81,028,000$81,028,000 â–²New Holding400,0002.6%OPTIONALIBABA GROUP HLDG LTD$68,497,0000.0%50,000,0002.2%BONDSUPER MICRO COMPUTER INC$67,242,474$67,242,474 â–²New Holding3,192,9002.2%OPTIONISHARES TR$65,085,000$65,085,000 â–²New Holding750,0002.1%OPTIONHOLXHologic$62,038,411$15,812,388 â–²34.2%821,1572.0%MedicalISHARES TR$60,746,000$60,746,000 â–²New Holding700,0002.0%OPTIONSAREPTA THERAPEUTICS INC$54,727,2300.0%57,306,0001.8%BONDBOFA FIN LLC$48,894,401$8,893,125 â–¼-15.4%41,235,0001.6%BONDIRONWOOD PHARMACEUTICALS INC$46,120,5150.0%46,942,0001.5%BONDNEXTERA ENERGY INC$40,120,001$40,120,001 â–²New Holding800,0001.3%PREF CONVWIXWix.com$38,245,883$38,245,883 â–²New Holding424,6241.2%Computer and TechnologyCWANClearwater Analytics$37,800,976$37,800,976 â–²New Holding1,605,1371.2%Computer and TechnologyNIO INC$36,937,900$34,507,775 â–²1,420.0%38,000,0001.2%BONDNVRIEnviri$34,279,743$6,086,835 â–²21.6%1,818,5541.1%Business ServicesMARA HOLDINGS INC$31,380,544$3,110,240 â–²11.0%35,313,0001.0%BONDISHARES TR$31,048,000$31,048,000 â–²New Holding400,0001.0%OPTIONNVIDIA CORPORATION$29,367,226$29,367,226 â–²New Holding177,8001.0%OPTIONBHFBrighthouse Financial$26,267,250$9,765,881 â–²59.2%438,3720.9%FinanceBELFABel Fuse$24,950,729$24,950,729 â–²New Holding138,4690.8%Computer and TechnologyAVIS BUDGET GROUP INC$23,790,780$23,790,780 â–²New Holding175,5000.8%OPTIONIACIAC$22,237,999$5,907,277 â–²36.2%568,4560.7%Multi-Sector ConglomeratesISHARES BITCOIN TRUST ETF$21,760,200$21,760,200 â–²New Holding577,5000.7%OPTIONSUPER MICRO COMPUTER INC$21,064,055$4,769,220 â–¼-18.5%26,500,0000.7%BONDCARTESIAN GROWTH CORP III$20,756,250$256,250 â–²1.3%2,025,0000.7%COMMONKVUEKenvue$20,245,8460.0%1,174,3530.7%Consumer StaplesZENAS BIOPHARMA INC$19,792,600$19,792,600 â–²New Holding20,000,0000.6%BONDNORTHWESTERN ENERGY GROUP IN$18,914,144$18,914,144 â–²New Holding287,3180.6%COMMONSUPER MICRO COMPUTER INC$18,850,920$18,850,920 â–²New Holding22,000,0000.6%BONDAESAES$18,745,217$18,745,217 â–²New Holding1,337,0340.6%UtilitiesGIGCAPITAL7 CORP$18,453,505$1,533,064 â–¼-7.7%1,734,3520.6%COMMONSTRATEGY INC$18,058,715$11,363,400 â–¼-38.6%15,892,0000.6%BONDROMAN DBDR ACQUISITION CORP$18,001,678$15,384,178 â–²587.7%1,719,3580.6%COMMONNIO INC$17,799,504$1,632,062 â–¼-8.4%3,230,4000.6%OPTIONA PARADISE ACQUISITION CORP$17,520,306$8,526,457 â–²94.8%1,722,7440.6%COMMONHENNESSY CAP INVT CORP VII$17,166,756$1,671,756 â–²10.8%1,661,8350.6%COMMONGRAF GLOBAL CORP$16,201,253$136,253 â–²0.8%1,512,7220.5%COMMONTRIP COM GROUP LTD$15,466,650$15,466,650 â–²New Holding15,000,0000.5%BONDD. BORAL ARC ACQ I CORP.$15,449,263$15,449,263 â–²New Holding1,525,1000.5%COMMONELMEElme Communities$14,917,112$3,697,237 â–²33.0%7,496,0360.5%FinanceM3-BRIGADE ACQUISITION VI CO$14,788,2000.0%1,470,0000.5%COMMONWBDWarner Bros. Discovery$14,718,268$14,718,268 â–²New Holding543,3100.5%Consumer DiscretionaryART TECHNOLOGY ACQUISITION C$14,707,500$14,707,500 â–²New Holding1,500,0000.5%COMMONWORKIVA INC$14,234,040$13,081,040 â–¼-47.9%15,234,0000.5%BONDDRUGS MADE IN AMER ACQUTN CO$13,881,952$13,881,952 â–²New Holding1,323,3510.4%COMMONSPACSPHERE ACQUISITION CORP$13,748,316$13,748,316 â–²New Holding1,390,1230.4%COMMONBATRKAtlanta Braves$13,032,132$4,870,849 â–¼-27.2%310,2150.4%Consumer DiscretionaryISHARES SILVER TR$12,704,000$12,704,000 â–²New Holding200,0000.4%OPTIONSTRATEGY INC$12,491,550$12,491,550 â–²New Holding15,000,0000.4%BONDK2 CAP ACQUISITION CORP$12,217,678$12,217,678 â–²New Holding1,237,8600.4%COMMONEMPERY DIGITAL INC$12,130,100$4,350,491 â–²55.9%2,867,6360.4%COMMONGIGCAPITAL9 CORP$12,061,140$12,061,140 â–²New Holding1,228,2220.4%COMMONCRANE HBR ACQUISITION CORP I$11,892,000$11,892,000 â–²New Holding1,200,0000.4%COMMONWIX COM LTD$10,972,500$10,972,500 â–²New Holding125,0000.4%OPTIONAMERICAN EXCEPTIONALISM ACQU$10,853,255$9,583,805 â–²755.0%1,000,3000.4%COMMONCHURCHILL CAPITAL CORP IX$10,740,296$10,740,296 â–²New Holding1,004,7050.3%COMMONAPEX TECH ACQUISITION INC$10,590,450$10,590,450 â–²New Holding1,057,9870.3%UNITHCM III ACQUISITION CORP$10,080,0000.0%1,000,0000.3%COMMONHCM IV ACQUISITION CORP$10,045,000$10,045,000 â–²New Holding1,000,0000.3%UNITXEROX HOLDINGS CORP$9,934,000$9,934,000 â–²New Holding10,000,0000.3%BONDFUTURE MONEY ACQUISITION COR$9,490,500$9,490,500 â–²New Holding950,0000.3%UNITBHAV ACQUISITION CORP$9,476,250$9,476,250 â–²New Holding950,0000.3%UNITXFLH CAP CORP$9,297,386$9,297,386 â–²New Holding941,0310.3%COMMONGALAXYEDGE ACQUISITION CORP$9,076,339$9,076,339 â–²New Holding906,7000.3%UNITCANTOR EQUITY PARTNERS III I$8,897,264$1,579,948 â–²21.6%863,8120.3%COMMONFG IMPERII ACQUISITION CORP$8,759,614$8,759,614 â–²New Holding888,3990.3%COMMONMICROCHIP TECHNOLOGY INC.$8,612,430$8,612,430 â–²New Holding150,0000.3%PREF CONVSTHOStar$8,386,883$414,924 â–¼-4.7%1,137,9760.3%FinanceBOLD EAGLE ACQUISITION CORP$8,089,919$8,089,919 â–²New Holding765,3660.3%COMMONSHIFT4 PMTS INC$8,034,360$8,034,360 â–²New Holding150,0000.3%PREF CONVLEGATO MERGER CORP III$7,805,438$2,933,860 â–²60.2%712,1750.3%COMMONTEXAS VENTURES ACQUISITION I$7,660,817$7,660,817 â–²New Holding738,7480.2%COMMONSUMA ACQUISITION CORP$7,145,460$7,145,460 â–²New Holding714,5460.2%UNITFG MERGER II CORP$7,080,498$1,420,020 â–²25.1%700,3460.2%COMMONBILL HOLDINGS INC$6,872,1530.0%7,103,0000.2%BONDLIBERTY LIVE HOLDINGS INC$6,832,775$6,198,443 â–²977.2%75,8860.2%COMMONCLEARTHINK 1 ACQUISITION COR$6,793,296$6,793,296 â–²New Holding680,6910.2%UNITINOTIV INC$6,709,3750.0%28,250,0000.2%BONDQDRO ACQUISITION CORP$6,633,435$6,633,435 â–²New Holding668,6930.2%UNITAGRICULTURE & NAT SOL ACQ CO$6,284,250$6,284,250 â–²New Holding558,6000.2%COMMONWILLOW LANE ACQUISITION CORP$6,125,941$2,688,978 â–²78.2%573,5900.2%COMMONCANTOR EQUITY PARTNERS V INC$6,060,0000.0%600,0000.2%COMMONCANTOR EQUITY PARTNERS II IN$5,934,538$8,408,566 â–¼-58.6%546,9620.2%COMMONWOLFSPEED INC$5,904,629$3,464,570 â–¼-37.0%3,775,0000.2%BONDCLOUDFLARE INC$5,688,500$5,688,500 â–²New Holding5,000,0000.2%BONDPONO CAP FOUR INC$5,614,439$5,614,439 â–²New Holding562,5690.2%UNITGCI LIBERTY INC$5,607,125$6,903,323 â–¼-55.2%152,8660.2%COMMONNEWBRIDGE ACQUISITION LTD$5,248,836$5,248,836 â–²New Holding530,9900.2%COMMONRIVIAN AUTOMOTIVE INC$5,239,000$5,239,000 â–²New Holding5,000,0000.2%BONDSRPTSarepta Therapeutics$5,120,000$3,072,000 â–¼-37.5%250,0000.2%MedicalBERTO ACQUISITION CORP$5,110,0000.0%500,0000.2%COMMONCROWN RESV ACQUISITION CORP$5,008,010$5,008,010 â–²New Holding500,8010.2%COMMONSTRATEGY INC$4,955,000$4,955,000 â–²New Holding5,000,0000.2%BONDGP-ACT III ACQUISITION CORP$4,891,419$4,891,419 â–²New Holding452,0720.2%COMMONINFLECTION PT ACQUISITION CO$4,499,804$4,499,804 â–²New Holding439,4340.1%COMMONELECTRA BATTERY MATERIALS CO$4,391,938$4,391,938 â–²New Holding7,842,7470.1%COMMONShowing largest 100 holdings. 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