13F FilingMay 28, 2026by InvestLog AI

Appaloosa Management Q1 2026 13F: top 20 holdings and quarterly changes泰珀 / Appaloosa Q1 2026 13F:前 20 大持仓与季度变化

Appaloosa Management 13F snapshot: Q1 2026

Appaloosa Management's latest 13F shows about $5.93B of reported US-listed long equity/ETF positions across 31 names.

How to read it

  • Top 5 positions are 48.3% of reported 13F value; top 20 are 93.5%; the top 20 are the cleanest view of core exposure.
  • Quarter-over-quarter, the filing shows 1 new positions, 7 increased positions, 20 decreased positions, and 8 full exits.
  • The portfolio is relatively concentrated, so the top 20 holdings are useful for reading core exposure.
  • Top 20 holdings

    1. AMZN (Amazon Com Inc): $899.7M, 15.2% of 13F, 4,320,000 shares

    2. MU (Micron Technology Inc): $562.5M, 9.5% of 13F, 1,665,000 shares

    3. GOOG (Alphabet Inc): $497.0M, 8.4% of 13F, 1,732,700 shares

    4. UBER (Uber Technologies Inc): $455.5M, 7.7% of 13F, 6,332,720 shares

    5. TSM (Taiwan Semiconductor Manufac): $448.6M, 7.6% of 13F, 1,327,500 shares

    6. BABA (Alibaba Group Hldg Ltd): $434.7M, 7.3% of 13F, 3,465,000 shares

    7. VST (Vistra Corp): $304.0M, 5.1% of 13F, 2,022,332 shares

    8. EWY (Ishares Inc): $295.2M, 5.0% of 13F, 2,400,000 shares

    9. NVDA (Nvidia Corporation): $256.6M, 4.3% of 13F, 1,471,500 shares

    10. NRG (Nrg Energy Inc): $253.5M, 4.3% of 13F, 1,734,442 shares

    11. META (Meta Platforms Inc): $249.7M, 4.2% of 13F, 436,500 shares

    12. SNDK (Sandisk Corp): $178.7M, 3.0% of 13F, 281,250 shares

    13. GLW (Corning Inc): $153.6M, 2.6% of 13F, 1,129,500 shares

    14. WHR (Whirlpool Corp): $105.1M, 1.8% of 13F, 1,950,000 shares

    15. PDD (Pdd Holdings Inc): $92.0M, 1.5% of 13F, 900,000 shares

    16. LRCX (Lam Research Corp): $81.7M, 1.4% of 13F, 382,500 shares

    17. BIDU (Baidu Inc): $77.1M, 1.3% of 13F, 692,100 shares

    18. LHX (L3Harris Technologies Inc): $68.3M, 1.2% of 13F, 198,000 shares

    19. RTX (Rtx Corporation): $66.0M, 1.1% of 13F, 342,000 shares

    20. ASML (Asml Hldg Nv): $65.4M, 1.1% of 13F, 49,500 shares

    Major quarterly changes

    New positions (1)

  • SNDK: (Sandisk Corp): $178.7M
  • Increased (7)

  • AMZN: (Amazon Com Inc): shares +98%, value change $396.7M
  • UBER: (Uber Technologies Inc): shares +242%, value change $304.3M
  • VST: (Vistra Corp): shares +114%, value change $151.6M
  • MU: (Micron Technology Inc): shares +11%, value change $134.4M
  • EWY: (Ishares Inc): shares +28%, value change $112.9M
  • TSM: (Taiwan Semiconductor Manufac): shares +17%, value change $105.2M
  • Decreased (20)

  • BABA: (Alibaba Group Hldg Ltd): shares -33%, value change -$318.4M
  • MSFT: (Microsoft Corp): shares -82%, value change -$208.5M
  • WHR: (Whirlpool Corp): shares -50%, value change -$176.9M
  • META: (Meta Platforms Inc): shares -27%, value change -$146.3M
  • QCOM: (Qualcomm Inc): shares -56%, value change -$131.6M
  • KWEB: (Kraneshares Trust): shares -77%, value change -$131.0M
  • Closed (8)

  • AAL: (American Airls Group Inc): $216.9M
  • OC: (Owens Corning New): $106.3M
  • MHK: (Mohawk Inds Inc): $73.8M
  • IQV: (Iqvia Hldgs Inc): $63.1M
  • UAL: (United Airls Hldgs Inc): $52.0M
  • FXI: (Ishares Tr): $41.6M
  • Note: 13F covers quarter-end US-listed long equity/ETF holdings only. It excludes shorts, derivatives, cash, and intra-quarter trading. Informational research only, not investment advice.

    泰珀 / Appaloosa 13F 持仓快照:Q1 2026

    泰珀 / Appaloosa 最新 13F 显示,2026 年第 1 季度披露的美股多头持仓市值约 $5.93B,覆盖 31 个标的。

    怎么读

  • 前 5 大持仓占 48.3%,前 20 大持仓占 93.5%,用前 20 大持仓看核心风险暴露更直接。
  • 本季度披露中,新建仓 1 个、加仓 7 个、减仓 20 个、清仓 8 个。
  • 组合相对集中,前 20 大持仓对理解经理人的主要风险暴露更有代表性。
  • 前 20 大持仓

    1. AMZN(亚马逊):$899.7M,占 13F 15.2%,4,320,000 股

    2. MU(美光科技):$562.5M,占 13F 9.5%,1,665,000 股

    3. GOOG(谷歌):$497.0M,占 13F 8.4%,1,732,700 股

    4. UBER(优步):$455.5M,占 13F 7.7%,6,332,720 股

    5. TSM(台积电):$448.6M,占 13F 7.6%,1,327,500 股

    6. BABA(阿里巴巴):$434.7M,占 13F 7.3%,3,465,000 股

    7. VST(Vistra Corp):$304.0M,占 13F 5.1%,2,022,332 股

    8. EWY(Ishares Inc):$295.2M,占 13F 5.0%,2,400,000 股

    9. NVDA(英伟达):$256.6M,占 13F 4.3%,1,471,500 股

    10. NRG(NRG能源):$253.5M,占 13F 4.3%,1,734,442 股

    11. META(脸书):$249.7M,占 13F 4.2%,436,500 股

    12. SNDK(闪迪公司):$178.7M,占 13F 3.0%,281,250 股

    13. GLW(康宁公司):$153.6M,占 13F 2.6%,1,129,500 股

    14. WHR(惠而浦):$105.1M,占 13F 1.8%,1,950,000 股

    15. PDD(拼多多):$92.0M,占 13F 1.5%,900,000 股

    16. LRCX(拉姆研究):$81.7M,占 13F 1.4%,382,500 股

    17. BIDU(百度):$77.1M,占 13F 1.3%,692,100 股

    18. LHX(L3哈里斯):$68.3M,占 13F 1.2%,198,000 股

    19. RTX(雷神技术):$66.0M,占 13F 1.1%,342,000 股

    20. ASML(阿斯麦):$65.4M,占 13F 1.1%,49,500 股

    本季度主要变化

    新建仓 (1)

  • SNDK: (闪迪公司):$178.7M
  • 加仓 (7)

  • AMZN: (亚马逊):持股数 +98%,市值变化约 $396.7M
  • UBER: (优步):持股数 +242%,市值变化约 $304.3M
  • VST: (Vistra Corp):持股数 +114%,市值变化约 $151.6M
  • MU: (美光科技):持股数 +11%,市值变化约 $134.4M
  • EWY: (Ishares Inc):持股数 +28%,市值变化约 $112.9M
  • TSM: (台积电):持股数 +17%,市值变化约 $105.2M
  • 减仓 (20)

  • BABA: (阿里巴巴):持股数 -33%,市值变化约 -$318.4M
  • MSFT: (微软):持股数 -82%,市值变化约 -$208.5M
  • WHR: (惠而浦):持股数 -50%,市值变化约 -$176.9M
  • META: (脸书):持股数 -27%,市值变化约 -$146.3M
  • QCOM: (高通):持股数 -56%,市值变化约 -$131.6M
  • KWEB: (中概互联ETF):持股数 -77%,市值变化约 -$131.0M
  • 清仓 (8)

  • AAL: (美国航空):$216.9M
  • OC: (欧文斯科宁):$106.3M
  • MHK: (莫霍克工业公司):$73.8M
  • IQV: (Iqvia Hldgs Inc):$63.1M
  • UAL: (联合航空):$52.0M
  • FXI: (中国大盘ETF):$41.6M
  • 说明:13F 只覆盖季度末美国上市股票/ETF 的多头仓位,不包括空头、衍生品、现金和季度内交易路径;本文用于研究参考,不构成投资建议。

    This analysis was generated by InvestLog AI based on SEC filings, Form 4 insider transactions, Form 144 planned-sale notices, 13F institutional holdings, analyst ratings, and market data. It is for informational purposes only and does not constitute investment advice.这篇研究由 InvestLog AI 基于 SEC 披露、Form 4 内部人交易、Form 144 计划减持、13F 机构持仓、分析师评级和市场数据生成。内容仅供参考,不构成投资建议。