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Appaloosa LP (David Tepper) - FilingSpy
Appaloosa LP
David Tepper
$9.06B
13F
2014 Q1
48 of 53 quarters
Overview
Activity
Holdings
Buys
PCLN
NEW
Booking Holdings Inc
$218.38M
+183.2K shares
EXPE
NEW
Expedia Group Inc.
$50.45M
+695.8K shares
META
NEW
Meta Platforms Inc
$28.82M
+478.5K shares
QQQ
Invesco Powershares Qqq Trust, Series 1
$765.25M
+ $488.59M
=
$1.25B
8.70M
+5.60M (+64.37%)
GOOGL
Alphabet Inc. (formerly Google Inc.)
$265.28M
+ $227.62M
=
$492.90M
236.7K
+205.6K (+86.84%)
C
Citigroup Inc
$504.17M
- $24.59M
=
$479.58M
9.68M
+400.0K (+4.13%)
AAL
American Airlines Group Inc
$177.32M
+ $137.51M
=
$314.84M
7.02M
+1.58M (+22.49%)
HAL
Halliburton Co.
$50.37M
+ $245.53M
=
$295.90M
992.6K
+4.03M (+406.21%)
HCA
HCA Healthcare, Inc.
$243.39M
+ $36.27M
=
$279.66M
5.10M
+225.5K (+4.42%)
GM
General Motors Company
$203.04M
+ $68.33M
=
$271.37M
4.97M
+2.92M (+58.70%)
DAL
Delta Air Lines Inc
$154.81M
+ $52.04M
=
$206.85M
5.64M
+334.0K (+5.93%)
WHR
Whirlpool Corp
$69.99M
+ $81.99M
=
$151.98M
446.2K
+570.7K (+127.91%)
AAPL
Apple Inc
$120.82M
+ $13.57M
=
$134.39M
215.3K
+35.1K (+16.28%)
OC
Owens Corning Inc
$122.73M
+ $8.78M
=
$131.51M
3.01M
+32.3K (+1.07%)
DIS
Walt Disney Co. (the)
$20.89M
+ $89.32M
=
$110.22M
273.5K
+1.10M (+403.29%)
EMN
Eastman Chemical Co
$48.51M
+ $50.67M
=
$99.18M
601.1K
+549.3K (+91.38%)
CBS
Cbs Corp
$31.17M
+ $46.71M
=
$77.88M
489.0K
+771.2K (+157.71%)
DD
Dupont De Nemours, Inc.
$20.44M
+ $50.95M
=
$71.39M
314.6K
+749.3K (+238.19%)
MAS
Masco Corporation
$66.77M
+ $3.78M
=
$70.56M
2.93M
+244.3K (+8.33%)
TGI
Triumph Group Inc
$5.38M
+ $54.73M
=
$60.12M
70.8K
+860.1K (+1215.73%)
Show all 29 buys (9 more)
Sells
BYD
EXIT
Boyd Gaming Corporation
$8.86M
- $8.86M
=
Closed
-787.2K shares (100%)
CCL
EXIT
Carnival Corporation
$28.56M
- $28.56M
=
Closed
-711.0K shares (100%)
CIM
EXIT
Chimera Investment Corporation
$3.74M
- $3.74M
=
Closed
-1.21M shares (100%)
CYH
EXIT
Community Health Systems Inc
$26.26M
- $26.26M
=
Closed
-668.8K shares (100%)
CYT
EXIT
Cytec Industries Inc.
$5.31M
- $5.31M
=
Closed
-57.0K shares (100%)
263534
EXIT
Dupont De Nemours, Inc.
$1.05M
- $1.05M
=
Closed
-11.0K shares (100%)
EMC
EXIT
Emc Corp
$72.25M
- $72.25M
=
Closed
-2.87M shares (100%)
FLR
EXIT
Fluor Corporation
$97.75M
- $97.75M
=
Closed
-1.22M shares (100%)
FCX
EXIT
Freeport-Mcmoran Inc
$42.57M
- $42.57M
=
Closed
-1.13M shares (100%)
HIG
EXIT
The Hartford Insurance Group, Inc.
$93.44M
- $93.44M
=
Closed
-2.58M shares (100%)
IPG
EXIT
The Interpublic Group of Companies, Inc.
$9.40M
- $9.40M
=
Closed
-531.1K shares (100%)
681919
EXIT
Omnicom Group Inc.
$275.0K
- $275.0K
=
Closed
-2.5K shares (100%)
78462F
EXIT
SPDR S&P 500 ETF Trust
$8.67M
- $8.67M
=
Closed
-35.9K shares (100%)
VZ
EXIT
Verizon Communications Inc
$20.11M
- $20.11M
=
Closed
-409.3K shares (100%)
FWLT
EXIT
Foster Wheeler AG
$42.62M
- $42.62M
=
Closed
-1.29M shares (100%)
H6169Q
EXIT
.
$10.17M
- $10.17M
=
Closed
-130.9K shares (100%)
RIG
EXIT
Transocean Ltd
$67.67M
- $67.67M
=
Closed
-1.37M shares (100%)
SPY
SPDR S&P 500 ETF Trust
$2.10B
- $81.94M
=
$2.02B
10.81M left
-582.5K (-5.11%)
GT
The Goodyear Tire & Rubber Co
$289.89M
+ $4.88M
=
$294.77M
11.28M left
-873.8K (-7.19%)
UAL
United Airlines Holdings, Inc.
$228.77M
- $21.31M
=
$207.46M
4.65M left
-1.40M (-23.13%)
Show all 33 sells (13 more)