ALPHAPORT.AI
Appaloosa LP
AppaloosaCIK 0001656456
Filed Aug 14, 2026

Appaloosa 13F holdings

This page shows the manager's latest published Form 13F holdings, filed Aug 14, 2026, using reported values from the SEC information table.

View SEC filings ↗
Reported 13F value$7.73B
Reported positions27
Report periodQ2 2026
Top 10 concentration78.9%

Latest reported holdings

Sorted by value reported in the latest SEC information table
27 positions
SecurityTickerSharesReported valuePortfolio weight
AMAZON COM INCCOMAMZN5,000,000$1.19B15.43%
MICRON TECHNOLOGY INCCOMMU975,000$1.13B14.57%
TAIWAN SEMICONDUCTOR MANUFACSPONSORED ADSTSM1,650,000$788.0M10.20%
ALPHABET INCCAP STK CL CGOOG1,850,000$653.7M8.46%
UBER TECHNOLOGIES INCCOMUBER7,694,071$555.2M7.19%
ISHARES INCMSCI STH KOR ETFEWY2,425,000$489.6M6.34%
META PLATFORMS INCCL AMETA675,000$380.2M4.92%
VISTRA CORPCOMVST2,215,272$351.4M4.55%
NVIDIA CORPORATIONCOMNVDA1,525,000$305.1M3.95%
NRG ENERGY INCCOM NEWNRG1,760,000$257.1M3.33%
APPLE INCCOMAAPL PUT835,000$241.6M3.13%
ALIBABA GROUP HLDG LTDSPONSORED ADSBABA2,000,000$192.0M2.48%
BOEING COCOMBA800,000$173.2M2.24%
LAM RESEARCH CORPCOM NEWLRCX382,500$165.7M2.15%
BAIDU INCSPON ADR REP ABIDU1,295,000$148.0M1.92%
AMERICAN AIRLINES GROUP INCCOMAAL7,500,000$135.5M1.75%
ADVANCED MICRO DEVICES INCCOMAMD197,500$114.7M1.49%
COREWEAVE INCCOM CL ACRWV1,078,248$107.3M1.39%
ASML HLDG NVN Y REGISTRY SHSASML50,000$99.5M1.29%
BROADCOM INCCOMAVGO150,000$56.7M0.73%
QUALCOMM INCCOMQCOM250,000$46.2M0.60%
SPACE EXPLORATION TECHN CORPCLASS A COM STKSPCX225,000$38.4M0.50%
ENERGY TRANSFER L PCOM UT LTD PTNET1,576,125$30.1M0.39%
MPLX LPCOM UNIT REP LTDMPLX502,460$28.3M0.37%
WHIRLPOOL CORPCOMWHR715,000$28.2M0.36%
Showing the 25 largest reported positions. Open the live 13F workspace for the complete table, comparisons, entry analysis and charts.