13F Filings for APPALOOSA LP (CIK: 1656456)

View the most recent portfolio holdings disclosed by APPALOOSA LP in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
SPYX - SPDR SER TR(Class: SPDR SP 500 ETF)4.50M* $2.52B* -New 4.50M ($2.52B)
BABA - ALIBABA GROUP HLDG LTD(Class: SPONSORED ADS)9.23M $1.22B -Decreased 2.61M (22.0%, $216.30M)
PDD - PDD HOLDINGS INC(Class: SPONSORED ADS)4.37M $517.19M -Decreased 986.13K (18.0%, $2.30M)
AMZN - AMAZON COM INC(Class: COM)2.51M $477.55M -Decreased 90K (3.0%, $92.86M)
JD - JD.COM INC(Class: SPON ADS CL A)8.05M $331.02M -Decreased 2.42M (23.0%, $31.84M)
META - META PLATFORMS INC(Class: CL A)550K $317M -Increased 60K (12.0%, $30.10M)
GOOG - ALPHABET INC(Class: CAP STK CL C)2.01M $314.02M -Increased 128.04K (6.0%, $44.38M)
AAPL - APPLE INC(Class: COM)1.25M* $277.66M* -New 1.25M ($277.66M)
VST - VISTRA CORP(Class: COM)2.30M $270.11M -Decreased 400K (14.0%, $102.14M)
UBER - UBER TECHNOLOGIES INC(Class: COM)3.20M $233.15M -Increased 1.70M (113.0%, $142.67M)
FXI - ISHARES TR(Class: CHINA LG-CAP ETF)5.60M $200.70M -Decreased 1.04M (15.0%, $1.33M)
NRG - NRG ENERGY INC(Class: COM NEW)2.05M $195.69M -Increased 235K (12.0%, $31.94M)
MSFT - MICROSOFT CORP(Class: COM)510K $191.45M -Decreased 460K (47.0%, $217.41M)
KWEB - KRANESHARES TRUST(Class: CSI CHI INTERNET)4M $139.64M -Decreased 575.70K (12.0%, $5.85M)
LYFT - LYFT INC(Class: CL A COM)9M $106.83M -Decreased 4.50M (33.0%, $67.32M)
ORCL - ORACLE CORP(Class: COM)700K $97.87M -Decreased 700K (50.0%, $135.43M)
ET - ENERGY TRANSFER L P(Class: COM UT LTD PTN)4.96M $92.15M -Increased 42.50K (0.0%, $4.12M)
UNH - UNITEDHEALTH GROUP INC(Class: COM)175K $91.66M -Increased 500 (0.0%, $3.38M)
DB - DEUTSCHE BANK A G(Class: NAMEN AKT)3.75M $89.36M -New 3.75M ($89.36M)
GLW - CORNING INC(Class: COM)1.74M $79.82M -Increased 243.63K (16.0%, $8.54M)
BIDU - BAIDU INC(Class: SPON ADR REP A)775K $71.32M -Decreased 752.91K (49.0%, $57.49M)
LHX - L3HARRIS TECHNOLOGIES INC(Class: COM)300K $62.79M -New 300K ($62.79M)
CZR - CAESARS ENTERTAINMENT INC NE(Class: COM)2.20M $55M -Unchanged
QCOM - QUALCOMM INC(Class: COM)350K $53.76M -Decreased 450K (56.0%, $69.13M)
ASML - ASML HOLDING N V(Class: N Y REGISTRY SHS)70K $46.38M -Decreased 90K (56.0%, $64.51M)