Highbridge Capital Management LLC Top Holdings and 13F Report (2025) About Highbridge Capital Management LLCInvestment ActivityHighbridge Capital Management LLC has $2.67 billion in total holdings as of December 31, 2024.Highbridge Capital Management LLC owns shares of 303 different stocks, but just 49 companies or ETFs make up 80% of its holdings.Approximately 27.30% of the portfolio was purchased this quarter.About 43.40% of the portfolio was sold this quarter.This quarter, Highbridge Capital Management LLC has purchased 337 new stocks and bought additional shares in 47 stocks.Highbridge Capital Management LLC sold shares of 70 stocks and completely divested from 104 stocks this quarter.Largest Holdings FORD MTR CO $136,993,225FIRSTENERGY CORP $98,330,260SHIFT4 PMTS INC $91,407,819ALNYLAM PHARMACEUTICALS INC $85,544,000Hess $77,071,979 Largest New Holdings this Quarter ALNYLAM PHARMACEUTICALS INC $85,544,000 HoldingALLETE $54,591,797 HoldingSummit Materials $38,077,967 HoldingNUTANIX INC $29,643,912 HoldingEVERGY INC $26,648,895 Holding Largest Purchases this Quarter ALNYLAM PHARMACEUTICALS INC 80,000,000 shares (about $85.54M)ALLETE 842,466 shares (about $54.59M)SHIFT4 PMTS INC 31,723,000 shares (about $43.14M)Summit Materials 752,529 shares (about $38.08M)Frontier Communications Parent 856,218 shares (about $29.71M) Largest Sales this Quarter INTEGRA LIFESCIENCES HLDGS C 38,000,000 shares (about $36.63M)LIBERTY MEDIA CORP DEL 493,625 shares (about $33.60M)Liberty Broadband 444,956 shares (about $33.26M)HEICO 104,586 shares (about $19.46M)LCI INDS 15,000,000 shares (about $14.78M) 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 PortfolioSectorFORD MTR CO$136,993,225$11,133,725 ▲8.8%141,500,0005.1%BONDFIRSTENERGY CORP$98,330,2600.0%98,000,0003.7%BONDSHIFT4 PMTS INC$91,407,819$43,135,984 ▲89.4%67,223,0003.4%BONDALNYLAM PHARMACEUTICALS INC$85,544,000$85,544,000 ▲New Holding80,000,0003.2%BONDHESHess$77,071,979$17,044,699 ▲28.4%579,4452.9%Oils/EnergySOUTHWEST AIRLS CO$76,039,2850.0%73,831,0002.8%BONDBOFA FIN LLC$70,137,240$22,949,318 ▲48.6%68,000,0002.6%BONDSAREPTA THERAPEUTICS INC$63,351,200$2,754,400 ▼-4.2%57,500,0002.4%BONDSOUTHERN CO$63,096,0000.0%60,000,0002.4%BONDAMERICAN AIRLS GROUP INC$60,898,6770.0%3,493,9002.3%OPTIONALEALLETE$54,591,797$54,591,797 ▲New Holding842,4662.0%UtilitiesON SEMICONDUCTOR CORP$53,389,780$2,703,280 ▲5.3%39,500,0002.0%BONDGUESS INC$50,438,934$10,751,580 ▼-17.6%53,950,0001.9%BONDITRON INC$47,746,1600.0%46,000,0001.8%BONDALLIANT ENERGY CORP$46,700,330$5,599,930 ▲13.6%45,450,0001.7%BONDVENTAS RLTY LTD PARTNERSHIP$45,304,800$6,229,410 ▼-12.1%40,000,0001.7%BONDSEA LTD$45,119,080$12,074,120 ▼-21.1%35,500,0001.7%BONDOCCIDENTAL PETE CORP$42,937,502$17,710,655 ▲70.2%1,558,5301.6%WARRANTVIAVI SOLUTIONS INC$39,948,125$1,240,625 ▼-3.0%40,250,0001.5%BONDBENTLEY SYS INC$38,603,619$12,979,156 ▲50.7%39,546,0001.4%BONDDUKE ENERGY CORP NEW$38,502,000$10,267,200 ▲36.4%37,500,0001.4%BONDSUMSummit Materials$38,077,967$38,077,967 ▲New Holding752,5291.4%ConstructionUBER TECHNOLOGIES INC$37,965,3750.0%37,500,0001.4%BONDFYBRFrontier Communications Parent$37,633,746$29,710,764 ▲375.0%1,084,5461.4%Computer and TechnologyCORE SCIENTIFIC INC NEW$37,128,193$15,329,053 ▲70.3%4,500,3871.4%WARRANTCENTERPOINT ENERGY INC$35,329,380$10,240,400 ▼-22.5%34,500,0001.3%BONDCHEGG INC$35,017,0000.0%36,100,0001.3%BONDAMEDAmedisys$34,602,157$5,286,066 ▲18.0%381,1231.3%MedicalLCI INDS$34,480,600$14,777,400 ▼-30.0%35,000,0001.3%BONDHCPHashiCorp$34,149,448$4,956,687 ▲17.0%998,2301.3%Computer and TechnologyBRIGHTSPRING HEALTH SVCS INC$33,445,740$110,802 ▲0.3%534,2771.3%PREF CONVINSULET CORP$31,662,982$6,980,655 ▼-18.1%24,947,0001.2%BONDKKellanova$30,150,799$8,957,954 ▲42.3%372,3701.1%Consumer DiscretionaryNIO INC$29,925,000$1,200,000 ▼-3.9%39,900,0001.1%BONDNUTANIX INC$29,643,912$29,643,912 ▲New Holding23,823,0001.1%BONDGREEN PLAINS INC$29,592,000$15,042,600 ▲103.4%36,000,0001.1%BONDEVERGY INC$26,648,895$26,648,895 ▲New Holding24,500,0001.0%BONDLBRDKLiberty Broadband$26,627,793$33,264,911 ▼-55.5%356,1771.0%Consumer DiscretionaryHEI.AHEICO$26,406,985$19,461,363 ▼-42.4%141,9121.0%AerospaceHERBALIFE LTD$25,093,504$8,929,520 ▲55.2%32,317,0000.9%BONDFWONAFormula One Group$24,666,664$11,074,371 ▲81.5%293,5110.9%Consumer DiscretionarySSR MINING IN$24,617,960$4,794,150 ▼-16.3%25,675,0000.9%BONDACCURAY INC DEL$24,375,0000.0%26,000,0000.9%BONDPG&E CORP$23,403,341$23,403,341 ▲New Holding470,0410.9%PREF CONVCENTACentral Garden & Pet$22,667,243$10,724,493 ▲89.8%685,8470.8%Consumer DiscretionaryCERENCE INC$20,693,007$2,994,165 ▲16.9%31,100,0000.8%BONDLIBERTY MEDIA CORP DEL$20,211,438$33,596,118 ▼-62.4%296,9650.8%COMMONEVRIEveri$18,811,432$11,219,650 ▲147.8%1,392,4080.7%Business ServicesSTRIDE INC$17,834,565$17,834,565 ▲New Holding8,700,0000.7%BONDGRINDR INC$17,681,105$3,253,129 ▲22.5%2,619,4230.7%WARRANTCOHERUS BIOSCIENCES INC$17,040,473$2,414,075 ▼-12.4%17,647,0000.6%BONDPEABODY ENGR CORP$16,365,642$16,365,642 ▲New Holding12,300,0000.6%BONDIONIS PHARMACEUTICALS INC$15,556,800$9,236,850 ▼-37.3%16,000,0000.6%BONDIACIAC$15,171,518$10,482,243 ▲223.5%351,6810.6%Multi-Sector ConglomeratesGRAF GLOBAL CORP$15,135,0000.0%1,500,0000.6%COMMONMELAR ACQUISITION CORP. I$14,968,8000.0%1,485,0000.6%COMMONINTEGRA LIFESCIENCES HLDGS C$14,786,906$36,634,661 ▼-71.2%15,338,0000.6%BONDNIO INC$14,491,500$9,661,000 ▼-40.0%15,000,0000.5%BONDGOSSAMER BIO INC$13,612,500$825,000 ▼-5.7%24,750,0000.5%BONDCUTERA INC$13,359,9940.0%32,685,0000.5%BONDSILVERBOX CORP IV$12,915,200$12,915,200 ▲New Holding1,280,0000.5%COMMONM3BRIGADE ACQUISITION V CORP$12,575,0000.0%1,250,0000.5%COMMONBOX INC$12,505,2000.0%9,808,0000.5%BONDCNNECannae$11,540,408$1,239,999 ▲12.0%581,0880.4%FinanceNEXTERA ENERGY INC$11,404,560$11,404,560 ▲New Holding250,1000.4%PREF CONVINOTIV INC$11,212,500$862,500 ▼-7.1%32,500,0000.4%BONDFUBOTV INC$10,833,750$1,203,750 ▼-10.0%13,500,0000.4%BONDVINE HILL CAP INVT CORP.$10,729,852$10,729,852 ▲New Holding1,067,6470.4%COMMONQ2 HLDGS INC$10,515,760$3,943,410 ▲60.0%8,000,0000.4%BONDLIBERTY MEDIA CORP DEL$10,190,602$7,084,180 ▲228.0%153,1040.4%COMMONPURECYCLE TECHNOLOGIES INC$10,127,145$10,127,145 ▲New Holding10,500,0000.4%BONDTILRAY BRANDS INC$9,700,000$6,402,000 ▼-39.8%10,000,0000.4%BONDLUMINAR TECHNOLOGIES INC$9,338,690$983,020 ▼-9.5%19,000,0000.3%BONDAA MISSION ACQUISITION CORP$9,090,0000.0%900,0000.3%COMMONTLRYTilray$9,057,965$2,153,935 ▲31.2%6,810,5000.3%Consumer StaplesMIDDLEBY CORP$8,711,175$8,711,175 ▲New Holding7,500,0000.3%BONDSTHOStar$8,433,088$1,135,588 ▲15.6%866,7100.3%FinanceVOYAGER ACQUISITION CORP$7,522,5000.0%750,0000.3%COMMONBEYOND MEAT INC$7,366,180$334,136 ▼-4.3%48,500,0000.3%BONDCMPOWCompoSecure$6,393,973$234,095 ▼-3.5%1,356,0920.2%IndustrialsCO2 ENERGY TRANSITION CORP$5,917,700$5,917,700 ▲New Holding590,0000.2%UNITDYNAMIX CORP$5,868,000$5,868,000 ▲New Holding600,0000.2%COMMONLUMINAR TECHNOLOGIES INC$5,591,4300.0%11,700,0000.2%BONDHORIZON SPACE ACQUISITION II$5,326,500$5,326,500 ▲New Holding530,0000.2%UNITECHOSTAR CORP$5,309,250$5,309,250 ▲New Holding5,000,0000.2%BONDCPRICapri$5,265,000$2,106,000 ▼-28.6%250,0000.2%Retail/WholesaleSIM ACQUISITION CORP. I$5,020,0000.0%500,0000.2%COMMONHCM II ACQUISITION CORP$5,010,000$5,010,000 ▲New Holding500,0000.2%COMMONGIGCAPITAL7 CORP$4,645,3500.0%465,0000.2%COMMONDT CLOUD STAR ACQUISITION CO$4,531,5000.0%450,0000.2%COMMONOAKTREE ACQUISITION CORP III$4,495,500$4,495,500 ▲New Holding450,0000.2%COMMONBATRKAtlanta Braves$4,186,065$480,699 ▼-10.3%109,4110.2%Multi-Sector ConglomeratesCUTERA INC$4,144,1850.0%48,470,0000.2%BONDPSTXPoseida Therapeutics$3,840,000$3,840,000 ▲New Holding400,0000.1%MedicalADSEWADS-TEC Energy$3,589,931$3,589,931 ▲New Holding997,2030.1%IndustrialsLIONHEART HOLDINGS$3,538,5000.0%350,0000.1%COMMONONKURE THERAPEUTICS INC$3,437,790$3,437,790 ▲New Holding399,7430.1%COMMONA SPAC III ACQUISITION CORP$3,373,450$3,373,450 ▲New Holding335,0000.1%UNITCHENGHE ACQUISITION II CO$3,036,0000.0%300,0000.1%COMMONAPLDApplied Digital$2,546,412$2,546,412 ▲New Holding333,3000.1%FinanceShowing largest 100 holdings. View all holdings. 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