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Size ($ in 1000's)
At 12/31/2023: $18,716,635 At 09/30/2023: $12,923,444
Combined Holding Report Includes:
Elliott Investment Management L.P. Elliott Associates L.P. Elliott International L.P.
Elliott Investment Management L.P. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Elliott Investment Management L.P. 13F filings.
Link to 13F filings: SEC filings
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This page summarizes the Paul Singer holdings changes quarter over quarter, as of their latest filing date of 12/31/2023.
The information is divided into different holdings changes sections to cover new positions, exits, position increases, and
position decreases, where applicable. In addition to Paul Singer holdings changes, at Holdings Channel you
can also learn the Top 10 Stocks Held By Paul Singer.
Entity | Shares/Amount Change | Position Value Change |
BMRN |
+3,000,338 | +$289,293 | ETSY |
+1,900,000 | +$153,995 | CCI |
+1,225,000 | +$141,108 | MTCH |
+3,229,200 | +$117,866 | EQIX |
-28,100 | -$22,631 | XBI |
-300,000 | -$26,787 | SNAP |
-2,000,000 | -$33,860 | XME |
-5,000,000 | -$299,150 | XRT |
-5,000,000 | -$361,600 |
Entity | Shares/Amount Change | Position Value Change |
ARM |
-980,392 | -$52,471 | NI |
-1,220,000 | -$30,110 | AYX |
-30,750,000 | -$27,334 | OKTA |
-20,000,000 | -$17,450 | NE |
-200,000 | -$10,130 | SWKS |
+250,000 | +$24,648 | QQQ |
+165,600 | +$59,330 | AAPL |
+350,000 | +$59,924 | TSM |
+725,000 | +$63,002 | STX |
+1,250,000 | +$82,438 |
Entity | Shares/Amount Change | Position Value Change |
ETWO |
+8,334,679 | +$33,752 | FIS |
+39,718 | +$12,218 | STZ |
+7,000 | -$3,098 | TFPM |
UNCH | +$32,115 | MPC |
UNCH | -$32,974 | PINS |
UNCH | +$280,280 | NRG |
UNCH | +$136,531 | PANW |
UNCH | +$106,247 | LQD |
UNCH | +$17,064 | CAH |
UNCH | +$27,960 |
Entity | Shares/Amount Change | Position Value Change |
RNG |
-16,000,000 | -$10,989 | CFLT |
-14,500,000 | -$11,066 | BL |
-12,150,000 | -$9,775 | U |
-10,400,000 | -$6,247 | TDOC |
-10,000,000 | -$7,732 | BTU |
-7,954,807 | -$228,714 | QTWO |
-5,000,000 | -$3,594 | BILL |
-5,000,000 | -$2,900 | QQQ |
-4,562,900 | -$1,877,085 |
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