David Tepper

David Tepper

Appaloosa LP

David Alan Tepper is an American billionaire hedge fund manager. He is the owner of the Carolina Panthers of the National Football League (NFL) and Charlotte FC in Major League Soccer (MLS). Tepper is the founder and president of Appaloosa Management, a global hedge fund based in Miami Beach, Florida.
Period:  Q3, 2025
Filed Date:  Nov 13, 2025
Reported Date:  Sep 30, 2025
No. of Stocks:  45
Portfolio Value:  7.38B
StockActivityShare Change% Change to protfolio
Q3 2025

BABA - Alibaba group holding ltd

Reduced 8.73%64500008.734

GOOG - Alphabet inc

Reduced 7.50%13875007.500

AMZN - Amazon.com inc

Reduced 7.41%25000007.407

ASML - Asml holding nv

Reduced 8.57%640008.571

SQ - Block, inc.

Reduced 42.35%37000042.350

GLW - Corning inc

Reduced 7.14%16250007.143

DAL - Delta air lines, inc.

Reduced 15.91%46250015.909

DB - Deutsche bank aktiengesellschaft

Reduced 5.25%37900005.250

IQV - Iqvia holdings inc

Reduced 5.00%2850005.000

JD - Jd.com inc

Reduced 11.07%622500011.071

LHX - L3harris technologies, inc. /de/

Reduced 14.29%30000014.286
Lam research corp
Reduced 7.50%3700007.500

LYFT - Lyft inc

Reduced 30.00%560000030.000

META - Meta platforms inc

Reduced 7.50%3700007.500

MU - Micron technology inc

Reduced 39.39%50000039.394

MSFT - Microsoft corp

Reduced 7.50%4625007.500

MPLX - Mplx lp

Reduced 7.52%5350007.519

NRG - Nrg energy inc

Reduced 5.56%18700005.556

PDD - Pdd holdings inc

Reduced 10.00%180000010.000

RTX - Rtx corp

Reduced 12.91%50950012.906

UBER - Uber technologies inc

Reduced 12.47%240698312.473

UAL - United airlines holdings inc

Reduced 15.91%46250015.909

UNH - Unitedhealth group inc

Reduced 91.69%20350091.694

VST - Vistra corp.

Reduced 30.83%124500030.833

INTC - Intel corp

Sold 100%80000002.779

BEKE - Ke holdings inc

Sold 100%15000000.413

ORCL - Oracle corp

Sold 100%1500000.509
Q2 2025

BABA - Alibaba group holding ltd

Reduced 23.43%706727123.432

GOOG - Alphabet inc

Reduced 25.37%150000025.373

BIDU - Baidu inc

Reduced 19.35%62500019.355

CZR - Caesars entertainment, inc.

Reduced 4.55%21000004.545

FXI - Ishares china large-cap etf

Reduced 82.14%100000082.143

JD - Jd.com inc

Reduced 13.04%700000013.043

BEKE - Ke holdings inc

Reduced 21.05%150000021.053
Lam research corp
Reduced 20.00%40000020.000

LYFT - Lyft inc

Reduced 11.11%800000011.111

META - Meta platforms inc

Reduced 27.27%40000027.273

MSFT - Microsoft corp

Reduced 1.96%5000001.961

NRG - Nrg energy inc

Reduced 3.41%19800003.415

ORCL - Oracle corp

Reduced 78.57%15000078.571

PDD - Pdd holdings inc

Reduced 54.23%200000054.233

UBER - Uber technologies inc

Reduced 14.06%275000014.063

VST - Vistra corp.

Reduced 21.74%180000021.739

AAPL - Apple inc

Sold 100%12500003.312

AVGO - Broadcom inc

Sold 100%1300000.260

CHKEZ - Chesapeake energy corp

Sold 100%1173210.147

LVS - Las vegas sands corp

Sold 100%5900000.272
Spdr ser tr
Sold 100%450000030.029

SMH - Vaneck semiconductor etf

Sold 100%1000000.252

WYNN - Wynn resorts ltd

Sold 100%3200000.319
Q1 2025

BABA - Alibaba group holding ltd

Reduced 22.06%923000022.065

AMZN - Amazon.com inc

Reduced 3.46%25100003.462

ASML - Asml holding nv

Reduced 56.25%7000056.250

BIDU - Baidu inc

Reduced 49.28%77500049.277

CHKEZ - Chesapeake energy corp

Reduced 53.07%11732153.072

CHKEL - Chesapeake energy corp

Reduced 56.40%6539856.401

FXI - Ishares china large-cap etf

Reduced 15.63%560000015.626

JD - Jd.com inc

Reduced 23.08%805000023.083

BEKE - Ke holdings inc

Reduced 26.19%190000026.187

KWEB - Kraneshares csi china intern

Reduced 12.58%400000012.582
Lam research corp
Reduced 60.00%50000060.000

LVS - Las vegas sands corp

Reduced 34.44%59000034.444

LYFT - Lyft inc

Reduced 33.33%900000033.333

MU - Micron technology inc

Reduced 66.67%40000066.667

MSFT - Microsoft corp

Reduced 47.42%51000047.423

NVDA - Nvidia corp

Reduced 55.88%30000055.882

ORCL - Oracle corp

Reduced 50.00%70000050.000

PDD - Pdd holdings inc

Reduced 18.41%437000018.411

QCOM - Qualcomm inc

Reduced 56.25%35000056.250

VST - Vistra corp.

Reduced 14.81%230000014.815

WYNN - Wynn resorts ltd

Reduced 36.00%32000036.000

AR - Antero resources corp

Sold 100%8400000.455

EQT - Eqt corp

Sold 100%8000000.571

CHK - Chesapeake energy corp

Sold 100%2950000.454

FDX - Fedex corp

Sold 100%3500001.523

INTC - Intel corp

Sold 100%10000000.310
Q4 2024

GOOG - Alphabet inc

Reduced 0.00%18819630.000

AMZN - Amazon.com inc

Reduced 18.75%260000018.750

AR - Antero resources corp

Reduced 51.86%84000051.862

ET - Energy transfer lp

Reduced 28.02%491473528.021

EQT - Eqt corp

Reduced 55.43%80000055.432

FDX - Fedex corp

Reduced 6.67%3500006.667

INTC - Intel corp

Reduced 60.00%100000060.000

LVS - Las vegas sands corp

Reduced 41.11%90000041.112

LYFT - Lyft inc

Reduced 14.29%1350000014.286

META - Meta platforms inc

Reduced 21.60%49000021.600

ORCL - Oracle corp

Reduced 11.02%140000011.020

WYNN - Wynn resorts ltd

Reduced 37.50%50000037.500

ADBE - Adobe inc

Sold 100%2000001.538

LRCX - Lam research corp

Sold 100%1000001.212

SWN - Southwestern energy co

Sold 100%41800000.441
Q3 2024

ADBE - Adobe inc

Reduced 44.44%20000044.444

AMD - Advanced micro devices inc

Reduced 17.15%113500017.153

BABA - Alibaba group holding ltd

Reduced 4.76%100000004.762

GOOG - Alphabet inc

Reduced 2.24%18819642.236

AMZN - Amazon.com inc

Reduced 7.91%32000007.914

AR - Antero resources corp

Reduced 5.68%17450005.676

ASML - Asml holding nv

Reduced 11.43%7750011.429

BIDU - Baidu inc

Reduced 14.41%142500014.414

CZR - Caesars entertainment, inc.

Reduced 2.27%21500002.273

CHK - Chesapeake energy corp

Reduced 12.23%16500012.234

ET - Energy transfer lp

Reduced 11.38%682800011.376

EQT - Eqt corp

Reduced 5.77%17950005.774

FDX - Fedex corp

Reduced 31.82%37500031.818

INTC - Intel corp

Reduced 10.07%250000010.072

FXI - Ishares china large-cap etf

Reduced 15.92%583500015.922

KWEB - Kraneshares csi china intern

Reduced 16.15%376500016.147

LRCX - Lam research corp

Reduced 8.26%1000008.257

META - Meta platforms inc

Reduced 33.16%62500033.155

MU - Micron technology inc

Reduced 10.64%105000010.638

MSFT - Microsoft corp

Reduced 17.89%97000017.891

MPLX - Mplx lp

Reduced 5.40%5785005.397

NVDA - Nvidia corp

Reduced 9.42%6250009.420

ORCL - Oracle corp

Reduced 21.33%157339421.330

QCOM - Qualcomm inc

Reduced 4.76%8000004.762

SWN - Southwestern energy co

Reduced 5.86%41800005.856

UBER - Uber technologies inc

Reduced 6.00%14100006.000

UNH - Unitedhealth group inc

Reduced 5.68%1745005.676

BA - Boeing co

Sold 100%2100000.619

M - Macy's inc

Sold 100%12650000.393
Q2 2024

AMD - Advanced micro devices inc

Reduced 15.95%137000015.951

BABA - Alibaba group holding ltd

Reduced 6.67%105000006.667

GOOG - Alphabet inc

Reduced 7.23%19250007.229

AMZN - Amazon.com inc

Reduced 9.22%34750009.222

AR - Antero resources corp

Reduced 7.50%18500007.500

BIDU - Baidu inc

Reduced 7.50%16650007.500

BA - Boeing co

Reduced 6.67%2100006.667

CZR - Caesars entertainment, inc.

Reduced 4.35%22000004.348

CHK - Chesapeake energy corp

Reduced 7.39%1880007.389

ET - Energy transfer lp

Reduced 10.87%770442810.874

EQT - Eqt corp

Reduced 7.52%19050007.524

FDX - Fedex corp

Reduced 8.33%5500008.333

INTC - Intel corp

Reduced 25.87%278000025.867

LRCX - Lam research corp

Reduced 5.22%1090005.217

M - Macy's inc

Reduced 9.64%12650009.643

META - Meta platforms inc

Reduced 16.70%93500016.704

MU - Micron technology inc

Reduced 3.29%11750003.292

MSFT - Microsoft corp

Reduced 23.78%118135623.783

MPLX - Mplx lp

Reduced 7.35%6115007.348

ORCL - Oracle corp

Reduced 13.04%200000013.043

PDD - Pdd holdings inc

Reduced 7.62%19400007.619

QCOM - Qualcomm inc

Reduced 15.15%84000015.152

SWN - Southwestern energy co

Reduced 7.50%44400007.500

UNH - Unitedhealth group inc

Reduced 7.50%1850007.500

NSC - Norfolk southern corp

Sold 100%450000.170
Q1 2024

AMD - Advanced micro devices inc

Reduced 18.91%163000018.905

GOOG - Alphabet inc

Reduced 9.78%20750009.783

AMZN - Amazon.com inc

Reduced 3.09%38280003.089

ET - Energy transfer lp

Reduced 11.63%864442811.628

FDX - Fedex corp

Reduced 7.69%6000007.692

INTC - Intel corp

Reduced 18.48%375000018.478

LRCX - Lam research corp

Reduced 2.54%1150002.542

M - Macy's inc

Reduced 68.54%140000068.539

META - Meta platforms inc

Reduced 39.32%112250039.324

MSFT - Microsoft corp

Reduced 8.82%15500008.824

NVDA - Nvidia corp

Reduced 44.05%44200044.051

QCOM - Qualcomm inc

Reduced 1.00%9900001.000

UBER - Uber technologies inc

Reduced 77.33%136000077.333

ARKK - Ark innovation etf

Sold 100%25500002.306

FMC - Fmc corp

Sold 100%3250000.354

GM - General motors co

Sold 100%2650000.164

HCA - Hca healthcare inc

Sold 100%1171980.548

MAS - Masco corp

Sold 100%1300000.150

MHK - Mohawk industries inc

Sold 100%950000.170

OC - Owens corning

Sold 100%250000.064

WHR - Whirlpool corp

Sold 100%900000.189
Q4 2023

AMD - Advanced micro devices inc

Reduced 11.65%201000011.648

GOOG - Alphabet inc

Reduced 16.36%230000016.364

BIDU - Baidu inc

Reduced 6.02%6250006.015

INTC - Intel corp

Reduced 26.40%460000026.400

BEKE - Ke holdings inc

Reduced 28.96%170500028.958

LRCX - Lam research corp

Reduced 1.67%1180001.667

M - Macy's inc

Reduced 11.00%445000011.000

META - Meta platforms inc

Reduced 5.13%18500005.128

MU - Micron technology inc

Reduced 13.21%121500013.214

NVDA - Nvidia corp

Reduced 22.93%79000022.927

PDD - Pdd holdings inc

Reduced 44.64%77500044.643

QCOM - Qualcomm inc

Reduced 23.08%100000023.077

UBER - Uber technologies inc

Reduced 17.24%600000017.241

ANET - Arista networks inc

Sold 100%2500000.908

JD - Jd.com inc

Sold 100%16750000.963
Q3 2023

AMD - Advanced micro devices inc

Reduced 1.52%22750001.515

BABA - Alibaba group holding ltd

Reduced 19.55%360000019.553

BIDU - Baidu inc

Reduced 47.84%66500047.843

INTC - Intel corp

Reduced 7.75%62500007.749

JD - Jd.com inc

Reduced 10.67%167500010.667

QCOM - Qualcomm inc

Reduced 29.73%130000029.730

AAPL - Apple inc

Sold 100%4800001.728

AVGO - Broadcom inc

Sold 100%1200001.931

MRVL - Marvell technology inc

Sold 100%17500001.941

SNPS - Synopsys inc

Sold 100%1450001.171