Follow-The-Filings

Featured 13F manager

Elliott Investment Management L.P. Paul Singer

West Palm Beach, FL 23 processed 13Fs on this site · 2021 Q3–2026 Q2

  • $22.7B
  • 17 Positions
  • 2026 Q2
  • +12.7% QoQ
  • Top 5 50.8%

Portfolio

2026 Q2 · filed 8/14/2026 · 17 long · top 12 shown

top 5 50.8% · top 10 60.3%

AUM over time

2026 Q2 $22.7B +12.7% QoQ
2021 Q3 · $13.9B 2021 Q3 · $13.9B
Q3 2021
2021 Q4 · $11.3B · −18.9% QoQ 2021 Q4 · $11.3B · −18.9% QoQ
Q4
2022 Q1 · $10B · −11.5% QoQ 2022 Q1 · $10B · −11.5% QoQ
Q1 2022
2022 Q2 · $8.7B · −13.3% QoQ 2022 Q2 · $8.7B · −13.3% QoQ
Q2
2022 Q3 · $9.7B · +11.4% QoQ 2022 Q3 · $9.7B · +11.4% QoQ
Q3
2022 Q4 · $12.3B · +26.9% QoQ 2022 Q4 · $12.3B · +26.9% QoQ
Q4
2023 Q1 · $13.5B · +10.2% QoQ 2023 Q1 · $13.5B · +10.2% QoQ
Q1 2023
2023 Q2 · $11.4B · −15.9% QoQ 2023 Q2 · $11.4B · −15.9% QoQ
Q2
2023 Q3 · $12.9B · +13.8% QoQ 2023 Q3 · $12.9B · +13.8% QoQ
Q3
2023 Q4 · $18.7B · +44.8% QoQ 2023 Q4 · $18.7B · +44.8% QoQ
Q4
2024 Q1 · $16.1B · −13.9% QoQ 2024 Q1 · $16.1B · −13.9% QoQ
Q1 2024
2024 Q2 · $17.3B · +7.5% QoQ 2024 Q2 · $17.3B · +7.5% QoQ
Q2
2024 Q3 · $19.3B · +11.4% QoQ 2024 Q3 · $19.3B · +11.4% QoQ
Q3
2024 Q4 · $16.7B · −13.6% QoQ 2024 Q4 · $16.7B · −13.6% QoQ
Q4
2025 Q1 · $15.2B · −9.1% QoQ 2025 Q1 · $15.2B · −9.1% QoQ
Q1 2025
2025 Q2 · $17.6B · +16.1% QoQ 2025 Q2 · $17.6B · +16.1% QoQ
Q2
2025 Q3 · $22.7B · +29.1% QoQ 2025 Q3 · $22.7B · +29.1% QoQ
Q3
2025 Q4 · $22.6B · −0.6% QoQ 2025 Q4 · $22.6B · −0.6% QoQ
Q4
2026 Q1 · $20.1B · −11.0% QoQ 2026 Q1 · $20.1B · −11.0% QoQ
Q1 2026
2026 Q2 · $22.7B · +12.7% QoQ 2026 Q2 · $22.7B · +12.7% QoQ
Q2

Book

2024 Q4 2024 Q3 · filed 14 Feb · long equity

TFPM - Triple Flag Precious Metal 12.07% Hold 133,815,727 $15.04 $2B
LUV - Southwest Airls 12.03% Reduce −2.4% 59,666,500 $33.62 $2B −1,450,000 +$195M
SU - Suncor Energy 11.27% Hold 52,670,800 $35.68 $1.9B
PINS - Pinterest · CL A 4.87% Hold 28,000,000 $29.00 $812M
NRG - NRG Energy 2.60% Reduce −50.4% 4,800,000 $90.22 $433M −4,868,000 −$448M
MTCH - Match Group 2.36% Hold 12,054,832 $32.71 $394M
ETSY - ETSY Inc 1.59% Hold 5,000,000 $52.89 $264M
BMRN - Biomarin Pharmaceutical 1.38% Hold 3,500,338 $65.73 $230M
LBRDA - Liberty Broadband 1.07% Hold 2,384,481 $74.76 $178M
Seadrill 2021 0.86% Hold 3,703,746 $38.93 $144M
WDC - Western Digital 0.80% Hold 2,250,000 $59.63 $134M
CCI - Crown Castle 0.67% Hold 1,225,000 $90.76 $111M
ST - Sensata 0.53% Hold 3,250,000 $27.40 $89M
PSX - Phillips 66 0.53% Hold 775,000 $113.93 $88M
E2open Parent · CL A 0.43% Hold 27,250,000 $2.66 $72M
UNIT - Uniti Group 0.33% Hold 10,120,963 $5.50 $56M
RIG - Transocean 0.27% Hold 11,870,319 $3.75 $45M
HDB - Hdfc Bank 0.26% Add +5.8% 670,215 $63.86 $43M +36,491 +$3M
CRMD - Cormedix 0.14% Add +85.1% 2,870,632 $8.10 $23M +1,320,109 +$11M
ARM 0.11% Hold 150,000 $123.36 $19M
HWM - Howmet Aerospace 0.07% Hold 100,000 $109.37 $11M
BHC - Bausch Health Cos 0.00% Hold 11,500 $8.06 $93K

Exits / last held

not current holdings · last reported size, unchanged · gone vs 2024 Q3

Stock % of portfolio Recent activity Shares Reported price* Value Share change $ change
Catalent 1.25% Exit 0 $60.57 $242M −4,000,000 −$242M
CAH - Cardinal Health 1.14% Exit 0 $110.52 $221M −2,000,000 −$221M
Select Sector Spdr Tr 0.61% Exit 0 $80.78 $118M −1,460,000 −$118M

* Reported price is value ÷ shares from the 13F as of period end — not a live market quote. Weight % is each long-equity position ÷ full 13F AUM, so rows may not sum to 100% when the filing includes options or other non-equity (excluded from this table). Share change and $ change are vs 2024 Q3. Click column headers to sort · click New / Add / Reduce to promote that move type to the top. Exit opens the last-held block below. Among managers we track.

Filings history

20 periods · normalized AUM · open a period for holdings

Period Holdings AUM QoQ Form Filed Filing ID
2026 Q2 29 $22.7B +12.7% 13F-HR 8/14/2026 000101359426000915
2026 Q1 33 $20.1B −11.0% 13F-HR 5/15/2026 000101359426000613
2025 Q4 34 $22.6B −0.6% 13F-HR 2/18/2026 000101359426000272
2025 Q3 35 $22.7B +29.1% 13F-HR 11/14/2025 000101359425001440
2025 Q2 1 $528M NEW HOLDINGS 11/14/2025 000101359425001443
2025 Q2 30 $17.6B +16.1% 13F-HR 8/14/2025 000101359425001045
2025 Q1 41 $15.2B −9.1% 13F-HR 5/15/2025 000101359425000678
2024 Q4 45 $16.7B RESTATEMENT 4/28/2025 000101359425000512
2024 Q4 45 $16.7B −13.6% 13F-HR 2/14/2025 000101359425000294
2024 Q3 59 $19.3B +11.4% 13F-HR 11/14/2024 000101359424000968
2024 Q2 54 $17.3B +7.5% 13F-HR 8/14/2024 000101359424000660
2024 Q1 55 $16.1B −13.9% 13F-HR 5/15/2024 000101359424000480
2023 Q4 60 $18.7B +44.8% 13F-HR 2/14/2024 000101359424000185
2023 Q3 62 $12.9B +13.8% 13F-HR 11/14/2023 000101359423000925
2023 Q2 64 $11.4B −15.9% 13F-HR 8/14/2023 000101359423000693
2023 Q1 54 $13.5B +10.2% 13F-HR 5/15/2023 000101359423000490
2022 Q4 58 $12.3B RESTATEMENT 5/15/2023 000101359423000488
2022 Q4 58 $12.3B +26.9% 13F-HR 2/14/2023 000101359423000244
2022 Q3 41 $9.7B +11.4% 13F-HR 11/14/2022 000156761922020034
2022 Q2 42 $8.7B −13.3% 13F-HR 8/15/2022 000156761922016260
2022 Q1 45 $10B −11.5% 13F-HR 5/16/2022 000156761922010986
2021 Q4 44 $11.3B −18.9% 13F-HR 2/14/2022 000156761922004408
2021 Q3 46 $13.9B 13F-HR 11/15/2021 000156761921020455

About

Elliott Investment Management L.P.

23 processed 13Fs on this site · 2021 Q3–2026 Q2

Notable person
Paul Singer
SEC filing name
Elliott Investment Management L.P.
Location
West Palm Beach, FL
All SEC filings
View on sec.gov