People / David Tepper
David Tepper
Founder, Appaloosa · billionaire
$7,383,589,018disclosed portfolio (13F)
45holdings
0disclosed trades
Portfolio allocation · all 45 holdings — drag the scrollbar ↕
fund/company 13F holdings they manage — not personal net worth
All holdings (45)
top 10 = 58% of disclosed value · scroll for the full list ↓
| # | Holding | Value | % of portfolio | Shares |
|---|---|---|---|---|
| 1 | Alibaba Group Hldg Ltd | $1,152,808,500 | 15.6% | 6,450,000 |
| 2 | Amazon Com Inc | $548,925,000 | 7.4% | 2,500,000 |
| 3 | Whirlpool Corp | $432,300,000 | 5.9% | 5,500,000 |
| 4 | Nvidia Corporation | $354,502,000 | 4.8% | 1,900,000 |
| 5 | Alphabet Inc | $337,925,625 | 4.6% | 1,387,500 |
| 6 | Kraneshares Trust | $310,874,000 | 4.2% | 7,400,000 |
| 7 | Nrg Energy Inc | $302,846,500 | 4.1% | 1,870,000 |
| 8 | Taiwan Semiconductor Mfg Ltd | $296,047,400 | 4.0% | 1,060,000 |
| 9 | Meta Platforms Inc | $271,720,600 | 3.7% | 370,000 |
| 10 | Vistra Corp | $243,920,400 | 3.3% | 1,245,000 |
| 11 | Microsoft Corp | $239,551,875 | 3.2% | 462,500 |
| 12 | Pdd Holdings Inc | $237,906,000 | 3.2% | 1,800,000 |
| 13 | Uber Technologies Inc | $235,812,125 | 3.2% | 2,406,983 |
| 14 | Jd.Com Inc | $217,750,500 | 2.9% | 6,225,000 |
| 15 | Qualcomm Inc | $207,118,200 | 2.8% | 1,245,000 |
| 16 | Advanced Micro Devices Inc | $153,700,500 | 2.1% | 950,000 |
| 17 | Baidu Inc | $137,699,650 | 1.9% | 1,045,000 |
| 18 | Deutsche Bank A G | $134,203,900 | 1.8% | 3,790,000 |
| 19 | Corning Inc | $133,298,750 | 1.8% | 1,625,000 |
| 20 | Lyft Inc | $123,256,000 | 1.7% | 5,600,000 |
| 21 | Fiserv Inc | $119,260,250 | 1.6% | 925,000 |
| 22 | American Airls Group Inc | $103,970,000 | 1.4% | 9,250,000 |
| 23 | L3Harris Technologies Inc | $91,623,000 | 1.2% | 300,000 |
| 24 | Rtx Corporation | $85,254,635 | 1.2% | 509,500 |
| 25 | Energy Transfer L P | $85,066,153 | 1.2% | 4,957,235 |
| 26 | Micron Technology Inc | $83,660,000 | 1.1% | 500,000 |
| 27 | Unitedhealth Group Inc | $70,268,550 | 1.0% | 203,500 |
| 28 | Truist Finl Corp | $63,436,500 | 0.9% | 1,387,500 |
| 29 | Asml Holding N V | $61,957,760 | 0.8% | 64,000 |
| 30 | Caesars Entertainment Inc Ne | $56,752,500 | 0.8% | 2,100,000 |
| 31 | Iqvia Hldgs Inc | $54,132,900 | 0.7% | 285,000 |
| 32 | Lam Research Corp | $49,543,000 | 0.7% | 370,000 |
| 33 | Ishares Tr | $45,665,400 | 0.6% | 1,110,000 |
| 34 | United Airls Hldgs Inc | $44,631,250 | 0.6% | 462,500 |
| 35 | Goodyear Tire & Rubr Co | $38,447,200 | 0.5% | 5,140,000 |
| 36 | Keycorp | $37,753,800 | 0.5% | 2,020,000 |
| 37 | Citizens Finl Group Inc | $31,896,000 | 0.4% | 600,000 |
| 38 | Comerica Inc | $31,690,500 | 0.4% | 462,500 |
| 39 | Block Inc | $26,739,900 | 0.4% | 370,000 |
| 40 | Mplx Lp | $26,723,250 | 0.4% | 535,000 |
| 41 | Delta Air Lines Inc Del | $26,246,875 | 0.4% | 462,500 |
| 42 | Owens Corning New | $22,845,790 | 0.3% | 161,500 |
| 43 | Mohawk Inds Inc | $20,820,580 | 0.3% | 161,500 |
| 44 | Western Alliance Bancorp | $16,910,400 | 0.2% | 195,000 |
| 45 | Zions Bancorporation N A | $16,125,300 | 0.2% | 285,000 |
Balance sheet — verifiable public data only; disclosures report value ranges
| Category | Item | Value | Year | Source |
|---|---|---|---|---|
| asset | 13F equity portfolio (disclosed long positions) | $7,383,589,018 | 2025 | sec-13f ↗ |
⚠️ Built strictly from verifiable public data (SEC filings, official financial disclosures). Values shown as ranges reflect disclosure rules, not estimates. Net-worth figures, where shown, are third-party estimates — see the linked source.