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 ↓

#HoldingValue% of portfolioShares
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

CategoryItemValueYearSource
asset13F 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.