Appaloosa Management·CIK 1006438
53
Positions
$4.0B
Portfolio Value
24
Quarters tracked
Q4 2015
Latest filing
Portfolio Allocation — Q3 2012
Portfolio Value Over Time
| Ticker | % Portfolio | Value |
|---|---|---|
| QQQXXXX | 11.00% | $442,285,000 |
| AAPL |
8.65% |
| $347,768,000 |
| C | 8.30% | $333,566,000 |
| AIG | 6.73% | $270,518,000 |
| UAL | 4.76% | $191,470,000 |
| GT | 4.34% | $174,484,000 |
| GOOGLXXXX | 3.66% | $147,128,000 |
| QCOM | 3.58% | $144,026,000 |
| LCC | 3.54% | $142,293,000 |
| GM | 3.37% | $135,417,000 |
| BRCM | 3.06% | $123,175,000 |
| HUN | 2.94% | $118,231,000 |
| F | 2.85% | $114,563,000 |
| JPM | 2.41% | $97,038,000 |
| DAL | 2.36% | $95,042,000 |
| ORCL | 2.17% | $87,206,000 |
| OC | 2.02% | $81,070,000 |
| MAS | 1.98% | $79,509,000 |
| EMC | 1.90% | $76,363,000 |
| MGM | 1.84% | $74,085,000 |
| HIG | 1.75% | $70,230,000 |
| WHR | 1.34% | $53,741,000 |
| FIO | 1.18% | $47,251,000 |
| MWA | 1.09% | $44,011,000 |
| DF | 0.90% | $36,251,000 |
| MRVLXXXX | 0.88% | $35,354,000 |
| MSFT | 0.84% | $33,622,000 |
| TWOXXXX | 0.79% | $31,843,000 |
| SEE | 0.79% | $31,727,000 |
| CLMTXXXX | 0.75% | $30,326,000 |
| NTAP | 0.74% | $29,605,000 |
| SNDK | 0.72% | $29,047,000 |
| CIMXXXX | 0.70% | $28,142,000 |
| LRCXXXXX | 0.68% | $27,204,000 |
| VLO | 0.66% | $26,697,000 |
| BZH | 0.62% | $25,121,000 |
| BAC | 0.61% | $24,344,000 |
| CE | 0.49% | $19,689,000 |
| HIGWS | 0.35% | $14,234,000 |
| BYD | 0.35% | $14,207,000 |
| MPG | 0.35% | $14,095,000 |
| SPY | 0.35% | $14,068,000 |
| CF | 0.30% | $11,860,000 |
| IP | 0.22% | $8,826,000 |
| MS | 0.21% | $8,370,000 |
| MFAXXXX | 0.21% | $8,243,000 |
| 3106PS | 0.17% | $6,834,000 |
| TER | 0.15% | $5,967,000 |
| JBLU | 0.10% | $3,915,000 |
| M | 0.10% | $3,870,000 |
| GMWSA | 0.06% | $2,419,000 |
| ITB | 0.05% | $2,042,000 |
| GMWSB | 0.04% | $1,450,000 |