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Tepper's Appaloosa Gets Into MetLife (MET), Transocean (RIG), Weatherford (WFT); Raises Apple (AAPL)

February 14, 2013 5:10 PM EST Send to a Friend
David Tepper's Appaloosa Management hedge fund released its 13F for the quarter ended December 31, 2012. Below is a summary.

New Stakes
Berry Plastics Group (NYSE: BERY) new 1,325,100 share position
BorgWarner, Inc. (NYSE: BWA) new 222,789 share position
Ensco CL A (NYSE: ESV) new 721,149 share position
Freeport-McMoRan Copper & Gold (NYSE: FCX) new 520,337 share position
HCA Holdings (NYSE: HCA) new 4,325,532 share position
MetLife, Inc. (NYSE: MET) new 3,385,858 share position
Noble Corp. (NYSE: NE) new 1,339,443 share position
PowerShares QQQ Trust, Series 1 (NASDAQ: QQQ) (CALL) new 106,767 share position
S&P DEP RECEIPTS (NYSE: SPY) (CALL) new 192,058 share position
Tenneco (NYSE: TEN) new 116,448 share position
Transocean (NYSE: RIG) new 1,500,255 share position
Weatherford International Ltd. (NYSE: WFT) new 5,008,107 share position

Raised Stakes
Apple, Inc. (NASDAQ: AAPL) raised from 521,188 shares to 912,661 shares
Celanese Corp. Series A (NYSE: CE) raised from 519,352 shares to 657,852 shares
Delphi Automotive PLC (NYSE: DLPH) raised from 220,466 shares to 885,483 shares
EMC Corp. (NYSE: EMC) raised from 2,800,261 shares to 4,138,269 shares
GOODYEAR T & RUBBER (NASDAQ: GT) raised from 14,313,702 shares to 14,345,610 shares
MGM Resorts International (NYSE: MGM) raised from 6,891,654 shares to 6,899,615 shares
Microsoft Corp (NASDAQ: MSFT) raised from 1,129,000 shares to 3,151,400 shares
Qualcomm, Inc. (NASDAQ: QCOM) raised from 2,304,786 shares to 2,769,941 shares
Sandisk Corp (NASDAQ: SNDK) raised from 668,821 shares to 970,000 shares
S&P DEP RECEIPTS (NYSE: SPY) raised from 97,741 shares to 837,366 shares
Hartford Financial Services Group, Inc. (NYSE: HIG) raised from 3,612,650 shares to 4,983,959 shares

Lowered Stakes
American International Group, Inc. (NYSE: AIG) lowered from 8,250,000 shares to 6,059,000 shares
Bank of America Corp. (NYSE: BAC) lowered from 2,757,008 shares to 2,483,008 shares
Beazer Homes USA, Inc. (NYSE: BZH) lowered from 7,076,459 shares to 1,274,095 shares
Boyd Gaming Corp. (NYSE: BYD) lowered from 2,012,333 shares to 1,870,254 shares
Broadcom Corp (NASDAQ: BRCM) lowered from 3,562,025 shares to 3,420,025 shares
Calumet Specialty Products Partners, L.P. (NASDAQ: CLMT) lowered from 947,685 shares to 723,639 shares
Delphi Automotive PLC (NYSE: DLPH) lowered from 220,466 shares to 47,967 shares
Chimera Investment (NYSE: CIM) lowered from 10,384,474 shares to 9,000,000 shares
Citigroup, Inc. (NYSE: C) lowered from 10,194,547 shares to 9,194,547 shares
Dean Foods Co. (NYSE: DF) lowered from 2,217,159 shares to 1,725,000 shares
Ford Motor Co. (NYSE: F) lowered from 11,618,973 shares to 11,154,973 shares
Fusion-io (NYSE: FIO) lowered from 1,560,977 shares to 1,404,977 shares
General Motors (NYSE: GM) lowered from 5,952,400 shares to 5,358,400 shares
Google, Inc. (NASDAQ: GOOG) lowered from 195,000 shares to 185,100 shares
Huntsman Corp. (NYSE: HUN) lowered from 7,919,010 shares to 7,400,000 shares
JPMorgan Chase & Co. (NYSE: JPM) lowered from 2,397,178 shares to 2,301,178 shares
US Airways Group, Inc. (NYSE: LCC) lowered from 13,603,495 shares to 4,080,479 shares
MFA Financial (NYSE: MFA) lowered from 969,783 shares to 873,283 shares
MPG Office Trust (NYSE: MPG) lowered from 4,207,354 shares to 4,099,174 shares
Mueller Water Products (NYSE: MWA) lowered from 8,981,831 shares to 7,551,469 shares
NetApp, Inc. (NASDAQ: NTAP) lowered from 900,399 shares to 714,799 shares
Oracle Corp (NASDAQ: ORCL) lowered from 2,769,324 shares to 2,395,110 shares
Owens Corning (NYSE: OC) lowered from 2,422,895 shares to 2,367,616 shares
POWERSHARES QQQ (NASDAQ: QQQQ) lowered from 6,449,182 shares to 1,615,182 shares
Sealed Air Corp. (NYSE: SEE) lowered from 2,052,190 shares to 1,849,190 shares
Teledyne Technologies, Inc. (NYSE: TDY) lowered from 419,596 shares to 378,596 shares
Hartford Financial Services Group, Inc. (NYSE: HIG) lowered from 3,612,650 shares to 1,275,475 shares
Two Harbors Investment (NYSE: TWO) lowered from 2,710,000 shares to 2,440,000 shares
United Continental Holdings (NYSE: UAL) lowered from 9,818,965 shares to 9,118,613 shares
US Airways Group, Inc. (NYSE: LCC) lowered from 13,603,495 shares to 12,069,029 shares
Valero Energy Corp. (NYSE: VLO) lowered from 842,717 shares to 774,576 shares
Whirlpool Corp. (NYSE: WHR) lowered from 648,180 shares to 560,180 shares

Liquidated Stakes
International Paper Co. (NYSE: IP) liquidated
iShares Dow Jones U.S. Home Construction Index Fund (NYSE: ITB) liquidated
JetBlue Airways Corp (NASDAQ: JBLU) liquidated
Lam Research Corp (NASDAQ: LRCX) liquidated
Marvell Technology Group Ltd (NASDAQ: MRVL) liquidated
Morgan Stanley (NYSE: MS) liquidated
Hartford Financial Services Group, Inc. (NYSE: HIG) (CALL) liquidated

Maintained Stakes

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13Fs, Hedge Funds

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JPMorgan, Citi, Morgan Stanley, Bank of America, Appaloosa Management, Standard & Poor's, Hedge Funds

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