Universe · entity

ALPINE ASSOCIATES MANAGEMENT INC.

Institutional manager (13F) · CIK 1396835
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.6B
#IssuerValueShares
1NORFOLK SOUTHN CORP$133M464,455
2AIR LEASE CORP$90M1,382,306
3CHART INDS INC$89M428,754
4ELECTRONIC ARTS INC$65M320,764
5QORVO INC$62M801,559
6UNIFIRST CORP MASS$55M217,050
7KENVUE INC$51M2,968,520
8VALARIS LTD$46M472,500
9SILICON LABORATORIES INC$46M222,450
10ARCELLX INC$43M378,000
11PENUMBRA INC$43M131,950
12WARNER BROS DISCOVERY INC$43M1,564,650
13APELLIS PHARMACEUTICALS INC$35M864,000
14CENTESSA PHARMACEUTICALS PLC$34M865,500
15SKYWATER TECHNOLOGY INC$34M1,228,100
16MASIMO CORP$34M189,000
17HOLOGIC INC$33M432,210
18CSG SYS INTL INC$32M402,515
19ZIM INTEGRATED SHIPPING SERV$31M1,181,300
20JANUS HENDERSON GROUP PLC$30M590,576
21TXNM ENERGY INC$30M512,106
22CLEARWATER ANALYTICS HLDGS I$30M1,265,435
23WEBSTER FINL CORP$29M416,500
24BRIGHTHOUSE FINL INC$27M453,947
25AES CORP$27M1,890,163
26SEALED AIR CORP NEW$26M624,900
27ALLIED GOLD CORP$26M837,300
28THERMON GROUP HLDGS INC$24M485,882
29LIBERTY BROADBAND CORP$24M472,162
30PROASSURANCE CORP$23M945,590
31AMICUS THERAPEUTIC$23M1,596,190
32CANTALOUPE INC$22M2,078,079
33DIGITALBRIDGE GROUP INC$22M1,452,335
34ONESTREAM INC$22M920,692
35NCR ATLEOS CORPORATION$21M474,800
36DAY ONE BIOPHARMACEUTICALS I$20M925,000
37SUNOPTA INC$19M2,969,800
38SELECT MED HLDGS CORP$19M1,176,700
39SHUTTERSTOCK INC$19M1,139,955
40SEMRUSH HLDGS INC$19M1,584,094
41SUN CTRY AIRLS HLDGS INC$19M1,132,850
42NATIONAL STORAGE AFFILIATES$18M475,900
43VERIS RESIDENTIAL INC$14M748,452
44SILICON MOTION TECHNOLOGY CO$13M116,878
45SUNOCOCORP LLC$12M186,676
46TALKSPACE INC$10M1,855,000
47INTERNATIONAL MONEY EXPRESS$9M600,998
48AMERICAN WOODMARK CORP$9M225,795
49COEUR MNG INC$8M407,542
50TWO HARBORS INVENTMENT CORPO$8M664,251
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.