Universe · entity

DAVIDSON KEMPNER CAPITAL MANAGEMENT LP

Institutional manager (13F) · CIK 1595082
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $3.3B
#IssuerValueShares
1ECHOSTAR CORP$175M1,491,578
2ALIBABA GROUP HLDG LTD$161M116,000,000
3ARKO CORP$129M23,139,671
4HOLOGIC INC$122M1,619,115
5UBER TECHNOLOGIES INC$120M100,000,000
6LI AUTO INC$111M111,000,000
7RIVIAN AUTOMOTIVE INC$110M102,500,000
8REDFIN CORP$105M110,000,000
9T-MOBILE US INC$102M484,890
10ALCON AG$98M1,319,570
11ENVIRI CORP$92M4,668,300
12ETSY INC$80M90,000,000
13NVIDIA CORPORATION$75M427,500
14MICROCHIP TECHNOLOGY INC.$74M75,000,000
15ETSY INC$72M75,000,000
16HUAZHU GROUP LTD$67M47,500,000
17ARCELLX INC$64M559,644
18WEIBO CORP$63M60,000,000
19TRIP COM GROUP LTD$62M60,000,000
20ALARM COM HLDGS INC$61M66,508,000
21META PLATFORMS INC$61M106,000
22H WORLD GROUP LTD$60M45,000,000
23TELEPHONE & DATA SYS INC$59M1,411,700
24SNOWFLAKE INC$59M50,000,000
25BARRICK MNG CORP$57M1,395,982
26BOEING CO$52M260,000
27NIO INC$52M52,000,000
28GLOBAL PMTS INC$48M55,000,000
29RAPID7 INC$48M51,000,000
30SNAP INC$47M51,500,000
31AT&T INC$46M1,603,000
32MKS INC.$46M28,000,000
33CHEESECAKE FACTORY INC$46M45,000,000
34BILL HOLDINGS INC$42M47,500,000
35DIVERSIFIED HEALTHCARE TR$41M6,247,830
36ALIBABA GROUP HOLDING$41M42,500,000
37FORGENT POWER SOLUTIONS INC$41M1,395,147
38JOHNSON CONTROLS INTERNATION$41M310,000
39ORACLE CORP$40M275,000
40SEAGATE TECHNOLOGY HLDNGS PL$40M101,700
41SURGERY PARTNERS INC$40M3,336,464
42DATADOG INC$39M40,451,000
43AMETEK INC$39M180,000
44RTX CORPORATION$39M200,000
45BAUSCH PLUS LOMB CORP$35M2,199,172
46IQIYI INC$34M38,000,000
47COMCAST CORP NEW$33M1,151,593
48CONSTELLATION ENERGY CORP$33M118,364
49MASTERCARD INCORPORATED$32M65,000
50BOOKING HOLDINGS INC$31M7,320
All filings on EDGAR ↗

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