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  Name: ALPINE ASSOCIATES MANAGEMENT INC.
  City: ENGLEWOOD CLIFFS
  State: NJ
  Zip: 07632
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $2,565,882,000
  Total Value Change : $615,754,000
  Securities Held Change : 3
   
All Securities Held : 40
  New Positions : 23
  Closed Positions : 20
  Increased Positions : 8
  Unchanged Positions : 2
  Decreased Positions : 7

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Holdings Found : 23     View All Holdings Currently Viewing:  New Positions     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (ANSS)1 Year Chart         ANSS ANSYS Inc 3 New $323.17 $184,324,000 530,948 7.18% 184,324,000 530,948 0.618    Technical & System So...
   (DFS)1 Year Chart         DFS Discover Financial Services 4 New $124.27 $131,038,000 999,607 5.11% 131,038,000 999,607 0.326    Credit Services
   (AXNX)1 Year Chart         AXNX Axonics Modulation Technolo... 5 New $67.20 $125,165,000 1,814,771 4.88% 125,165,000 1,814,771 3.434    N/A
   (CTLT)1 Year Chart         CTLT Catalent, Inc. 8 New $55.48 $112,084,000 1,985,551 4.37% 112,084,000 1,985,551 0.955    N/A
   (CPE)1 Year Chart         CPE Callon Petroleum Co 12 New $35.76 $85,582,000 2,393,242 3.34% 85,582,000 2,393,242 3.9    Independent Oil & Gas
   (DOOR)1 Year Chart         DOOR Masonite International (USA) 13 New $132.84 $84,114,000 639,895 3.28% 84,114,000 639,895 2.612    Lumber,Wood Production
   (JNPR)1 Year Chart         JNPR Juniper Networks Inc 14 New $36.16 $80,671,000 2,176,764 3.14% 80,671,000 2,176,764 0.66    Networking & Communic...
   (MGRC)1 Year Chart         MGRC Mcgrath Rentcorp 15 New $104.61 $79,880,000 647,487 3.11% 79,880,000 647,487 2.686    Rental & Leasing Serv...
   (TCN)1 Year Chart         TCN Tricon Residential Ord Shs 18 New $0.00 $47,797,000 4,286,742 1.86% 47,797,000 4,286,742 1.574    N/A
   (ETRN)1 Year Chart         ETRN Equitrans Midstream Corp 20 New $0.00 $46,253,000 3,703,187 1.8% 46,253,000 3,703,187 0.856    N/A
   (INBX)1 Year Chart         INBX Inhibrx, Inc. 21 New $0.00 $36,864,000 1,054,475 1.44% 36,864,000 1,054,475 2.226    N/A
   (ERF)1 Year Chart         ERF ENERPLUS Corp 23 New $20.09 $35,160,000 1,788,406 1.37% 35,160,000 1,788,406 0.804    Diversified Investments
   (STER)1 Year Chart         STER Sterling Check Corp. 25 New $15.20 $32,004,000 1,990,320 1.25% 32,004,000 1,990,320 2.14    N/A
   (VZIO)1 Year Chart         VZIO Vizio Holding Corp. 27 New $0.00 $30,727,000 2,808,648 1.2% 30,727,000 2,808,648 3.301    N/A
   (EVBG)1 Year Chart         EVBG Everbridge, Inc. 28 New $34.75 $29,697,000 852,624 1.16% 29,697,000 852,624 2.221    N/A
   (MDC)1 Year Chart         MDC MDC Holdings Inc 29 New $62.98 $29,466,000 468,382 1.15% 29,466,000 468,382 0.627    Residential Construct...
   (HAYN)1 Year Chart         HAYN Haynes International Inc 32 New $58.14 $21,244,000 353,360 0.83% 21,244,000 353,360 2.642    Aerospace/Defense Pro...
   (SWN)1 Year Chart         SWN Southwestern Energy Co 33 New $6.95 $15,479,000 2,042,022 0.6% 15,479,000 2,042,022 0.204    Independent Oil & Gas
   (SPR)1 Year Chart         SPR Spirit AeroSystems Holdings... 34 New $29.35 $12,681,000 351,562 0.49% 12,681,000 351,562 0.303    Aerospace/Defense Pro...
   (FUSN)1 Year Chart         FUSN Fusion Pharmaceuticals Inc. 35 New $21.55 $12,474,000 585,102 0.49% 12,474,000 585,102 0.808    N/A
   (TGAN)1 Year Chart         TGAN Transphorm Ord Shs 36 New $0.00 $12,113,000 2,466,977 0.47% 12,113,000 2,466,977 4.625    N/A
   (NWLI)1 Year Chart         NWLI National Western Life Insur... 38 New $490.01 $5,484,000 11,148 0.21% 5,484,000 11,148 0.324    Life & Health Insurance
   (EGLE)1 Year Chart         EGLE Eagle Bulk Shipping Inc 39 New $62.60 $5,314,000 85,059 0.21% 5,314,000 85,059 0.678    Water Transportation

      23 Records Found
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