HBK INVESTMENTS L P

Holdings as of 2026-06-30, filed 2026-09-16

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 78 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
276
Value reported by manager
$10.3B
Sum of our stored positions
$10.3B
should match the line above
Disclosure lag
78 d
quarter end to filing
Top 5 concentration
31.7%
of the positions shown
New positions
245
vs previous quarter
Exited
1
vs previous quarter
Option positions
59
puts and calls

Positions

200 largest shown
IssuerClassValueSharesTypeCUSIP
TOPBUILD CORCOM$930.6M2,625,00089055F103
ELECTRONIC ARTS INCCOM$654.1M3,190,000285512109
PENUMBRA INCCOM$580.5M1,838,50870975L107
NORFOLK SOUTHN CORPCOM$550.5M1,750,000655844108
KENVUE INCCOM$535.1M28,000,00149177J102
WARNER BROS DISCOVERY INCCOM SER A$505.6M18,965,932934423104
BIO-TECHNE CORPCOM$482.2M6,825,00009073M104
NUVALENT INCCOM$430.2M3,483,100670703107
APOGEE THERAPEUTICS INCCOM$378.3M2,850,00003770N101
CHART INDS INCCOM$373.8M1,789,09216115Q308
STATE STR SPDR S&P 500 ETF TTR UNIT$349.4M467,900Put78462F103
TECK RESOURCES LTDCL B$343.3M5,773,121878742204
JANUS HENDERSON GROUP PLCORD SHS$267.8M5,149,300G4474Y214
GAMESTOP CORPNOTE 6/1$257.8M253,521,00036467WAG4
INVESCO QQQ TRUNIT SER 1$225.6M306,400Put46090E103
SILICON LABORATORIES INCCOM$218.6M1,000,000826919102
NVIDIA CORPORATIONCOM$206M1,029,400Put67066G104
STATE STR SPDR S&P 500 ETF TTR UNIT$187.5M251,100Call78462F103
ROKU INCCOM CL A$163.6M1,184,33477543R102
AES CORPCOM$162.3M11,070,83900130H105
ISHARES TRRUSSELL 2000 ETF$159.9M532,300Put464287655
LIBERTY BROADBAND CORPCOM SER C$149.5M4,495,095530307305
VALARIS LTDCL A$114.4M1,575,143G9460G101
NEBIUS GROUP N.V.SHS CLASS A$109.7M397,200PutN97284108
CATALYST PHARMACEUTICALS INCCOM$88.6M2,820,30214888U101
DPC HOLDINGS PLCORDINARY SHARES$59.1M1,482,881G2R11M108
UBER TECHNOLOGIES INCNOTE 5/1$47M40,575,00090353TAS9
TXNM ENERGY INCNOTE 5.750% 6/0$45.1M34,500,00069349HAF4
ALIGNMENT HEALTHCARE INCNOTE 4.250%11/1$44M25,600,00001625VAB0
MAKEMYTRIP LIMITED MAURITIUSNOTE 7/0$43.3M47,500,00056087FAD6
HEWLETT PACKARD ENTERPRISE C7.625 MAND CONV$41M350,00042824C208
SPACE EXPLORATION TECHN CORPCLASS A COM STK$40.6M237,50084615Q103
FRESHPET INCNOTE 3.000% 4/0$39.9M34,160,000358039AB1
ARK 21SHARES BITCOIN ETFSHS BEN INT$38.3M1,966,887040919102
VANGUARD INDEX FDSPUT$35.3M162,200Put922908744
PELOTON INTERACTIVE INCNOTE 5.500%12/0$34.8M21,500,00070614WAD2
COOPER COS INCCOM$31.7M441,651216648501
CONCENTRA GROUP HOLDINGS PARCOMMON STOCK$31.1M1,044,61420603L102
RIVIAN AUTOMOTIVE INCNOTE 3.625%10/1$30.3M28,200,00076954AAD5
SOLVENTUM CORPCOM SHS$29.9M388,02283444M101
NEWS CORP NEWCL A$29.4M1,183,66465249B109
TXNM ENERGY INCCOM$27.5M484,93869349H107
ANI PHARMACEUTICALS INCNOTE 2.250% 9/0$26.1M20,150,00000182CAC7
UBER TECHNOLOGIES INCCOM$26.1M361,43490353T100
SIRIUSXM HOLDINGS INCCOMMON STOCK$25.1M848,845829933100
COMCAST CORP NEWCL A$23M937,00220030N101
SIRIUSXM HOLDINGS INCCOMMON STOCK$22.8M773,400Call829933100
TESLA INCCOM$22.2M52,800Put88160R101
HOWMET AEROSPACE INCCOM$22M82,000Put443201108
TRIPADVISOR INCCOM$20.8M1,514,728896945201
ISHARES TRRUS 2000 GRW ETF$19.7M50,000Put464287648
SILVERCORP METALS INCNOTE 4.750%12/1$19.5M8,000,00082835PAB9
REDWOOD TRUST INCNOTE 7.750% 6/1$19.2M18,875,000758075AF2
GAMESTOP CORPCL A$18.1M820,200Put36467W109
MATTEL INCCOM$18M1,300,000577081102
CENTERPOINT ENERGY INCNOTE 4.250% 8/1$17.9M14,895,00015189TBD8
STRATEGY INCCL A NEW$16.4M188,700Put594972408
MARRIOTT VACATIONS WORLDWIDENOTE 3.250%12/1$16.3M16,500,00057164YAF4
ALIBABA GROUP HLDG LTDNOTE 0.500% 6/0$16.2M13,700,00001609WBG6
TRIPADVISOR INCCOM$16.2M1,179,500Put896945201
GAMESTOP CORPCL A$16.1M729,66536467W109
PENNYMAC CORPNOTE 8.500% 6/0$15.7M15,250,00070932AAH6
FIDELITY ETHEREUM FDSHS$15.4M980,00831613E103
FORTUNA MNG CORPNOTE 3.750% 6/3$15.4M10,000,000349915AE8
DELTA AIR LINES INCCOM NEW$14.7M156,900Put247361702
QUANTINUUM INCCL A COM$14.7M179,46274768A104
GAMESTOP CORPCL A$14.5M657,000Call36467W109
INTEGER HLDGS CORPCOM$14.5M155,18645826H109
VERSIGENT PLCORDINARY SHARES$14.4M343,706G9600F104
DIGITAL RLTY TR INCCOM$14.4M80,000253868103
ARM HOLDINGS PLCSPONSORED ADS$14.2M40,100Put042068205
SELECT SECTOR SPDR TRST STR FINL ETF$13.7M255,300Put81369Y605
VELOCITY FINL INCCOM$13.6M737,500Put92262D101
INVESCO QQQ TRUNIT SER 1$13.3M18,000Call46090E103
PAR TECHNOLOGY CORPNOTE 1.000% 1/1$13.1M16,200,000698884AH6
MEDLINE INCCOM CL A$12.8M325,00058507V107
COREWEAVE INCCOM CL A$12.4M124,800Put21873S108
WALMART INCCOM$12.1M107,000Put931142103
SPDR SERIES TRUSTST STR P500ETF$12.1M137,61678464A854
NEXTERA ENERGY INCUNIT 02/15/2029$12M250,00065339F655
CAPITAL SOUTHWEST CORPNOTE 5.125%11/1$11.3M10,763,000140501AE7
CHARTER COMMUNICATIONS INCCL A$11M77,000Put16119P108
COSTCO WHOLESALE CORPORATIONCOM$10.4M11,100Put22160K105
VERTEX INCNOTE 0.750% 5/0$9.9M11,000,00092538JAB2
ALPHABET INCCAP STK CL C$9.9M27,900Put02079K107
ATLANTA BRAVES HLDGS INCCOM SER C$9.6M185,872047726302
VIAVI SOLUTIONS INCCOM$9.6M200,000925550105
ENCORE CAP GROUP INCCOM$9.5M102,000Put292554102
NIO INCNOTE 4.625%10/1$9.3M9,300,00062914VAK2
GLADSTONE CAP CORPNOTE 5.875%10/0$9.2M9,500,000376535AG5
FLUOR CORPCOM$8.4M160,953343412102
IMAX CORPCOM$8.1M202,16045245E109
BANK OF AMER CORPCOM$7.9M138,900Put060505104
FORTRESS VALUE ACQU CORP VORD SHS CL A$7.6M750,000G3645T104
PENNYMAC MTG INVT TRCOM$7.5M666,700Put70931T103
KPET ULTRA PACELINE CORPORD CL A$7.5M750,006G53157106
PERSHING SQUARE USA LTDCOM SHS$7.5M200,00071531T105
AVERIN CAP ACQUISITION CORPORD SHS CL A$7.5M750,006G0679A100
CITIGROUP INCCOM NEW$7.4M52,900Put172967424
GORES HOLDINGS XI INCUNIT 06/24/2031$7.4M725,000G40008123
JENA ACQUISITION CORP IIUSD CL A ORD SHS$7.3M699,900G5093B105
GENERAL CATALYST GBL RESIL MCL A$7.1M700,004G3793T104
ZIFF DAVIS INCDEBT 3.625% 3/0$7M7,000,00048123VAH5
KRAKACQUISITION CORPORATIONCL A ORD SHS$7M700,004G5315G106
FMC CORPCOM NEW$6.8M595,200302491303
ICAHN ENTERPRISES LPDEPOSITARY UNIT$6.8M944,500Put451100101
ALPHABET INCDEP SHS RP1/20 B$6.7M133,80002079K602
RMG ML SPORTS HOLDINGSUNIT 06/05/2031$6.5M650,000G7610P120
BLACKLINE INCNOTE 1.000% 6/0$6.5M7,005,00009239BAF6
ISHARES TRRUS 1000 VAL ETF$6.4M26,600Put464287598
CINEMARK HLDGS INCCOM$6.3M200,000Put17243V102
INVESCO EXCHANGE TRADED FD TS&P500 EQL WGT$6.3M29,400Put46137V357
LIFTOFF MOBILE INCCOM$6.2M256,25053229X101
INNIO NVORDINARY SHARES$6M152,500N52A8C105
CH4 NATURAL SOLUTIONS CORPORD SHS CL A$5.9M600,000G2104X101
GAMESTOP CORPNOTE 4/0$5.9M5,750,00036467WAE9
DATADOG INCCL A COM$5.8M22,24923804L103
TRIPADVISOR INCCOM$5.7M413,700Call896945201
ARES CAPITAL CORPCOM$5.6M300,000Put04010L103
HONEYWELL AEROSPACE INCCOM$5.5M25,00443849R105
PG&E CORPPFD CONV SER A$5.4M130,00069331C306
NEXTERA ENERGY INCUNIT 06/01/2027$5.4M100,00065339F663
ARTIUS II ACQUISITION INCSHS CL A$5.2M499,998G0509J115
GORES HLDGS X INCSHS CL A$5.2M500,000G4002F109
ARES CAPITAL CORPCOM$5.2M279,700Call04010L103
SUPER MICRO COMPUTER INC7 DEP CM SR A WI$5.1M100,00086800U500
COLOMBIER ACQUISITION CORP IORD SHS CL A$5.1M500,008G2284A103
ONEIM ACQUISITION CORPORD SHS CL A$5M500,004G6S74K106
DRUGS MADE IN AMER ACQ II COUSD ORD SHS$5M500,000G2851K104
ALUSSA ENERGY ACQUISIT CORPORD SHS CL A$5M500,001G0233J100
AMERICAN DRIVE ACQUISITION CUSD CL A ORD SHS$5M500,001G0R91M105
SNOW ROTHSCHILD ACQUISITIONUNIT 05/22/2031$5M500,000G8251A125
HIMS & HERS HEALTH INCCOM CL A$5M143,800Put433000106
BOLD EAGLE ACQUISITION CORPCL A$4.8M450,000G2003N105
DANAHER CORP DELCOM$4.7M24,900Put235851102
CANTOR EQUITY PARTNERS IV INSHS CL A$4.7M450,000G1828E100
INFINITE EAGLE ACQUISITION CCL A$4.6M450,000G4802J103
LIFEWAY FOODS INCCOM$4.5M150,000531914109
WOLFSPEED INCCOMMON STOCK$4.4M90,600Put97785W106
AMERICAN EXCEPTIONALISM ACQUORD CL A$4.1M350,000G0273J101
KARBON CAP PARTNERS CORPORD SHS CL A$4M400,004G5225W100
WILCO 63 CORPUNIT 05/29/2031$4M400,000G9640P120
BOBS DISC FURNITURE INCCOM SHS$4M250,00009681N106
ADVANCED MICRO DEVICES INCCOM$4M6,800Put007903107
PPL CORPUNIT 02/15/2029$3.9M80,00069351T866
PERIMETER ACQUISITION CORP ICOM CL A$3.8M360,000G7010A129
FMC CORPCOM NEW$3.5M308,000Call302491303
SILVERBOX CORP VORD SHS CL A$3.5M350,001G8148S107
IRENIC ACQUISITION CORPORD SHS CL A$3.5M350,004G4939F107
HONEYWELL INTL INCCOM$3.4M15,004438516205
CHURCHILL CAP CORP XIICL A ORD SHS$3.2M300,010G2131M102
ENTREPRENEURSHARES SERIES TRERSH PRI PUB ETF$3.2M150,445293828877
CHURCHILL CAP CORP XICL A ORD SHS$3.1M180,000G2131A108
SIDDHI ACQUISITION CORPCL A SHS$3.1M300,000G8118C124
GMR SOLUTIONS INCCOM CL A$3.1M200,00038013D106
FUTURECREST ACQUISITION CORPCL A ORD SHS$3.1M299,916G3730U107
SOLARIUS CAPITAL ACQU CORPSHS CL A$3.1M300,000G82617104
ARCHER AVIATION INCCOM CL A$3.1M650,00003945R102
CANTOR EQUITY PARTNERS VII ICL A ORD SHS$3M300,000G1828W100
LONG TABLE GROWTH CORPUNIT 05/29/2031$3M300,000G5701H122
ELLINGTON FINANCIAL INCCOM$2.7M200,000Put28852N109
AMAZON COM INCCOM$2.7M11,300Put023135106
1RT ACQUISITION CORP.USD CL A ORD SHS$2.6M249,304G6757R105
PYROPHYTE ACQUISITION CORP.CL A SHS$2.6M250,000G7309T102
TETRA TECH INC NEWCOM$2.5M87,92388162G103
HIGHVIEW MERGER CORPORD SH CL A$2.5M250,000G4569C101
HCM IV ACQUISITION CORPORD USD CL A$2.5M250,004G4365S102
ARCHIMEDES TECH SPAC PTNRS IORD SHS$2.5M250,004G0453R105
PALOMA ACQUISITION CORP IORD SHS CL A$2.5M250,002G6881J102
PAR TECHNOLOGY CORPCOM$2.4M139,666698884103
BLACKSTONE SECD LENDING FDCOMMON STOCK$2.4M100,000Put09261X102
GRAYSCALE ETHEREUM STAKINGSHS NEW$2.3M152,62138964R203
CLEVELAND-CLIFFS INC NEWCOM$2.3M240,000185899101
STATE STR SPDR S&P 500 ETF TTR UNIT$2.1M2,78278462F103
CANTOR EQUITY PARTNERS VI INCL A ORD SHS$2.1M200,000G1828R101
BAIN CAP GSS INVT CORPORD CL A$2.1M200,005G0R78B106
UBER TECHNOLOGIES INCCOM$2M28,400Put90353T100
UBER TECHNOLOGIES INCCOM$2M28,400Call90353T100
SAFEGUARD ACQUISITION CORPCL A ORD SHS$2M200,002G77676107
GENERAL PURP ACQUISITION CORUSD CL A ORD SHS$2M200,002G3810N106
GOODYEAR TIRE & RUBR COCOM$2M300,000Put382550101
JPMORGAN CHASE & COCOM$1.9M5,900Put46625H100
CVR ENERGY INCCOM$1.9M70,000Put12662P108
STAG INDUSTRIAL INCCOM$1.9M50,000Put85254J102
CHEVRON CORPORATIONCOM$1.9M11,200Put166764100
KRANESHARES TRUSTCSI CHI INTERNET$1.8M74,000Put500767306
STRATEGY INCCL A NEW$1.6M18,227594972408
TRUMP MEDIA & TECHNOLOGY GROCOM$1.6M204,500Call25400Q105
SCHWAB CHARLES CORPCOM$1.6M17,000Put808513105
CANTOR EQUITY PARTNERS V INCSHS CL A S$1.5M150,000G1828S109
CURBLINE PPTYS CORPCOM$1.5M50,00023128Q101
RICE ACQUISITION CORP 3ORD SHS CL A$1.4M135,000G7553X106
CHEVRON CORPORATIONCOM$1.3M8,121166764100
PAR TECHNOLOGY CORPCOM$1.3M77,000Call698884103
VERIZON COMMUNICATIONS INCCOM$1.3M30,300Put92343V104
FIGX CAP ACQUISITION CORP.USD CL A ORD SHS$1.3M125,002G3473K100
OAKTREE SPECIALTY LENDINGCOM$1.2M100,000Put67401P405
NRG ENERGY INCCOM NEW$1.2M8,000629377508
NIO INCSPON ADS$1.1M225,500Put62914V106
INTUITIVE SURGICAL INCCOM NEW$1.1M2,800Put46120E602
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-09-16