BARDIN HILL MANAGEMENT PARTNERS LP

13F Portfolio Filings

  • Most recent 13F
    Q4 2024
  • Location
    new york, NY
  • CIK
    0001616416
  • Alternate names
    Halcyon Management Partners LP
  • All SEC filings
Q4 2024
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

32

$210.46M
NEXT, K, HCP, BA
13F-HR
Feb 13, 2025
000161641625000003

36

$214.66M
NEXT, AXNX, HCP, AMED
13F-HR
Nov 14, 2024
000161641624000015

34

$246.15M
NEXT, RDO, EDR, AMED
RESTATEMENT
Sep 11, 2024
000161641624000013

40

$241.00K
NEXT, PXD, HOLLYSYS AUTOMATION TECHNOLO, EDR
13F-HR
May 15, 2024
000161641624000007

52

$235.00K
NEXT, PXD, NEOGAMES S A, FERROGLOBE PLC
13F-HR
Feb 14, 2024
000161641624000002

60

$311.00K
NEXT, SGEN, VMW, HORIZON THERAPEUTICS PUB L
13F-HR
Nov 14, 2023
000161641623000011

62

$388.00K
NEXT, HORIZON THERAPEUTICS PUB L, AIY, UNVR
13F-HR
Aug 14, 2023
000161641623000006

69

$405.00K
NEXT, YRI, HORIZON THERAPEUTICS PUB L, XM
13F-HR
May 12, 2023
000161641623000004

76

$458.00K
NEXT, STORE CAP CORP, YRI, MYOVANT SCIENCES LTD
13F-HR
Feb 14, 2023
000161641623000002

94

$434.16M
NEXT, SWCH, BIOHAVEN LTD, CTXS
13F-HR
Nov 14, 2022
000161641622000008

86

$383.65M
NEXT, CDK, SWCH, BIOHAVEN PHARMACTL HLDG CO L
13F-HR
Aug 12, 2022
000161641622000006

89

$460.17M
NEXT, FOE, FXLV, FERROGLOBE PLC
13F-HR
May 16, 2022
000161641622000004

94

$478.27M
NUAN, FXLV, IHS MARKIT LTD, NEXT
13F-HR
Feb 14, 2022
000161641622000002

94

$618.87M
FXLV, NUAN, KSU, WTW
13F-HR
Nov 15, 2021
000161641621000014

90

$569.08M
WORK, NEXT, WTW, PFPT
13F-HR
Aug 16, 2021
000161641621000011

94

$539.55M
RP, GWPH, WORK, WTW
13F-HR
May 14, 2021
000161641621000004

44

$479.12M
VAR, WTW, VRTU, WORK
13F-HR
Feb 16, 2021
000161641621000002

33

$376.72M
WTW, NEXT, CLGX, VAR
13F-HR
Nov 16, 2020
000161641620000010

27

$273.13M
1964632D, ADSW, 1816375D, BWA
13F-HR
Aug 14, 2020
000161641620000008

34

$457.46M
ADSW, TSGI, ALLERGAN PLC, 1897377D
13F-HR
May 15, 2020
000161641620000004

33

$608.02M
WCG, ALLERGAN PLC, NEXT, 1816375D
13F-HR
Feb 14, 2020
000161641620000002

33

$576.54M
CELG, NEXT, WCG, GWR
13F-HR
Nov 14, 2019
000161641619000013

32

$723.08M
RHT, LLL, NEXT, TRIBUNE MEDIA CO
13F-HR
Aug 14, 2019
000161641619000011

31

$638.68M
RHT, CELG, NEXT, FDC
13F-HR
May 15, 2019
000161641619000008

26

$511.92M
NWS/A, NEXT, 1806854D, IDTI
13F-HR
Feb 14, 2019
000161641619000004

28

$802.48M
AETNA INC NEW, ANDV, ESRX, SHPG
13F-HR
Nov 14, 2018
000161641618000018

31

$772.39M
AETNA INC NEW, NWS, NEXT, XL GROUP LTD
13F-HR
Aug 14, 2018
000161641618000013

29

$712.03M
TRIBUNE MEDIA CO, AETNA INC NEW, RWC, NXPI
13F-HR
May 15, 2018
000161641618000009

31

$685.16M
NXPI, NEXT, TRIBUNE MEDIA CO, RWC
13F-HR
Feb 14, 2018
000161641618000003

31

$577.19M
NEXT, NXPI, DGI, 1850242D
13F-HR
Nov 14, 2017
000161641617000019

25

$433.80M
NXPI, DGI, MOBILEYE N V AMSTELVEEN, 1856613D
13F-HR
Aug 14, 2017
000161641617000014

26

$503.78M
RAI, 0MJA, SYT, NXPI
13F-HR
May 15, 2017
000161641617000011

26

$419.45M
1482276D, RAI, NXPI, STJ
13F-HR
Feb 14, 2017
000161641617000006

22

$361.90M
ITC, 1482276D, SYT, LNKD
13F-HR
Nov 14, 2016
000161641616000030

30

$403.05M
NT 2.125 04/15/14, ITC, LNKD, VALSPAR CORP
13F-HR
Aug 15, 2016
000161641616000024

21

$341.87M
NT 2.125 04/15/14, JAH, TIME WARNER CABLE INC, ITC
13F-HR
May 16, 2016
000161641616000020

37

$253.10M
HUM, ARG, HNT, WMB
13F-HR
Feb 16, 2016
000161641616000014

55

$390.22M
HUM, HNT, HME, CYN
13F-HR
Nov 16, 2015
000161641615000011

75

$723.71M
1448062D, 1541931D, 9999945D, BHI
13F-HR
Aug 14, 2015
000161641615000009

105

$701.22M
SALIX PHARMACEUTICALS INC, TLM, PCYC, DRC
13F-HR
May 15, 2015
000161641615000006

92

$929.63M
1284849D, 1938828D, COVIDIEN PLC, CBST
13F-HR
Feb 17, 2015
000161641615000003

95

$1.46B
SHPG, TIME WARNER CABLE INC, COVIDIEN PLC, 1284849D
13F-HR
Nov 14, 2014
000161641614000004

103

$1.68B
TIME WARNER CABLE INC, COVIDIEN PLC, HSH, QPH
13F-HR
Aug 14, 2014
000161641614000003