BARDIN HILL MANAGEMENT PARTNERS LP
13F Portfolio Filings
- Most recent 13FQ4 2024
- Locationnew york, NY
- CIK0001616416
- Alternate namesHalcyon Management Partners LP
- All SEC filings
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 |