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  • Gurus
  • Event Driven
  • TACONIC CAPITAL ADVISORS LP (Data extracted from 13F, 13D, 13G and Form 4)

TACONIC CAPITAL ADVISORS LP

AUM: $8.76 B
13-F Portfolio Value: $1.09 B
Last 13-F Filed: Q2 2025
Concentration in top 10: 85.68%
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Stock Company % Portfolio Shares Held Market Value Change in Shares % Change Quarter End Price Source
SPYSPDR S&P 500 ETF TR (Put)16.37%289,400$178,805,79084,40041.17%$617.8513F
HESHESS CORP14.43%1,137,289$157,560,018-411,093-26.55%$138.5413F
ANSSANSYS INC14.41%448,099$157,381,331-137,468-23.48%$351.2213F
JNPRJUNIPER NETWORKS INC11.53%3,154,003$125,939,340-2,423,469-43.45%$39.9313F
SNPSSYNOPSYS INC (Call)7.04%150,000$76,902,000100,000200%$512.6813F
CORZCORE SCIENTIFIC INC NEW6.72%4,301,484$73,426,332935,44027.79%$17.0713F
LQDISHARES TR (Put)5.37%370,000$58,606,300370,000New$158.413F
VTOLBRISTOW GROUP INC4.02%1,331,073$43,885,47780,0006.39%$32.9713F
AZEKAZEK CO INC3.18%638,869$34,722,530638,869New$54.3513F
CHXCHAMPIONX CORPORATION2.61%1,146,056$28,468,031-431,186-27.34%$24.8413F
CVXCHEVRON CORP NEW (Call)2.47%188,200$26,948,358188,200New$143.1913F
JNPRJUNIPER NETWORKS INC (Call)1.83%500,000$19,965,000No Change$39.9313F
GNLGLOBAL NET LEASE INC1.44%2,081,972$15,718,889-25,000-1.19%$7.5513F
CBLCBL & ASSOC PPTYS INC1.38%595,300$15,114,66745,3008.24%$25.3913F
EFXTENERFLEX LTD1.28%1,764,900$13,926,432-170,000-8.79%$7.8913F
XLYSELECT SECTOR SPDR TR (Put)0.81%104,900$8,896,569-315,100-75.02%$84.8113F
SATSECHOSTAR CORP0.71%281,590$7,800,043281,590New$27.713F
SIMOSILICON MOTION TECHNOLOGY CO0.6%87,884$6,606,240-30,000-25.45%$75.1713F
BPMCBLUEPRINT MEDICINES CORP0.53%45,000$5,768,10045,000New$128.1813F
SGRYSURGERY PARTNERS INC0.44%217,893$4,843,761-171,447-44.04%$22.2313F
PZZAPAPA JOHNS INTL INC0.35%77,916$3,813,20977,916New$48.9413F
HPEHEWLETT PACKARD ENTERPRISE C0.33%176,491$3,609,241176,491New$20.4513F
CORZCORE SCIENTIFIC INC NEW (Call)0.31%200,000$3,414,000200,000New$17.0713F
HOLXHOLOGIC INC0.26%44,200$2,880,07244,200New$65.1613F
ATUSALTICE USA INC0.24%1,225,000$2,621,500-350,000-22.22%$2.1413F
KVUEKENVUE INC0.18%95,000$1,988,35045,00090%$20.9313F
ETENERGY TRANSFER L P0.17%100,000$1,813,000No Change$18.1313F
BMRNBIOMARIN PHARMACEUTICAL INC0.15%30,000$1,649,100No Change$54.9713F
VSATVIASAT INC0.14%107,763$1,573,340-140,000-56.51%$14.613F
APDAIR PRODS & CHEMS INC0.13%5,000$1,410,300No Change$282.0613F
NTRSNORTHERN TR CORP0.12%10,000$1,267,90010,000New$126.7913F
UUNITY SOFTWARE INC0.12%55,000$1,331,000-10,000-15.38%$24.213F
ILMNILLUMINA INC0.09%10,000$954,100No Change$95.4113F
CSXCSX CORP0.07%25,000$815,75025,000New$32.6313F
NSCNORFOLK SOUTHN CORP0.06%2,500$639,9252,500New$255.9713F
FLDDWFOLD HLDGS INC0.05%716,805$508,932-15,945-2.18%$0.7113F
NETDWNABORS ENERGY TRANSITION COR0.02%429,903$202,054No Change$0.4713F
SLDPWSOLID POWER INC0.00507%147,808$55,428No Change$0.3813F
SVIIRSPRING VALLEY ACQUISTN CORP0.00439%350,000$47,950No Change$0.1413F
SVIIWSPRING VALLEY ACQUISTN CORP0.00357%250,000$38,975No Change$0.1613F
ANSCWAGRICULTURE & NAT SOL ACQ CO0.00343%250,000$37,500No Change$0.1513F
SBCWWSBC MED GROUP HLDGS INC0.00342%193,351$37,336-103,773-34.93%$0.1913F
ISRLWISRAEL ACQUISITIONS CORP0.00307%150,868$33,568No Change$0.2213F
SCAGWSCAGE FUTURE0.00264%239,999$28,800239,999New$0.1213F
ECDAWECD AUTOMOTIVE DESIGN INC0.00217%990,000$23,661No Change$0.0213F
SLNDWSSOUTHLAND HLDGS INC0.00205%70,000$22,400No Change$0.3213F
ZEOWWZEO ENERGY CORP0.00205%350,000$22,365No Change$0.0613F
EMCGREMBRACE CHANGE ACQUISITN COR0.00188%180,000$20,556No Change$0.1113F
DAICWCID HOLDCO INC0.00181%250,000$19,750250,000New$0.0813F
ECDAECD AUTOMOTIVE DESIGN INC0.0018%75,000$19,658No Change$0.2613F
ASBPWASPIRE BIOPHARMA HLDGS INC0.00123%300,000$13,410No Change$0.0413F
PDYNWPALLADYNE AI CORP0.00096%27,503$10,506No Change$0.3813F
TALKWTALKSPACE INC0.00079%122,765$8,594No Change$0.0713F
PERFWSPERFECT CORP0.00076%230,000$8,349No Change$0.0413F
AMBIWSAMBIPAR EMERGENCY RESPONSE0.00062%40,000$6,796No Change$0.1713F
ABLVWABLE VIEW GLOBAL INC0.00049%325,000$5,395No Change$0.0213F
KVACWKEEN VISION ACQUISITION CORP0.00049%100,000$5,400No Change$0.0513F
LANVWSLANVIN GROUP HOLDINGS LIMITE0.00036%208,968$3,970No Change$0.0213F
EMCGWEMBRACE CHANGE ACQUISITN COR0.00033%180,000$3,600No Change$0.0213F
ALXALEXANDERS INC-17,986Exited13F
BTMWWBITCOIN DEPOT INC-399,500Exited13F
COFCAPITAL ONE FINL CORP (Call)-196,700Exited13F
CNTMCONNECTM TECHNOLOGY SOLUTION-16,496Exited13F
DFSDISCOVER FINL SVCS-583,339Exited13F
ETENERGY TRANSFER L P (Call)-100,000Exited13F
HEESH & E EQUIPMENT SERVICES INC-125,000Exited13F
ZCARWZOOMCAR HLDGS INC-432,700Exited13F
SSTKSHUTTERSTOCK INC-63,931Exited13F
SRDXSURMODICS INC-69,000Exited13F
UNFUNIFIRST CORP MASS-13,500Exited13F
XUNITED STATES STL CORP NEW-35,085Exited13F
XUNITED STATES STL CORP NEW (Call)-450,000Exited13F
QQQINVESCO QQQ TR (Put)-70,000Exited13F
ITCIINTRA-CELLULAR THERAPIES INC-443,700Exited13F
GATEWMARBLEGATE ACQUISITION CORP-92,203Exited13F
MLWSMONEYLION INC-81,233Exited13F
COOPMR COOPER GROUP INC-12,346Exited13F
AACTWSARES ACQUISITION CORP II-125,000Exited13F
IVCAWINVESTCORP AI ACQUISITION CO-125,000Exited13F
DECAWDENALI CAPITAL ACQUISITN COR-257,500Exited13F