"Doesn’t matter if the glass is half-empty or half-full. All that matters is that you are the one pouring the water."
- Mark Cuban
Symbol Company Shares Allocation (%)
SPY SPDR S&P 500 3,837,366 10.27
C Citigroup Inc. 9,733,639 7.52
QQQ PowerShares QQQ Trust Series 1 5,750,000 7.22
GT Goodyear Tire & Rubber Co. 18,843,154 6.73
UAL United Continental Holdings Inc. 8,523,821 4.17
DAL Delta Air Lines Inc. 8,400,000 3.15
HCA HCA Holdings Inc. 4,573,082 3.11
MET MetLife Inc. 4,031,818 3.01
GM General Motors Company 4,983,202 2.85
LCC US Airways Group Inc. 9,385,636 2.83
QCOM QUALCOMM Incorporated 2,517,323 2.70
HUN Huntsman Corporation 7,816,166 2.56
DIA SPDR Dow Jones Industrial Average 1,000,000 2.40
AIG American International Group Inc. 2,778,848 2.15
MGM MGM Resorts International 6,576,869 2.14
PRU Prudential Financial Inc. 1,692,581 2.10
F Ford Motor Company 7,698,815 2.07
GOOGL Google Inc. 144,909 2.02
HIG Hartford Financial Services Group Inc. 4,052,770 2.01
AAPL Apple Inc. 244,120 1.85
FLR Fluor Corporation 1,459,629 1.65
RIG Transocean Ltd. 2,259,167 1.60
CBI Chicago Bridge & Iron Company 1,471,044 1.59
OC Owens Corning 2,459,292 1.49
EMC EMC Corporation 3,389,569 1.38
TEX Terex Corporation 2,356,969 1.26
CE Celanese Corporation 1,416,401 1.19
KBR KBR Inc. 2,137,317 1.11
WHR Whirlpool Corporation 475,470 1.11
AXLL.W Georgia Gulf Corp 1,840,215 1.11
MAS Masco Corporation 3,037,517 1.03
FCX Freeport-McMoran Copper & Gold Inc. 1,754,639 0.92
JPM JPMorgan Chase & Co. 1,116,600 0.92
TRN Trinity Industries Inc. 1,228,139 0.89
BRCM Broadcom Corporation 2,064,336 0.85
MWA Mueller Water Products Inc. 5,733,825 0.73
DLPH Delphi Automotive PLC 783,311 0.73
FWLT Foster Wheeler AG. 1,501,470 0.63
HTZ Hertz Global Holdings Inc. 1,500,000 0.53
HES Hess Corporation 420,180 0.52
BAC Bank of America Corporation 2,219,607 0.49
CCL Carnival Corporation 903,619 0.47
BERY Berry Plastics Group 1,277,802 0.41
SNDK SanDisk Corporation 424,934 0.40
LNC Lincoln National Corporation 550,465 0.37
BZH Beazer Homes USA Inc. 1,210,943 0.35
INGR Ingredion Incorporated 297,452 0.31
ASH Ashland Inc. 169,665 0.25
MPG MPG Office Trust Inc. 3,967,674 0.20
SEE Sealed Air Corporation 453,718 0.20
BOYD BOYDS COLLECTION, LTD. (THE) 803,248 0.18
CYH Community Health Systems Inc. 210,000 0.14
THC Tenet Healthcare Corporation 210,000 0.14
CIM Chimera Investment Corporation 2,830,152 0.14
DF Dean Foods Co 428,792 0.13
FIO Fusion-io Inc. 495,973 0.11
JCP J.C. Penney Company Inc. 737,800 0.10
PGEM Ply Gem Holdings 439,858 0.10
TEN Tenneco Inc. 102,348 0.08
GMWSA General Motors Company 175,561 0.07
GMWSB General Motors Company 175,561 0.05

Disclaimer: Performance data not available for professional investor profiles. Holdings reflect SEC filing information for APPALOOSA MANAGEMENT LP. All data on this profile as of 9/30/2013.