Basic Stats
Insider Profile BRIDGER MANAGEMENT, LLC
Portfolio Value $ 169,556,545
Current Positions 25
Latest Holdings, Performance, AUM (from 13F, 13D)

Bridger Management, Llc has disclosed 25 total holdings in their latest SEC filings. Most recent portfolio value is calculated to be $ 169,556,545 USD. Actual Assets Under Management (AUM) is this value plus cash (which is not disclosed). Bridger Management, Llc’s top holdings are Morgan Stanley (US:MS) , Uber Technologies, Inc. (US:UBER) , Amazon.com, Inc. (US:AMZN) , Teva Pharmaceutical Industries Limited - Depositary Receipt (Common Stock) (US:TEVA) , and Pfizer Inc. (US:PFE) . Bridger Management, Llc’s new positions include NIKE, Inc. (US:NKE) , Citigroup Inc. (GB:TRVCD) , COMPASS Pathways plc - Depositary Receipt (Common Stock) (US:CMPS) , .

Bridger Management, Llc - Portfolio Value
Top Increases This Quarter

We use the change in the portfolio allocation because this is the most meaningful metric. Changes can be due to trades or changes in share prices.

Security Shares
(MM)
Value
(MM$)
Portfolio % ΔPortfolio %
0.12 8.47 4.9927 4.9927
0.09 7.57 4.4654 4.4654
0.01 5.70 3.3594 3.3594
0.01 6.12 3.6083 2.8189
0.01 5.23 3.0855 2.4315
0.15 21.65 12.7681 1.8807
0.13 4.12 2.4319 1.6462
0.01 2.73 1.6109 1.6109
0.69 11.65 6.8698 1.5594
0.08 5.09 3.0006 1.0664
Top Decreases This Quarter

We use the change in the portfolio allocation because this is the most meaningful metric. Changes can be due to trades or changes in share prices.

Security Shares
(MM)
Value
(MM$)
Portfolio % ΔPortfolio %
0.02 8.36 4.9305 -4.9634
0.13 11.93 7.0339 -1.7124
0.52 3.78 2.2300 -0.2973
0.41 9.91 5.8432 -0.0279
0.44 0.01 0.0047 -0.0022
13F and Fund Filings

This form was filed on 2025-08-11 for the reporting period 2025-06-30. Click the link icon to see the full transaction history.

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2022-07-28: Important Note - We have changed the treatment of the Δ Portfolio % column in this table. Previously, we were reporting it as the percent change in the portfolio allocation. We are now reporting it as the raw change in the portfolio allocation (still reported as a percent). In formula terms, we were previously reporting it as 100 * (current allocation - prior allocation ) / prior allocation. We are now reporting it as (current allocation - prior allocation).
Security Type Avg Share Price Shares
(MM)
ΔShares
(%)
ΔShares
(%)
Value
($MM)
Portfolio
(%)
ΔPortfolio
(%)
MS / Morgan Stanley 0.15 -18.12 21.65 -1.15 12.7681 1.8807
UBER / Uber Technologies, Inc. 0.13 -47.06 11.93 -32.21 7.0339 -1.7124
AMZN / Amazon.com, Inc. 0.05 -15.81 11.73 -2.92 6.9186 0.9112
TEVA / Teva Pharmaceutical Industries Limited - Depositary Receipt (Common Stock) 0.69 0.00 11.65 9.04 6.8698 1.5594
PFE / Pfizer Inc. 0.41 -12.30 9.91 -16.11 5.8432 -0.0279
BBWI / Bath & Body Works, Inc. 0.30 -13.27 9.01 -14.30 5.3118 0.0873
NKE / NIKE, Inc. 0.12 8.47 4.9927 4.9927
VRTX / Vertex Pharmaceuticals Incorporated 0.02 -54.26 8.36 -58.00 4.9305 -4.9634
TRVCD / Citigroup Inc. 0.09 7.57 4.4654 4.4654
NVO / Novo Nordisk A/S - Depositary Receipt (Common Stock) 0.10 -14.16 7.20 -14.67 4.2492 0.0514
CZR / Caesars Entertainment, Inc. 0.25 -6.37 7.04 6.32 4.1499 0.8599
FLUT / Flutter Entertainment plc 0.02 -14.59 7.00 10.17 4.1264 0.9691
WYNN / Wynn Resorts, Limited 0.07 -14.28 6.27 -3.84 3.6956 0.4562
MSFT / Microsoft Corporation 0.01 190.78 6.12 285.51 3.6083 2.8189
LLY / Eli Lilly and Company 0.01 5.70 3.3594 3.3594
MASI / Masimo Corporation 0.03 -14.40 5.66 -13.56 3.3376 0.0827
MA / Mastercard Incorporated 0.01 287.92 5.23 297.79 3.0855 2.4315
IBIT / iShares Bitcoin Trust ETF 0.08 0.00 5.09 30.77 3.0006 1.0664
AORT / Artivion, Inc. 0.13 106.20 4.12 160.95 2.4319 1.6462
MLCO / Melco Resorts & Entertainment Limited - Depositary Receipt (Common Stock) 0.52 -45.79 3.78 -25.61 2.2300 -0.2973
MSGS / Madison Square Garden Sports Corp. 0.01 2.73 1.6109 1.6109
TOST / Toast, Inc. 0.05 0.00 2.33 33.54 1.3764 0.5075
NEXT / NextDecade Corporation 0.07 0.00 0.60 14.61 0.3565 0.0941
CMPS / COMPASS Pathways plc - Depositary Receipt (Common Stock) 0.15 0.41 0.2431 0.2431
SRZNW / Surrozen, Inc. - Equity Warrant 0.44 -5.27 0.01 -42.86 0.0047 -0.0022
ALNY / Alnylam Pharmaceuticals, Inc. 0.00 -100.00 0.00 0.0000
ZBH / Zimmer Biomet Holdings, Inc. 0.00 -100.00 0.00 0.0000
EWTX / Edgewise Therapeutics, Inc. 0.00 -100.00 0.00 0.0000
GOOGL / Alphabet Inc. 0.00 -100.00 0.00 0.0000
GDX / VanEck ETF Trust - VanEck Gold Miners ETF 0.00 -100.00 0.00 0.0000
SWTX / SpringWorks Therapeutics, Inc. 0.00 -100.00 0.00 0.0000
LFST / LifeStance Health Group, Inc. 0.00 -100.00 0.00 0.0000
XENE / Xenon Pharmaceuticals Inc. 0.00 -100.00 0.00 0.0000
SPOT / Spotify Technology S.A. 0.00 -100.00 0.00 0.0000