ANGELO GORDON & CO., L.P.

13F Portfolio Filings

Latest 13F report
Q2 2024 - Aug 13, 2024
Value $
$246M
Signature - Title
Christopher Moore - General Counsel
Location
245 Park Avenue, 26 Th Floor, New York, New York
Holdings Value
Quarter Holdings Value $ Bought Sold Net Top Holdings Form Type Date Filed
Q2 2024 30 $246M $0 $0 HOUS, BALY, EDR, AXNX, HES 13F-HR 8/13/2024, 03:00 PM
Q1 2024 24 $276M +$57.8M -$56.3M +$1.49M HOUS, PXD, NEE, MDC, HES 13F-HR 5/14/2024, 04:47 PM
Q4 2023 32 $290M +$137M -$91.8M +$45.5M HOUS, SPLK, PXD, NEE, HES Restatement 5/14/2024, 04:41 PM
Q3 2023 102 $258M +$59.2M -$164M -$105M HOUS, ATVI, HZNP, VMW, SGEN 13F-HR 11/14/2023, 02:01 PM
Q2 2023 88 $367M +$42.5M -$50.3M -$7.88M NOG, HOUS, HZNP, INAQ, ATVI 13F-HR 8/11/2023, 04:01 PM
Q1 2023 114 $399M NOG, HOUS, HZNP, RBCP, INAQ 13F-HR 5/15/2023, 11:00 AM
Q4 2022 101 $495M NOG, HOUS, ACDCW, RBCP, SJR 13F-HR 2/14/2023, 10:04 AM
Q3 2022 143 $416M HOUS, NOG, RBCP, CTXS, AVLR 13F-HR 11/14/2022, 02:00 PM
Q2 2022 168 $853M VST, HOUS, XPRO, SBOW, NOG 13F-HR 8/15/2022, 01:01 PM
Q1 2022 178 $666M +$129M -$133M -$4.69M VST, XPRO, NOG, BVH, HOUS Restatement 5/20/2022, 12:59 PM
Q4 2021 197 $832M +$287M -$15.4M +$272M VST, XPRO, NOG, BVH, AVTRPRA 13F-HR 2/14/2022, 01:01 PM
Q3 2021 231 $876M +$472M -$259M +$213M VST, NOG, BVH, PCGU, XLNX 13F-HR 11/15/2021, 03:00 PM
Q2 2021 179 $856M +$335M -$447M -$112M VST, NOG, CPT, BVH, PCGU 13F-HR 8/16/2021, 12:26 PM
Q1 2021 169 $909M +$320M -$224M +$96M CPT, VST, AVB, NOG, BVH 13F-HR 5/17/2021, 11:54 AM
Q4 2020 81 $1.1B +$555M -$98.5M +$457M SPY, VST, CPT, AVB, NOG 13F-HR 2/16/2021, 02:15 PM
Q3 2020 83 $875M +$406M -$62.1M +$344M IWM, VST, CPT, ACC, SPY 13F-HR 11/16/2020, 02:32 PM
Q2 2020 58 $697M +$345M +$345M IWM, VST, ACC, NOGXXXX, FTACU 13F-HR 8/14/2020, 03:30 PM
Q1 2020 62 $1.31B +$1.02B -$61.6M +$962M SPY, LQD, VST, SPY, AGN 13F-HR 5/14/2020, 04:01 PM
Q4 2019 53 $591M +$28.2M -$30.6M -$2.39M VST, AGN, NOGXXXX, ET, FTACU 13F-HR 2/14/2020, 02:01 PM
Q3 2019 61 $719M +$184M -$61.7M +$123M VST, AGN, NOGXXXX, ET, CELG 13F-HR 11/14/2019, 03:03 PM
Q2 2019 66 $798M +$241M -$18.8M +$222M VST, APC, ET, CELG, IPOA 13F-HR 8/14/2019, 03:30 PM
Q1 2019 64 $973M VST, ET, CELG, RHT, NOGXXXX 13F-HR 5/15/2019, 03:45 PM
Q4 2018 62 $1.46B SPY, VST, ET, RHT, IPOA 13F-HR 2/14/2019, 02:33 PM
Q3 2018 61 $1.08B VST, FOXA, ESRX, NOGXXXX, AET 13F-HR 11/14/2018, 03:09 PM
Q2 2018 79 $1.38B +$516M -$391M +$125M VST, ABCB, FOXA, AET, ET 13F-HR 8/13/2018, 05:29 PM
Q1 2018 77 $1.72B +$392M -$123M +$269M VST, TWX, NXPI, MON, NXPI 13F-HR 5/15/2018, 10:45 AM
Q4 2017 67 $1.73B VST, NXPI, TWX, MON, WELLPRI New Holdings 2/14/2018, 02:17 PM
Q4 2017 67 $1.73B +$231M -$155M +$75.9M VST, NXPI, TWX, MON, WELLPRI 13F-HR 2/13/2018, 08:24 AM
Q3 2017 76 $2.04B +$428M -$107M +$321M VST, NXPI, TWX, TERPXXXX, MON 13F-HR 11/13/2017, 03:33 PM
Q2 2017 80 $1.96B +$884M -$243M +$641M VST, NXPI, TRCO, FRP, TERPXXXX 13F-HR 8/14/2017, 04:04 PM
Q1 2017 71 $1.62B +$594M -$87.8M +$506M TRCO, TMUSP, FRP, TERPXXXX, WELLPRI 13F-HR 5/12/2017, 04:02 PM
Q4 2016 65 $1.36B +$312M -$52.5M +$260M TRCO, FRP, TMUSP, CFCO, SYT 13F-HR 2/13/2017, 04:07 PM
Q3 2016 61 $1.32B +$483M -$47.8M +$435M TRCO, FRP, TMUSP, LNKD, CFCO 13F-HR 11/14/2016, 03:06 PM
Q2 2016 57 $1.42B +$592M -$23.9M +$568M TRCO, EMC, TVPT, FRP, CFCOU 13F-HR 8/15/2016, 04:03 PM
Q1 2016 57 $1.39B +$362M -$99.6M +$262M TRCO, TVPT, BXLT, TWC, FRP 13F-HR 5/16/2016, 04:01 PM
Q4 2015 66 $1.34B +$294M -$111M +$183M TRCO, TVPT, FRP, BRCM, TWC 13F-HR 2/16/2016, 03:45 PM
Q3 2015 1 $17.7M SBLKXXXX New Holdings 2/16/2016, 03:45 PM
Q3 2015 68 $1.36B +$204M -$70.5M +$134M TRCO, TVPT, FRP, TWC, ALTR 13F-HR 11/16/2015, 03:16 PM
Q2 2015 1 $25.5M SBLKXXXX New Holdings 2/16/2016, 03:44 PM
Q2 2015 1 $210M TVPT New Holdings 11/17/2015, 03:09 PM
Q2 2015 71 $1.76B +$527M -$267M +$260M TRCO, TVPT, FRP, A309PS, ALLY 13F-HR 8/14/2015, 04:06 PM
Q1 2015 1 $9M SBLKXXXX New Holdings 2/16/2016, 03:43 PM
Q1 2015 1 $254M TVPT New Holdings 11/17/2015, 03:07 PM
Q1 2015 71 $1.99B +$521M -$177M +$343M TRCO, TVPT, FCAM, FRP, ACTPRA 13F-HR 5/15/2015, 04:06 PM
Q4 2014 1 $274M TVPT New Holdings 11/17/2015, 03:06 PM
Q4 2014 71 $2.04B +$821M -$51.9M +$769M TRCO, TVPT, FRP, TWC, ALLY 13F-HR 2/13/2015, 03:21 PM
Q3 2014 1 $251M TVPT New Holdings 11/17/2015, 03:05 PM
Q3 2014 77 $1.5B +$696M -$137M +$559M TVPT, FRP, SHPG, TWC, ALLY 13F-HR 11/14/2014, 03:05 PM
Q2 2014 68 $1.25B +$464M -$90.6M +$373M FRP, SPY, ALLY, SIRI, FRX 13F-HR 8/14/2014, 04:20 PM
Q1 2014 63 $1.1B +$457M -$30.2M +$427M FRP, SPY, SIRI, AAL, QUAD Restatement 5/27/2014, 05:44 PM
Q4 2013 67 $1.15B LIFE, VODXXXX, FRP, QUAD, SPY 13F-HR 2/14/2014, 02:28 PM