13F Filings History of Corvex Management LP

Latest 13F report
Q3 2025 - 14 Nov 2025
Value $
$2,791,974,880
Signature - Title
Keith Meister - Managing Partner
Location
New York, NY
Summary
This page shows a list of all the recent 13F filings made by Corvex Management LP. Form 13F is required to be filed within 45 days of the end of a calendar quarter. Corvex Management LP reported 28 stock holdings with total value $2,791,974,880 as of Q3 2025. Top holdings included SWX, ILMN, WGS, AMZN, and MGM.

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Holdings Value
Quarter Holdings Value $ Bought Sold Net Top Holdings Form Type Filing Time
Q3 2025 28 $2,791,974,880 +$690,112,237 -$340,026,550 +$350,085,687 SWX, ILMN, WGS, AMZN, MGM 13F-HR 14 Nov 2025, 16:01
Q2 2025 30 $2,362,227,790 +$191,801,927 -$578,455,877 -$386,653,950 SWX, ILMN, WGS, MGM, AMZN 13F-HR 14 Aug 2025, 16:02
Q1 2025 32 $2,575,643,217 +$347,786,724 -$267,433,041 +$80,353,683 SWX, ILMN, DLTR, WGS, MGM 13F-HR 15 May 2025, 16:01
Q4 2024 1 $24,917,861 $0 $0 $0 HSII New Holdings 15 May 2025, 16:02
Q4 2024 34 $2,749,149,036 +$493,331,238 -$191,974,760 +$301,356,478 SWX, VSTS, ILMN, DLTR, MGM 13F-HR 14 Feb 2025, 16:03
Q3 2024 30 $2,441,701,092 +$178,805,541 -$44,665,795 +$134,139,746 SWX, ILMN, MDU, VSTS, MGM 13F-HR 14 Nov 2024, 16:00
Q2 2024 33 $2,117,186,448 +$410,937,248 -$180,189,466 +$230,747,782 SWX, MGM, MDU, ILMN, VSTS 13F-HR 14 Aug 2024, 16:00
Q1 2024 32 $1,968,574,352 +$292,044,110 -$398,350,187 -$106,306,077 SWX, MGM, MDU, ILMN, AMZN 13F-HR 15 May 2024, 16:00
Q4 2023 31 $1,863,211,527 +$206,090,434 -$368,259,565 -$162,169,131 SWX, MGM, MDU, ILMN, FMX 13F-HR 14 Feb 2024, 16:02
Q3 2023 48 $1,853,456,556 +$681,880,260 -$767,847,051 -$85,966,791 MGM, SWX, MDU, KNF, EDR 13F-HR 14 Nov 2023, 16:00
Q2 2023 44 $2,033,230,557 +$626,229,658 -$619,920,355 +$6,309,303 MGM, CTLT, MDU, FMX, SWX 13F-HR 14 Aug 2023, 17:00
Q1 2023 35 $2,033,148,556 +$591,939,751 -$344,321,479 +$247,618,272 MDU, MGM, IWM, FMX, CEG 13F-HR 15 May 2023, 16:03
Q4 2022 30 $1,929,398,261 +$555,724,567 -$233,430,076 +$322,294,491 MDU, MGM, ATVI, FMX, CRC 13F-HR 14 Feb 2023, 14:56
Q3 2022 32 $1,706,486,000 +$472,528,427 -$61,126,502 +$411,401,925 MDU, MGM, FMX, CRC, CEG 13F-HR 14 Nov 2022, 15:02
Q2 2022 35 $1,574,058,105 +$709,654,935 -$164,437,242 +$545,217,693 MDU, MGM, CRC, MSFT, GOOGL 13F-HR 15 Aug 2022, 16:00
Q1 2022 33 $1,581,613,168 +$555,369,088 -$601,667,596 -$46,298,508 MGM, FIVN, CEG, MSFT, AMZN 13F-HR 16 May 2022, 16:00
Q4 2021 1 $138,471,000 $0 PLAN New Holdings 18 Mar 2022, 16:00
Q4 2021 34 $2,536,051,170 +$295,441,216 -$297,829,562 -$2,388,346 MGM, GOOGL, MSFT, FIVN, PLAN 13F-HR 14 Feb 2022, 15:00
Q3 2021 32 $2,281,183,000 +$371,483,208 -$294,181,054 +$77,302,154 MGM, GOOGL, AMZN, FIVN, MSFT 13F-HR 15 Nov 2021, 16:00
Q2 2021 34 $2,236,545,000 +$329,178,949 -$287,812,026 +$41,366,923 MGM, AMZN, GOOGL, EXC, TMUS 13F-HR 16 Aug 2021, 16:01
Q1 2021 44 $2,013,410,000 +$585,963,596 -$827,213,994 -$241,250,398 MGM, EXC, TMUS, GOOGL, AMZN 13F-HR 17 May 2021, 16:01
Q4 2020 37 $2,801,755,000 +$1,229,850,858 -$205,263,902 +$1,024,586,956 MGM, SPY, ATUS, ATVI, FE 13F-HR 16 Feb 2021, 15:01
Q3 2020 33 $1,740,042,000 +$446,100,069 -$190,877,471 +$255,222,598 MGM, EXC, TMUS, GLD, BABA 13F-HR 16 Nov 2020, 15:01
Q2 2020 28 $1,643,739,000 +$738,170,948 -$205,534,040 +$532,636,908 MGM, IACXXXX, TMUS, NSC, BABA 13F-HR 14 Aug 2020, 16:01
Q1 2020 28 $1,292,713,000 +$644,601,886 -$58,767,786 +$585,834,100 MGM, BABA, ZEN, NSC, ATUS 13F-HR 15 May 2020, 16:02
Q4 2019 23 $2,168,358,000 +$884,401,362 -$233,568,330 +$650,833,032 MGM, QQQ, FANG, MSGS, FSCT 13F-HR 14 Feb 2020, 15:00
Q3 2019 31 $2,017,576,000 +$830,142,445 -$57,246,616 +$772,895,829 MGM, FANG, SPY, MSGS, ZEN 13F-HR 14 Nov 2019, 15:01
Q2 2019 34 $2,645,472,000 +$1,579,523,248 -$91,771,046 +$1,487,752,202 MGM, SPY, FANG, GOOGL, AAPL 13F-HR 14 Aug 2019, 16:00
Q1 2019 22 $1,433,022,000 +$725,665,448 -$244,509,253 +$481,156,195 MGM, FANG, QQQ, TMUS, ADBE 13F-HR 15 May 2019, 16:00
Q4 2018 24 $2,688,792,000 +$2,155,919,028 -$139,995,694 +$2,015,923,334 SPY, FANG, QQQ, MGM, IWM 13F-HR 14 Feb 2019, 15:00
Q3 2018 29 $2,178,894,000 +$494,288,484 -$386,881,266 +$107,407,218 EGN, MHK, NXPI, MSFT, MGM 13F-HR 14 Nov 2018, 15:01
Q2 2018 26 $2,070,298,000 +$665,979,214 -$370,275,271 +$295,703,943 EGN, NXPI, META, BAC, MSFT 13F-HR 14 Aug 2018, 16:07
Q1 2018 27 $2,201,745,000 +$807,709,860 -$377,564,342 +$430,145,518 EGN, NOW, TWX, META, LUMNXXXX 13F-HR 15 May 2018, 16:09
Q4 2017 22 $2,077,049,292 +$453,925,701 -$171,913,108 +$282,012,593 EGN, BAC, EVHC, GOOGL, META 13F-HR 14 Feb 2018, 15:18
Q3 2017 26 $2,658,180,000 +$732,141,497 -$446,368,888 +$285,772,609 EGN, LUMNXXXX, EVHC, NOMD, GOOGL 13F-HR 14 Nov 2017, 15:04
Q2 2017 34 $3,074,691,000 +$1,516,247,057 -$292,073,582 +$1,224,173,475 LUMNXXXX, EGN, NOMD, GOOGL, SIG 13F-HR 14 Aug 2017, 16:03
Q1 2017 35 $3,604,924,000 +$1,127,825,148 -$1,480,337,505 -$352,512,357 YUM, YUMC, P, NOMD, BALL 13F-HR 15 May 2017, 16:03
Q4 2016 1 $53,610,000 $0 PRXL New Holdings 15 May 2017, 16:01
Q4 2016 40 $5,848,548,000 +$2,283,727,447 -$1,045,614,718 +$1,238,112,729 YUM, WMB, IWM, YUMC, SIG 13F-HR 14 Feb 2017, 15:43
Q3 2016 30 $5,338,909,000 +$590,099,201 -$1,195,676,353 -$605,577,152 YUM, WMB, SIG, FNF, BALL 13F-HR 14 Nov 2016, 14:03
Q2 2016 1 $69,687,000 $0 BIO New Holdings 14 Nov 2016, 14:04
Q2 2016 34 $7,507,329,000 +$2,481,485,195 -$516,198,683 +$1,965,286,512 YUM, IWM, WMB, FNF, SIG 13F-HR 15 Aug 2016, 16:03
Q1 2016 21 $6,054,362,000 +$655,220,573 -$780,136,687 -$124,916,114 YUM, SIG, WMB, FNF, PFE 13F-HR 16 May 2016, 16:01
Q4 2015 34 $7,506,142,000 +$2,124,058,621 -$1,290,843,335 +$833,215,286 YUM, WMB, SIG, FNF, VERXXXX 13F-HR 16 Feb 2016, 15:04
Q3 2015 37 $8,507,646,000 +$2,449,156,492 -$156,001,529 +$2,293,154,963 YUM, WMB, SIG, FNF, VERXXXX 13F-HR 16 Nov 2015, 15:18
Q2 2015 40 $8,972,178,697 +$2,608,841,744 -$344,729,243 +$2,264,112,501 WMB, YUM, FNF, SIG, T104PS 13F-HR 14 Aug 2015, 16:06
Q1 2015 40 $8,269,353,000 +$2,015,822,750 -$714,981,827 +$1,300,840,923 WMB, SIG, FNF, T104PS, BEAV 13F-HR 15 May 2015, 16:16
Q4 2014 41 $8,151,233,000 +$2,338,500,948 -$606,954,808 +$1,731,546,140 WMB, SIG, FNF, BEAV, ICE 13F-HR 17 Feb 2015, 15:05
Q3 2014 47 $8,290,758,000 +$2,513,188,134 -$446,693,129 +$2,066,495,005 WMB, SIG, FNF, APC, MON 13F-HR 14 Nov 2014, 15:08
Q2 2014 44 $8,425,656,000 +$2,288,415,057 -$479,583,239 +$1,808,831,818 WMB, SIG, FNFXXXX, MON, TWTC 13F-HR 14 Aug 2014, 16:20
Q1 2014 57 $7,126,897,000 +$3,628,259,762 -$375,841,393 +$3,252,418,369 WMB, SIG, FNFXXXX, TMO, CCIXXXX 13F-HR 15 May 2014, 16:10
Q4 2013 57 $4,830,292,000 $0 FNFXXXX, WMB, TMO, LVLT, TWTC 13F-HR 14 Feb 2014, 15:20