Columbus Hill Capital Management, L.P.
13F filer · CIK 1384982 · Short Hills, NJ
Summary
Columbus Hill Capital Management, L.P. reported $1.03B across 30 positions in its 13F for 2026 Q2, filed Aug 13, 2026. The largest holdings are AMD (9.3%), CPNG (6.5%), NCLH (5.5%). Versus 2026 Q1, leaving options aside, it opened 10 new positions, added to 7, trimmed 5 and sold out of 2.
Reported value$1.03B
Positions30incl. options
Report period2026 Q2
FiledAug 13, 2026
New positions10
Added7
Trimmed5
Sold out2
Top 25 holdings
By reported value, options listed separately · change vs 2026 Q1
Weight 9.3%Value $95.74MPrice $607.57Shares 165K -8.17%Since Jun 30 +4.59%
Weight 6.5%Value $66.39MPrice $13.85Shares 3.82M -31.29%Since Jun 30 -20.26%
Weight 5.5%Value $56.17MPrice $14.80Shares 2.66MSince Jun 30 -29.89%
Weight 4.8%Value $49.12MPrice $246.67Shares 206K -35.84%Since Jun 30 +3.50%
Weight 4.4%Value $45.29MPrice $361.62Shares 122KSince Jun 30 -2.42%
Weight 4.3%Value $44.58MPrice $245.81Shares 140KSince Jun 30 -22.59%
Weight 4.2%Value $42.92MPrice $21.39Shares 1.57MSince Jun 30 -21.88%
Weight 4.1%Value $42.61MPrice $92.86Shares 369KSince Jun 30 -19.56%
Weight 4.0%Value $40.77MPrice $13.61Shares 2.26MSince Jun 30 -24.68%
Weight 3.9%Value $39.85MPrice $227.21Shares 199K +90.28%Since Jun 30 +13.55%
Weight 3.8%Value $39.13MPrice $89.89Shares 386K +99.61%Since Jun 30 -11.44%
Weight 3.5%Value $36.28MPrice $738.79Shares 64K -8.47%Since Jun 30 +31.16%
Weight 3.5%Value $35.62MPrice $140.83Shares 225K +87.54%Since Jun 30 -11.22%
Weight 3.5%Value $35.50MPrice $386.87Shares 89KSince Jun 30 -2.61%
Weight 3.2%Value $32.49MPrice $456.94Shares 68K +4.61%Since Jun 30 -4.32%
Weight 2.7%Value $27.64MPrice $508.96Shares 74K +9.64%Since Jun 30 +36.44%
Weight 2.6%Value $26.70MPrice $340.92Shares 75K -12.88%Since Jun 30 -4.60%
Weight 2.5%Value $25.93MPrice $84.87Shares 277KSince Jun 30 -9.39%
Weight 2.3%Value $23.41MPrice $1015Shares 21KSince Jun 30 -10.45%
Weight 2.1%Value $21.11MPrice $69.36Shares 293K +1728.13%Since Jun 30 -3.88%
Weight 1.9%Value $19.16MPrice $563.58Shares 37KSince Jun 30 +9.73%
Weight 1.6%Value $16.84MPrice $365.88Shares 49K +10.10%Since Jun 30 +6.64%
Weight 1.1%Value $11.71MPrice $15.09Shares 474KSince Jun 30 -38.91%
Weight 1.1%Value $11.41MPrice $3.58Shares 1.99MSince Jun 30 -37.63%
Weight 0.8%Value $7.87MPrice $190.02Shares 54KSince Jun 30 +29.98%
| Stock | Weight | Value | Since Jun 30 | Shares change | Action |
|---|---|---|---|---|---|
| 9.3% | $95.74M | +4.59% | -8.17% | Trim | |
| 6.5% | $66.39M | -20.26% | -31.29% | Trim | |
| 5.5% | $56.17M | -29.89% | — | Hold | |
| 4.8% | $49.12M | +3.50% | -35.84% | Trim | |
| 4.4% | $45.29M | -2.42% | — | Hold | |
| 4.3% | $44.58M | -22.59% | — | Hold | |
| 4.2% | $42.92M | -21.88% | — | New | |
| 4.1% | $42.61M | -19.56% | — | New | |
| 4.0% | $40.77M | -24.68% | — | New | |
| 3.9% | $39.85M | +13.55% | +90.28% | Add | |
| 3.8% | $39.13M | -11.44% | +99.61% | Add | |
| 3.5% | $36.28M | +31.16% | -8.47% | Trim | |
| 3.5% | $35.62M | -11.22% | +87.54% | Add | |
| 3.5% | $35.50M | -2.61% | — | Hold | |
| 3.2% | $32.49M | -4.32% | +4.61% | Add | |
| 2.7% | $27.64M | +36.44% | +9.64% | Add | |
| 2.6% | $26.70M | -4.60% | -12.88% | Trim | |
| 2.5% | $25.93M | -9.39% | — | New | |
| 2.3% | $23.41M | -10.45% | — | Hold | |
| 2.1% | $21.11M | -3.88% | +1728.13% | Add | |
| 1.9% | $19.16M | +9.73% | — | Hold | |
| 1.6% | $16.84M | +6.64% | +10.10% | Add | |
| 1.1% | $11.71M | -38.91% | — | New | |
| 1.1% | $11.41M | -37.63% | — | New | |
| 0.8% | $7.87M | +29.98% | — | New |
Weight is the share of the reported 13F value, including options at notional value. “Since Jun 30” compares the latest close with the quarter-end price implied by the filing (value ÷ shares).
Largest buys in 2026 Q2
Largest sells in 2026 Q2
ECHOSTAR CORPNo ticker match≈ $15.98MSold
Options
Notional value, listed apart from stocks
Source: SEC Form 13F, values as reported by the filer. Filings lag up to 45 days after quarter end and cover only certain long positions. Research only, not investment advice.