WhaleCreep

Which hedge funds own USX1? UNITED STATES STL CORP NEW, Q2 2026 13F holders

0 tracked hedge funds disclosed a position in USX1 (UNITED STATES STL CORP NEW) in their Q2 2026 13F filings, worth $0 in total.

0
Holders
0
New this quarter
0
Exited this quarter
$0
Combined value
–
Share of managers holding

Holders, Q2 2026

0 rows

Ownership over time

By quarter
QuarterHoldersManagers filingShare holdingCombined value
Q2 20250730.0%$0
Q1 202587311.0%$1.3bn
Q4 2024107413.5%$1.1bn
Q3 2024107313.7%$978m
Q2 20247739.6%$957m
Q1 202497312.3%$975m
Q4 20237739.6%$994m
Q3 202387311.0%$230m
Q2 20235736.8%$54.6m
Q1 20234735.5%$27.2m
Q4 20222732.7%$31.3m
Q3 20223744.1%$57.1m
Q2 20222742.7%$28.4m
Q1 20224745.4%$44.1m
Q4 20213744.1%$39.5m
Q3 20214715.6%$75.9m
Q2 20214715.6%$7.5m
Q1 20214705.7%$31.4m
Q4 20206718.5%$13.6m
Q3 20203684.4%$14.8m
Q2 20203684.4%$17.9m
Q1 20203684.4%$2.4m
Q4 20195677.5%$103m
Q3 20192603.3%$85.3m
Q2 20192603.3%$20.6m
Q1 20192603.3%$411k
Q4 20182603.3%$67.6m
Q3 20183595.1%$41.2m
Q2 20184596.8%$251m
Q1 20184596.8%$360m
Q4 201765910.2%$45.7m
Q3 20172563.6%$12.8m
Q2 20170560.0%$0
Q1 20174567.1%$68.6m
Q4 20163565.4%$238m
Q3 20163525.8%$70.9m
Q2 20162523.8%$62.2m
Q1 20162523.8%$15.9m
Q4 20151521.9%$114k
Q3 20152523.8%$10.8m
Q2 20153525.8%$20.7m
Q1 20151521.9%$1.0m
Q4 20142523.8%$15.6m
Q3 20143496.1%$85.6m
Q2 20142494.1%$8.0m
Q1 20141472.1%$348k
Q4 20132474.3%$1.8m
Q2 20130430.0%$0
Q1 20131392.6%$3.3m
Q4 20121402.5%$716k
Q3 20121372.7%$477k
Q2 20121372.7%$515k
Q1 20121372.7%$1.8m
Q4 20112375.4%$2.8m
Q3 20111333.0%$550k
Q2 20111333.0%$2.3m
Q4 20090270.0%$0
Q3 20091263.8%$1.0m
Q2 20091263.8%$390k
Q1 20091263.8%$418k
Q4 20081283.6%$1.9m
Q3 20081263.8%$9.2m
Q2 20080240.0%$0
Q1 20082248.3%$926k
Q4 20071254.0%$12.1m
Q3 20070210.0%$0
Q2 20071214.8%$21.8m
Q2 20060200.0%$0
Q1 20061195.3%$27.3m
Q2 20050170.0%$0
Q1 20051185.6%$11.8m
Q4 20041185.6%$22.3m
Q3 20041147.1%$62.8m
Q2 20041137.7%$40.7m

Who discovered USX1 first?

Earliest meaningful positions among the 18 tracked managers seen opening USX1 since Q2 2004.

8 rows
Tudor Investment Corp ET ALQ2 20040.7%1.4%50Exited by Q2 2025–
Viking Global Investors LPQ1 20181.9%1.9%2Exited by Q3 2018−1.3%
Anomaly Capital Management, LPQ1 20221.1%1.4%3Exited by Q4 2023−57%
Melqart Asset Management (UK) Ltd high convictionQ3 20231.5%10.2%7Exited by Q2 2025+95%
Third Point LLCQ3 20232.4%4.0%3Exited by Q2 2025+95%
Pentwater Capital Management LP high convictionQ3 20230.1%16.5%7Exited by Q2 2025+95%
Duquesne Family Office LLCQ4 20160.9%1.5%4Exited by Q1 2025+16%
Discovery Capital Management, LLCQ3 20240.4%1.3%2Exited by Q1 2025−3.8%

Stock since is the split-adjusted change in the quarter-end price, excluding dividends, from the first reported quarter: the price the 13F filings themselves imply (value ÷ shares), blank across any gap that cannot be accounted for. It describes the stock, not the return any manager earned.

3 already held it when coverage began

Owl Creek Asset Management, L.P. (Q4 2004), Point72 Asset Management, L.P. (Q2 2014), Holocene Advisors, LP (Q4 2017)