Paulson Management LP

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Paulson Management LP
CRD #138659
SEC #801-66030
CIK #0000356343, 0001448805, 0001035674, 0001166604
AUM
Employees 51 (33% Investors, 14% Brokers)
Phone212-956-2221
Address1133 Avenue of The Americas
New York, NY 10036
Source [IAPD] [EDGAR] [Website]
Total AUM ($B)
2016128402005201120182025
Sector Form 13F Holdings Value ($B)
Perpetua Resources Corp 0.9
Synta Pharmaceuticals Corp 0.7
BrightSphere Investment Group Inc 0.4
Biovail Corp 0.4
Novagold Resources Inc 0.2
International Tower Hill Mines Ltd 0.2
Agnico Eagle Mines Ltd 0.2
Newdex Inc 0.0
 
 
 
Holdings by Sector ($B)
25201510502011201620212027
Type Form D Funds Date Sold AUM
HF Paulson Enhanced Ltd [2012-03-30] 4,370.8 M 951.3 M
Filed 2020-03-19 (D/A) · Exemption 506(b), 3(c), 3(c)(7) · Minimum $5,000,000 · Remaining Indefinite · Duration More than one year · Net Assets Decline to Disclose
HF Paulson Feeder Fund 4B [2012-03-30] 5,907.1 M 2,292.5 M
Filed 2017-03-20 (D/A) · Exemption 506(b), 3(c), 3(c)(7) · Minimum $5,000,000 · Remaining Indefinite · Duration More than one year · Net Assets Decline to Disclose
HF Paulson Feeder Fund 5B [2012-03-30] 3,419.6 M 2,933.3 M
Filed 2017-03-20 (D/A) · Exemption 506(b), 3(c), 3(c)(7) · Minimum $5,000,000 · Remaining Indefinite · Duration More than one year · Net Assets Decline to Disclose
AUM Breakdown Accounts AUM ($B)
By Client Type
(a) Individuals (other than high net worth individuals) 0 0.0
(b) Individuals (high net worth individuals) 0 0.0
(c) Banking or thrift institutions 0 0.0
(d) Investment companies 0 0.0
(e) Business development companies 0 0.0
(f) Pooled investment vehicles 1 1.0
(g) Pension and profit sharing plans 0 0.0
(h) Charitable organizations 0 0.0
(i) State or municipal government entities 0 0.0
(j) Other investment advisers 0 0.0
(k) Insurance companies 0 0.0
(l) Sovereign wealth funds and foreign official institutions 0 0.0
(m) Corporations or other businesses not listed above 0 0.0
(n) Other 0 0.0
Total 1 1.0
By Discretionary
Discretionary 1 1.0
Non-Discretionary 0 0.0
Total 1 1.0
By Non-United States Persons
Non-United States Persons 1.0
United States Persons 0.0
Total 1 1.0
Form D Directors Role # Filings # Firms 2011 - 2026
Graham Cook Director 79 20
David Cooper Director 43 6
John Paulson Director 39 5
Harvey Pitt Director 22 2
Roel Campos Director 15 2
EDGAR Form CIK 2011 - 2026
3 [0000356343]
4 [0000356343]
D [0000356343]
13F-HR [0001035674]
3 [0001035674]
4 [0001035674]
SC 13D [0001035674]
SC 13G [0001035674]
13F-NT [0001166604]
3 [0001448805]
4 [0001448805]
D [0001448805]
Form 13D/13G Filer Form 13D/13G Subject Filed
Paulson & Co Inc Madrigal Pharmaceuticals Inc [2023-11-13]
Paulson & Co Inc ENDO International PLC [2022-02-14]
Paulson & Co Inc Thryv Holdings Inc [2022-02-14]
Paulson & Co Inc Perpetua Resources Corp [2021-08-27]
Paulson & Co Inc ENDO International PLC [2021-02-16]
Paulson & Co Inc Thryv Holdings Inc [2021-02-16]
Paulson & Co Inc Callon Petroleum Co [2019-09-09]
Paulson & Co Inc BrightSphere Investment Group PLC [2019-03-04]
Paulson & Co Inc Valeant Pharmaceuticals International Inc [2017-08-09]
Paulson & Co Inc Valeant Pharmaceuticals International Inc [2017-06-26]
View All
Firm Profile (Form ADV)
Discretionary AUM$5.8B
ServesInstitutional
Fund TypesHedge Fund
LEI549300QFK6ZWJNW82L78
Form 3/4/5 Subject 2011 - 2026
Paulson & Co Inc
Acadian Asset Management Inc
International Tower Hill Mines Ltd
Dex Media Inc
Bausch Health Companies Inc
Perpetua Resources Corp
Paulson Partners LP
Trilogy Metals Inc
Synthesis Energy Systems Inc
BrightSphere Investment Group PLC
International Seaways Inc
Overseas Shipholding Group Inc
Synergy Pharmaceuticals Inc
Extended Stay America Inc
ESH Hospitality Inc
Novagold Resources Inc
Cobalt International Energy Inc
Houghton Mifflin Harcourt Co
Keenova Therapeutics PLC
Extended Stay America Inc
Paulson Investment Company LLC
Cardax Inc
Paulson Cardax Investments 1 LLC
VBI Vaccines Inc
Supermedia Inc
Paulson Partners Enhanced LP
Paulson Enhanced Ltd
Paulson International Ltd
Paulson Advantage Plus Master Ltd
Paulson John
Paulson Advantage Master Ltd
Realogy Holdings Corp
Aptiv PLC
Insider Transaction (Form 3/4/5) Date Action Shares Price Value ($)
Dex Media Inc THRY
Common Stock
2026-03-03 Buy 593,621 $2.83 1,679,947
Dex Media Inc THRY
Common Stock
2026-03-02 Buy 987,078 $2.49 2,457,824
Dex Media Inc THRY
Common Stock
2026-02-27 Buy 857,066 $2.29 1,962,681
International Tower Hill Mines Ltd THM
Common Shares, no par value
2026-01-29 Buy 1,501,982 $2.22 3,334,400
International Tower Hill Mines Ltd THM
Common Shares, no par value
2026-01-28 Buy 9,813,650 $2.22 21,786,303
International Tower Hill Mines Ltd THM
Common Shares, no par value
2026-01-27 Buy 18,018,018 $2.22 40,000,000
Bausch Health Companies Inc BHC
Common Stock, no par value
2025-11-25 Buy 2,500,000 $6.25 15,625,000
Perpetua Resources Corp PPTA
Common Stock, without par value
2025-06-16 Buy 7,575,757 $13.20 99,999,992
International Tower Hill Mines Ltd THM
Common Shares, no par value
2025-03-03 Buy 6,040,408 $0.48 2,899,396
International Tower Hill Mines Ltd THM
Common Shares, no par value
2024-01-18 Buy 2,268,256 $0.66 1,497,049
Acadian Asset Management Inc BSIG
Common Stock, par value $0.001 per share
2021-12-21 Sell 100,000 $25.18 2,518,000
Acadian Asset Management Inc BSIG
Common Stock, par value $0.001 per share
2021-12-21 Sell 690,000 $31.50 21,735,000
Acadian Asset Management Inc BSIG
Common Stock, par value $0.001 per share
2021-12-08 Sell 10,260,431 $31.50 323,203,576
Dex Media Inc THRY
Common Shares, $0.01 par value
2021-02-16 Sell 315,302 $27.00 8,513,154
International Tower Hill Mines Ltd THM
Common Shares, no par value
2020-09-02 Buy 2,337,410 $1.40 3,272,374
Trilogy Metals Inc TMQ
Common Shares, no par value
2020-06-24 Sell 195,514 $1.83 357,791
Acadian Asset Management Inc BSIG
Common Stock, par value $0.001 per share
2020-06-24 Buy 647,263 $9.79 6,336,705
Acadian Asset Management Inc BSIG
Common Stock, par value $0.001 per share
2020-06-24 Sell 647,263 $9.79 6,336,705
Trilogy Metals Inc TMQ
Common Shares, no par value
2020-06-24 Buy 2,200 $1.82 4,004
Trilogy Metals Inc TMQ
Common Shares, no par value
2020-06-24 Buy 193,314 $1.83 353,765
showing 20 of 200 most recent transactions
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