
Glendon Capital Management LP is an institutional investment manager that files quarterly 13F reports with the SEC. As of Q4 2025, the fund manages $1.7B in reported equity holdings across 25 positions. The largest holdings are ULCC (47.4%), EXE (13.2%), NRG (6.0%), TLN (5.9%), VST (5.7%). The portfolio is concentrated in Other (99.6%), Technology (0.3%), Consumer Defensive (0.1%). Data sourced from SEC EDGAR 13F filings (CIK 1604350).
