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Oaktree Capital Management (Howard Marks) - FilingSpy
Oaktree Capital Management
Howard Marks
$6.04B
13F
2014 Q3
46 of 56 quarters
Overview
Activity
Holdings
Buys
MU
NEW
Micron Technology Inc
$114.69M
+86.79M shares
TPCO
NEW
Tribune Publishing Company
$94.67M
+4.69M shares
MDRX
NEW
Veradigm Inc
$75.02M
+73.78M shares
VRNT
NEW
Verint Systems Inc
$74.49M
+68.13M shares
MDSO
NEW
Medidata Solutions Inc
$61.53M
+56.49M shares
CBST
NEW
Cubist Pharmaceuticals Inc
$44.83M
+41.10M shares
249908
NEW
Assertio Therapeutics Inc
$42.13M
+39.54M shares
CSOD
NEW
Cornerstone Ondemand Inc
$33.42M
+33.22M shares
AMSG
NEW
Amsurg Corp
$31.14M
+292.6K shares
MIC
NEW
Macquarie Infrastructure Holdings LLC
$30.01M
+26.84M shares
RKT
NEW
Rock-Tenn Company
$28.02M
+588.8K shares
493723
NEW
Keyw Holding Corporation
$27.31M
+27.82M shares
NBIS
NEW
Nebius Group N.v.
$26.71M
+961.1K shares
ITUB
NEW
Itau Unibanco Holding SA
$25.76M
+1.86M shares
IBN
NEW
Icici Bank Limited
$25.12M
+511.6K shares
ICON
NEW
Iconix Brand Group Inc
$20.95M
+16.39M shares
CBST
NEW
Cubist Pharmaceuticals Inc
$19.80M
+17.73M shares
TSQ
NEW
Townsquare Media, Inc.
$19.17M
+1.60M shares
WPZ
NEW
Williams Partners L.p.
$11.52M
+217.1K shares
PODD
NEW
Insulet Corporation
$10.11M
+9.44M shares
Show all 60 buys (40 more)
Sells
ABEV
EXIT
Ambev SA
$23.91M
- $23.91M
=
Closed
-3.40M shares (100%)
043353
EXIT
Meritor Inc
$5.33M
- $5.33M
=
Closed
-5.00M shares (100%)
BXUSD
EXIT
The Blackstone Group L.p.
$11.70M
- $11.70M
=
Closed
-350.0K shares (100%)
101388
EXIT
Bottomline Technologies
$14.57M
- $14.57M
=
Closed
-12.28M shares (100%)
12802T
EXIT
Cal Dive International
$2.72M
- $2.72M
=
Closed
-3.19M shares (100%)
CIEN
EXIT
Ciena Corporation
$11.41M
- $11.41M
=
Closed
-11.43M shares (100%)
CNQR
EXIT
Concur Technologies Inc
$67.83M
- $67.83M
=
Closed
-60.39M shares (100%)
262498
EXIT
Dryships Inc.
$4.93M
- $4.93M
=
Closed
-5.00M shares (100%)
29266S
EXIT
Endologix Inc
$2.99M
- $2.99M
=
Closed
-3.00M shares (100%)
INTC
EXIT
Intel Corporation
$1.55M
- $1.55M
=
Closed
-1.00M shares (100%)
460951
EXIT
Interoil Corporation
$6.80M
- $6.80M
=
Closed
-6.67M shares (100%)
LXP 6.5 PERP C
EXIT
Lxp Industrial Trust
$1.43M
- $1.43M
=
Closed
-29.3K shares (100%)
530610
EXIT
Liberty Interactive LLC
$57.66M
- $57.66M
=
Closed
-43.01M shares (100%)
MTH
EXIT
Meritage Homes Corporation
$6.12M
- $6.12M
=
Closed
-5.77M shares (100%)
590328
EXIT
Merrimack Pharmaceuticals, Inc.
$1.34M
- $1.34M
=
Closed
-1.00M shares (100%)
608753
EXIT
Molycorp Inc
$18.02M
- $18.02M
=
Closed
-23.50M shares (100%)
608753
EXIT
Molycorp Inc
$2.65M
- $2.65M
=
Closed
-4.00M shares (100%)
61748W
EXIT
Morgans Hotel Group Co
$14.24M
- $14.24M
=
Closed
-14.41M shares (100%)
PRGN
EXIT
Paragon Shipping Inc
$2.96M
- $2.96M
=
Closed
-500.0K shares (100%)
74973W
EXIT
Rti International Metals
$3.13M
- $3.13M
=
Closed
-2.98M shares (100%)
Show all 81 sells (61 more)