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Oaktree Capital Management (Howard Marks) - FilingSpy
Oaktree Capital Management
Howard Marks
$9.36B
13F
2014 Q4
45 of 56 quarters
Overview
Activity
Holdings
Buys
STOR
NEW
Store Capital Corporation
$1.78B
+82.15M shares
TRCO
NEW
Tribune Media Co
$1.12B
+18.77M shares
EGLE
NEW
Eagle Bulk Shipping Inc.
$209.74M
+14.30M shares
NVDA
NEW
Nvidia Corporation
$112.40M
+98.36M shares
NXPI
NEW
Nxp Semiconductors N.v.
$94.40M
+91.90M shares
FWONA
NEW
Liberty Media Corporation
$84.03M
+84.74M shares
JAH
NEW
Jarden Corporation
$59.17M
+44.60M shares
CCI 6.875 08/01/20 A
NEW
Crown Castle Inc
$57.77M
+563.1K shares
14161H
NEW
Cardtronics Inc
$51.99M
+52.39M shares
SNDK
NEW
Sandisk Corporation
$48.52M
+40.33M shares
PFPT
NEW
Proofpoint Inc
$39.19M
+28.25M shares
BANC
NEW
Banc of California Inc
$37.72M
+3.29M shares
81170Y
NEW
Seacor Holdings Inc.
$35.44M
+38.55M shares
46123D
NEW
Invensense Inc
$33.55M
+33.65M shares
BIDU
NEW
Baidu Inc
$31.56M
+138.4K shares
87157B
NEW
Synchronoss Technologies Inc
$31.24M
+29.42M shares
WBMD
NEW
Webmd Health Corp
$31.06M
+30.93M shares
CTRP
NEW
Trip.com Group Limited
$30.53M
+31.17M shares
MOH
NEW
Molina Healthcare Inc
$24.88M
+22.30M shares
GTLS
NEW
Chart Industries Inc
$23.87M
+24.86M shares
Show all 109 buys (89 more)
Sells
000361
EXIT
Aar Corp
$2.01M
- $2.01M
=
Closed
-2.00M shares (100%)
055639
EXIT
Bpz Resources Inc.
$2.59M
- $2.59M
=
Closed
-2.59M shares (100%)
CSOD
EXIT
Cornerstone Ondemand Inc
$33.42M
- $33.42M
=
Closed
-33.22M shares (100%)
CCI.PRA
EXIT
Crown Castle Inc.
$76.78M
- $76.78M
=
Closed
-730.0K shares (100%)
CBST
EXIT
Cubist Pharmaceuticals Inc
$44.83M
- $44.83M
=
Closed
-41.10M shares (100%)
EMC
EXIT
Emc Corp
$17.85M
- $17.85M
=
Closed
-610.0K shares (100%)
43713W
EXIT
Home Inns & Hotels Management Inc
$12.23M
- $12.23M
=
Closed
-12.63M shares (100%)
440543
EXIT
Hornbeck Offshore Services, Inc.
$56.71M
- $56.71M
=
Closed
-57.81M shares (100%)
INTC
EXIT
Intel Corporation
$43.19M
- $43.19M
=
Closed
-33.69M shares (100%)
LRCX
EXIT
Lam Research Corp
$64.32M
- $64.32M
=
Closed
-50.26M shares (100%)
MDR
EXIT
Mcdermott International Inc
$12.82M
- $12.82M
=
Closed
-2.24M shares (100%)
MDCO
EXIT
The Medicines Company
$8.62M
- $8.62M
=
Closed
-8.09M shares (100%)
NTAP
EXIT
Netapp Inc
$21.05M
- $21.05M
=
Closed
-490.0K shares (100%)
OIBR
EXIT
Oi S.a.
$2.56M
- $2.56M
=
Closed
-3.46M shares (100%)
670851
EXIT
Oi S.a.
$6.91M
- $6.91M
=
Closed
-9.86M shares (100%)
PSEC
EXIT
Prospect Capital Corporation
$7.29M
- $7.29M
=
Closed
-7.08M shares (100%)
QUAD
EXIT
Quad/graphics Inc
$864.0K
- $864.0K
=
Closed
-44.9K shares (100%)
859737
EXIT
Sterlite Industries (india) Limited
$13.30M
- $13.30M
=
Closed
-13.34M shares (100%)
SCAI
EXIT
Surgical Care Affiliates Inc
$29.38M
- $29.38M
=
Closed
-1.10M shares (100%)
VIV
EXIT
Telefonica Brasil SA
$32.02M
- $32.02M
=
Closed
-1.63M shares (100%)
Show all 76 sells (56 more)