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Oaktree Capital Management (Howard Marks) - FilingSpy
Oaktree Capital Management
Howard Marks
$5.57B
13F
2016 Q1
40 of 56 quarters
Overview
Activity
Holdings
Buys
ROVI
NEW
Rovi Corp
$65.85M
+68.58M shares
MCHP
NEW
Microchip Technology Incorporated
$58.00M
+56.77M shares
BMRN
NEW
Biomarin Pharmaceutical Inc.
$47.47M
+40.81M shares
98235T
NEW
Wright Medical Group Inc
$40.92M
+45.76M shares
BRCD
NEW
Brocade Communications Systems, Inc.
$39.43M
+39.61M shares
LNCE
NEW
Snyder'S-lance, Inc.
$38.53M
+1.22M shares
ELV
NEW
Anthem Inc.
$35.62M
+763.0K shares
KMI
NEW
Kinder Morgan Inc
$35.09M
+778.1K shares
86074Q
NEW
Stillwater Mining Company
$34.05M
+31.66M shares
WDAY
NEW
Workday, Inc.
$30.61M
+25.91M shares
WPX
NEW
Wpx Energy, Inc.
$28.01M
+761.9K shares
MDCO
NEW
The Medicines Company
$26.53M
+23.41M shares
SFLY
NEW
Shutterfly Inc
$24.29M
+24.26M shares
44052T
NEW
Horizon Pharma Investment Limited
$21.84M
+25.31M shares
BXMT
NEW
Blackstone Mortgage Trust, Inc.
$21.41M
+20.27M shares
QQQ
NEW
Invesco Powershares Qqq Trust, Series 1
$16.93M
+155.0K shares
IWM
NEW
iShares Trust
$16.59M
+150.0K shares
YHOO
NEW
Altaba Inc.
$15.59M
+423.6K shares
458660
NEW
Interdigital Inc
$13.37M
+13.00M shares
CLR
NEW
Continental Resources Inc
$12.14M
+400.0K shares
Show all 81 buys (61 more)
Sells
000361
EXIT
Aar Corp
$8.39M
- $8.39M
=
Closed
-8.36M shares (100%)
00484M
EXIT
Acorda Therapeutics Inc
$42.60M
- $42.60M
=
Closed
-36.90M shares (100%)
ALR
EXIT
Alere Inc
$5.05M
- $5.05M
=
Closed
-4.86M shares (100%)
ARE.PRD
EXIT
Alexandria Real Estate Equities, Inc.
$3.13M
- $3.13M
=
Closed
-113.7K shares (100%)
AIQ
EXIT
Alliance Healthcare Services, Inc.
$74.20M
- $74.20M
=
Closed
-4.76M shares (100%)
AINV
EXIT
Apollo Investment Corporation
$5.84M
- $5.84M
=
Closed
-5.83M shares (100%)
053494
EXIT
Av Homes Inc
$10.27M
- $10.27M
=
Closed
-10.50M shares (100%)
BAC
EXIT
Bank of America Corporation
$7.65M
- $7.65M
=
Closed
-7.0K shares (100%)
CIE
EXIT
Cobalt International Energy Inc
$24.77M
- $24.77M
=
Closed
-47.11M shares (100%)
CSOD
EXIT
Cornerstone Ondemand Inc
$46.50M
- $46.50M
=
Closed
-47.00M shares (100%)
220480
EXIT
Amarin Corporation
$1.38M
- $1.38M
=
Closed
-1.50M shares (100%)
DMND
EXIT
Diamond Foods Inc
$170.43M
- $170.43M
=
Closed
-4.42M shares (100%)
EBS
EXIT
Emergent Biosolutions Inc
$34.20M
- $34.20M
=
Closed
-24.66M shares (100%)
302301
EXIT
Ezcorp Inc
$1.14M
- $1.14M
=
Closed
-1.64M shares (100%)
LAB
EXIT
Standard Biotools Inc
$1.25M
- $1.25M
=
Closed
-2.00M shares (100%)
HOLX
EXIT
Hologic Inc
$20.72M
- $20.72M
=
Closed
-15.40M shares (100%)
ICON
EXIT
Iconix Brand Group Inc
$19.65M
- $19.65M
=
Closed
-39.11M shares (100%)
46123D
EXIT
Invensense Inc
$5.40M
- $5.40M
=
Closed
-5.89M shares (100%)
LNKD
EXIT
LinkedIn Corporation
$98.81M
- $98.81M
=
Closed
-94.05M shares (100%)
NUVA
EXIT
Nuvasive Inc
$32.92M
- $32.92M
=
Closed
-23.92M shares (100%)
Show all 103 sells (83 more)