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Oaktree Capital Management (Howard Marks) - FilingSpy
Oaktree Capital Management
Howard Marks
$6.88B
13F
2017 Q1
36 of 56 quarters
Overview
Activity
Holdings
Buys
EGC
NEW
Energy Xxi Gulf Coast Inc
$117.20M
+3.91M shares
TSLA
NEW
Tesla Inc
$67.17M
+68.53M shares
00BY9D
NEW
Allergan Plc
$56.84M
+67.0K shares
NUVA
NEW
Nuvasive Inc
$46.26M
+33.77M shares
YHOO
NEW
Altaba Inc.
$40.84M
+880.0K shares
VRNT
NEW
Verint Systems Inc
$40.63M
+41.13M shares
472145
NEW
Jazz Pharmaceuticals Plc
$39.23M
+36.50M shares
VECO
NEW
Veeco Instruments Inc
$33.70M
+32.24M shares
ELV
NEW
Anthem Inc.
$33.51M
+657.0K shares
00484M
NEW
Acorda Therapeutics Inc
$31.98M
+37.45M shares
JDSU
NEW
Viavi Solutions Inc.
$31.79M
+28.45M shares
CRK
NEW
Comstock Resources Inc
$28.64M
+33.89M shares
TBPH
NEW
Innoviva Inc (formerly Theravance Inc)
$27.58M
+28.89M shares
STKL
NEW
Sunopta Inc
$20.85M
+3.00M shares
74973W
NEW
Rti International Metals
$20.40M
+17.50M shares
BKD
NEW
Brookdale Senior Living Inc
$19.23M
+19.50M shares
CRK
NEW
Comstock Resources Inc
$16.39M
+19.10M shares
MPAC
NEW
Matlin & Partners Acquisition Corporation
$15.03M
+1.50M shares
CSGS
NEW
Csg Systems International Inc
$12.33M
+11.84M shares
HYG
NEW
iShares Trust
$12.29M
+140.0K shares
Show all 92 buys (72 more)
Sells
AKAM
EXIT
Akamai Technologies Inc
$25.30M
- $25.30M
=
Closed
-24.25M shares (100%)
MDRX
EXIT
Veradigm Inc
$7.58M
- $7.58M
=
Closed
-8.01M shares (100%)
AMTPRA
EXIT
American Tower Corporation
$33.52M
- $33.52M
=
Closed
-320.7K shares (100%)
ARCC
EXIT
Ares Capital Corporation
$9.50M
- $9.50M
=
Closed
-9.42M shares (100%)
ARRY
EXIT
Array Biopharma Inc
$17.42M
- $17.42M
=
Closed
-12.50M shares (100%)
BIDU
EXIT
Baidu Inc
$2.11M
- $2.11M
=
Closed
-12.9K shares (100%)
BANC
EXIT
Banc of California Inc
$9.86M
- $9.86M
=
Closed
-568.0K shares (100%)
CLR
EXIT
Continental Resources Inc
$20.62M
- $20.62M
=
Closed
-400.0K shares (100%)
21870U
EXIT
Corenergy Infrastructure Trust Inc
$10.68M
- $10.68M
=
Closed
-9.50M shares (100%)
249908
EXIT
Assertio Therapeutics Inc
$21.89M
- $21.89M
=
Closed
-19.36M shares (100%)
EEFT
EXIT
Euronet Worldwide Inc
$34.97M
- $34.97M
=
Closed
-30.03M shares (100%)
FMX
EXIT
Fomento Economico Mexicano Sab De Cv
$8.38M
- $8.38M
=
Closed
-110.1K shares (100%)
42703M
EXIT
Herbalife Ltd
$42.77M
- $42.77M
=
Closed
-46.49M shares (100%)
44052T
EXIT
Horizon Pharma Investment Limited
$40.00M
- $40.00M
=
Closed
-42.06M shares (100%)
440543
EXIT
Hornbeck Offshore Services, Inc.
$4.74M
- $4.74M
=
Closed
-6.66M shares (100%)
LEXEA
EXIT
Liberty Expedia Holdings, Inc.
$15.72M
- $15.72M
=
Closed
-396.2K shares (100%)
MIC
EXIT
Macquarie Infrastructure Holdings LLC
$40.82M
- $40.82M
=
Closed
-40.60M shares (100%)
MDSO
EXIT
Medidata Solutions Inc
$26.98M
- $26.98M
=
Closed
-24.63M shares (100%)
MCHP
EXIT
Microchip Technology Incorporated
$42.75M
- $42.75M
=
Closed
-32.84M shares (100%)
62952Q
EXIT
Nxp Semiconductors N.v.
$8.53M
- $8.53M
=
Closed
-7.51M shares (100%)
Show all 108 sells (88 more)