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Oaktree Capital Management (Howard Marks) - FilingSpy
Oaktree Capital Management
Howard Marks
$6.12B
13F
2017 Q2
35 of 56 quarters
Overview
Activity
Holdings
Buys
VST
NEW
Vistra Energy Corp
$844.88M
+50.32M shares
AGN
NEW
Allergan Plc
$60.98M
+70.3K shares
AABA
NEW
Altaba Inc
$57.84M
+1.06M shares
BDX
NEW
Becton, Dickinson and Company
$45.07M
+822.7K shares
PBR.A
NEW
Petroleo Brasileiro S.a. - Petrobras
$41.01M
+5.50M shares
WFC
NEW
Wells Fargo & Company
$38.56M
+29.4K shares
XHB
NEW
SPDR S&P Dividend ETF
$38.53M
+1.00M shares
42703M
NEW
Herbalife Ltd
$36.14M
+34.50M shares
YHOO
NEW
Altaba Inc.
$35.30M
+30.96M shares
BRFS
NEW
Brf S.a.
$29.32M
+2.49M shares
NEE
NEW
Nextera Energy Inc
$29.00M
+536.9K shares
AMTPRA
NEW
American Tower Corporation
$26.04M
+214.8K shares
BXMT
NEW
Blackstone Mortgage Trust, Inc.
$23.69M
+23.17M shares
AZUL
NEW
Azul S.a.
$20.76M
+985.6K shares
D
NEW
Dominion Energy, Inc.
$20.33M
+404.0K shares
BCEI
NEW
Bonanza Creek Energy Inc
$16.68M
+525.9K shares
CIT
NEW
Cit Group Inc
$16.59M
+340.6K shares
TWTR
NEW
Twitter Inc.
$16.41M
+17.38M shares
SWK
NEW
Stanley Black & Decker Inc
$15.70M
+143.1K shares
KN
NEW
Knowles Corporation
$14.73M
+12.47M shares
Show all 86 buys (66 more)
Sells
APFH
EXIT
Advancepierre Foods Holdings Inc
$989.09M
- $989.09M
=
Closed
-31.73M shares (100%)
00BY9D
EXIT
Allergan Plc
$56.84M
- $56.84M
=
Closed
-67.0K shares (100%)
020520
EXIT
Alon USA Energy, Inc.
$2.21M
- $2.21M
=
Closed
-2.00M shares (100%)
ARCP
EXIT
Vereit Inc
$892.0K
- $892.0K
=
Closed
-885.0K shares (100%)
BXMT
EXIT
Blackstone Mortgage Trust, Inc.
$15.86M
- $15.86M
=
Closed
-13.83M shares (100%)
BCOR
EXIT
Blucora Inc
$20.01M
- $20.01M
=
Closed
-19.80M shares (100%)
14161H
EXIT
Cardtronics Inc
$28.46M
- $28.46M
=
Closed
-26.18M shares (100%)
CHL
EXIT
China Mobile Limited
$1.31M
- $1.31M
=
Closed
-23.7K shares (100%)
CLVSEUR
EXIT
Clovis Oncology Inc
$15.30M
- $15.30M
=
Closed
-11.75M shares (100%)
XCO
EXIT
Exco Resources Inc
$19.08M
- $19.08M
=
Closed
-30.77M shares (100%)
LAB
EXIT
Standard Biotools Inc
$2.91M
- $2.91M
=
Closed
-4.27M shares (100%)
HLS
EXIT
Encompass Health Corporation
$37.02M
- $37.02M
=
Closed
-30.19M shares (100%)
HLX
EXIT
Helix Energy Solutions Group Inc
$2.96M
- $2.96M
=
Closed
-3.03M shares (100%)
ICON
EXIT
Iconix Brand Group Inc
$5.74M
- $5.74M
=
Closed
-6.00M shares (100%)
IMMU
EXIT
Immunomedics Inc
$1.05M
- $1.05M
=
Closed
-750.0K shares (100%)
INSG
EXIT
Inseego Corp
$2.22M
- $2.22M
=
Closed
-2.50M shares (100%)
458660
EXIT
Interdigital Inc
$32.18M
- $32.18M
=
Closed
-24.72M shares (100%)
HYG
EXIT
iShares Trust
$12.29M
- $12.29M
=
Closed
-140.0K shares (100%)
493723
EXIT
Keyw Holding Corporation
$7.72M
- $7.72M
=
Closed
-8.01M shares (100%)
MTG
EXIT
Mgic Investment Corporation
$7.71M
- $7.71M
=
Closed
-7.64M shares (100%)
Show all 112 sells (92 more)