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Oaktree Capital Management (Howard Marks) - FilingSpy
Oaktree Capital Management
Howard Marks
$7.15B
13F
2018 Q2
31 of 56 quarters
Overview
Activity
Holdings
Buys
00BZ3C
NEW
.
$375.19M
+47.60M shares
EURN
NEW
Euronav NV
$87.39M
+9.50M shares
TSLA
NEW
Tesla Inc
$35.01M
+31.00M shares
BMRN
NEW
Biomarin Pharmaceutical Inc.
$30.89M
+30.50M shares
DISH
NEW
Dish Network Corporation
$27.19M
+28.00M shares
893830
NEW
Transocean Ltd.
$26.39M
+18.50M shares
CHK
NEW
Chesapeake Energy Corporation
$21.39M
+21.00M shares
PCG
NEW
PG&E Corporation
$21.28M
+500.0K shares
CHRD
NEW
Oasis Petroleum Inc.
$20.80M
+16.00M shares
VST
NEW
Vistra Energy Corp
$20.54M
+216.9K shares
PRAA
NEW
Pra Group Inc
$20.22M
+18.97M shares
CLNY
NEW
Digitalbridge Group Inc
$19.92M
+20.86M shares
W
NEW
Wayfair Inc
$18.71M
+14.50M shares
NUVA
NEW
Nuvasive Inc
$18.46M
+17.00M shares
NOG1EUR
NEW
Northern Oil & Gas, Inc.
$18.39M
+5.84M shares
98236J
NEW
Wright Medical Group NV
$17.37M
+13.00M shares
NBIX
NEW
Neurocrine Biosciences, Inc.
$17.07M
+11.80M shares
FWONA
NEW
Liberty Media Corporation
$14.65M
+12.50M shares
483548
NEW
Kaman Corporation
$14.53M
+12.00M shares
XEC
NEW
Cimarex Energy Co
$14.36M
+141.1K shares
Show all 111 buys (91 more)
Sells
AMAG
EXIT
Amag Pharmaceuticals Inc
$5.51M
- $5.51M
=
Closed
-5.33M shares (100%)
AKAM
EXIT
Akamai Technologies Inc
$56.03M
- $56.03M
=
Closed
-54.53M shares (100%)
ALSK
EXIT
Alaska Communications Systems Group Inc
$1.25M
- $1.25M
=
Closed
-1.23M shares (100%)
BABA
EXIT
Alibaba Group Holding Limited
$92.93M
- $92.93M
=
Closed
-506.3K shares (100%)
MDRX
EXIT
Veradigm Inc
$16.14M
- $16.14M
=
Closed
-16.03M shares (100%)
ABEV
EXIT
Ambev SA
$41.03M
- $41.03M
=
Closed
-5.64M shares (100%)
ELV
EXIT
Anthem Inc.
$10.74M
- $10.74M
=
Closed
-200.0K shares (100%)
ARRY
EXIT
Array Biopharma Inc
$9.15M
- $9.15M
=
Closed
-6.86M shares (100%)
BKD
EXIT
Brookdale Senior Living Inc
$22.21M
- $22.21M
=
Closed
-22.18M shares (100%)
CSGS
EXIT
Csg Systems International Inc
$22.53M
- $22.53M
=
Closed
-20.41M shares (100%)
128126
EXIT
Calamp Corp
$17.00M
- $17.00M
=
Closed
-15.87M shares (100%)
GTLS
EXIT
Chart Industries Inc
$4.22M
- $4.22M
=
Closed
-4.14M shares (100%)
CSOD
EXIT
Cornerstone Ondemand Inc
$26.36M
- $26.36M
=
Closed
-26.35M shares (100%)
COWN
EXIT
Cowen Inc
$12.92M
- $12.92M
=
Closed
-13.02M shares (100%)
CCI 6.875 08/01/20 A
EXIT
Crown Castle Inc
$31.87M
- $31.87M
=
Closed
-28.5K shares (100%)
DYN
EXIT
Dynegy Inc
$64.11M
- $64.11M
=
Closed
-4.74M shares (100%)
DYN
EXIT
Dynegy Inc
$18.81M
- $18.81M
=
Closed
-216.9K shares (100%)
ECPG
EXIT
Encore Capital Group Inc
$20.49M
- $20.49M
=
Closed
-17.86M shares (100%)
FRGI
EXIT
Fiesta Restaurant Group Inc
$24.51M
- $24.51M
=
Closed
-1.32M shares (100%)
FEYE
EXIT
Mandiant Inc
$20.92M
- $20.92M
=
Closed
-21.95M shares (100%)
Show all 111 sells (91 more)