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Leon Cooperman (Leon Cooperman) - FilingSpy
Leon Cooperman
Leon Cooperman
$4.58B
13F
2015 Q4
13 of 18 quarters
Overview
Activity
Holdings
Buys
GOOGL
NEW
Alphabet Inc
$332.69M
+427.6K shares
FDC
NEW
First Data Corp New
$242.03M
+15.42M shares
OMF
NEW
Onemain Holdings Inc
$104.60M
+2.52M shares
EEM
NEW
iShares Trust
$48.28M
+1.50M shares
MSFT
NEW
Microsoft Corporation
$44.88M
+809.0K shares
SYF
NEW
Synchrony Financial
$28.78M
+946.3K shares
AET
NEW
Aetna Inc.
$17.30M
+160.0K shares
ICON
NEW
Iconix Brand Group Inc
$10.11M
+1.48M shares
HCHC
NEW
Hc2 Holdings Inc (now Innovate Corp)
$2.65M
+500.0K shares
NRF
NEW
Northstar Realty Finance Corp.
$852.0K
+50.0K shares
AIG
American International Group Inc
$191.22M
+ $62.64M
=
$253.86M
3.37M
+731.2K (+21.73%)
NAVI
Navient Corporation
$119.74M
+ $53.85M
=
$173.59M
10.65M
+4.51M (+42.32%)
TRCO
Tribune Media Co
$126.45M
- $1.71M
=
$124.75M
3.55M
+137.5K (+3.87%)
HOUS
Anywhere Real Estate Inc.
$101.96M
+ $3.33M
=
$105.29M
2.71M
+161.7K (+5.97%)
WBA
Walgreens Boots Alliance Inc
$82.05M
+ $11.49M
=
$93.55M
987.4K
+111.2K (+11.26%)
RITM
New Residential Investment Corp
$93.89M
- $4.90M
=
$88.99M
7.17M
+151.1K (+2.11%)
LORL
Loral Space & Communications Inc.
$62.84M
+ $4.70M
=
$67.54M
1.33M
+324.3K (+24.29%)
SNR1USD
New Senior Investment Group Inc.
$59.22M
+ $4.14M
=
$63.36M
5.66M
+764.9K (+13.51%)
ASPS
Altisource Portfolio Solutions S.a.
$36.12M
+ $10.11M
=
$46.23M
1.52M
+147.2K (+9.72%)
SUM
Summit Materials Inc
$17.53M
+ $2.67M
=
$20.19M
933.9K
+73.8K (+7.90%)
Show all 22 buys (2 more)
Sells
MITTEUR
EXIT
AG Mortgage Investment Trust, Inc.
$3.04M
- $3.04M
=
Closed
-200.0K shares (100%)
ARP
EXIT
Atlas Resource Partners LP
$12.89M
- $12.89M
=
Closed
-4.60M shares (100%)
BSM
EXIT
Black Stone Minerals LP
$6.90M
- $6.90M
=
Closed
-500.0K shares (100%)
BUFF
EXIT
Blue Buffalo Pet Products Inc
$8.96M
- $8.96M
=
Closed
-500.0K shares (100%)
CI
EXIT
Cigna Corporation
$33.76M
- $33.76M
=
Closed
-250.0K shares (100%)
CMCSA
EXIT
Comcast Corporation
$41.07M
- $41.07M
=
Closed
-717.5K shares (100%)
GOOGL
EXIT
Alphabet Inc. (formerly Google Inc.)
$308.17M
- $308.17M
=
Closed
-482.7K shares (100%)
OPLN
EXIT
Openlane Inc
$1.67M
- $1.67M
=
Closed
-47.0K shares (100%)
KMI
EXIT
Kinder Morgan Inc
$19.74M
- $19.74M
=
Closed
-713.1K shares (100%)
WLH
EXIT
William Lyon Homes
$927.0K
- $927.0K
=
Closed
-45.0K shares (100%)
MLCO
EXIT
Melco Resorts & Entertainment Limited (formerly Melco Crown Entertainment Limited)
$10.32M
- $10.32M
=
Closed
-750.0K shares (100%)
MCRN
EXIT
Milacron Holdings Corp
$7.02M
- $7.02M
=
Closed
-400.0K shares (100%)
JCP
EXIT
J. C. Penney Company, Inc.
$4.64M
- $4.64M
=
Closed
-500.0K shares (100%)
PCLN
EXIT
Booking Holdings Inc
$142.27M
- $142.27M
=
Closed
-115.0K shares (100%)
SHLDQ
EXIT
Sears Holdings Corporation
$6.78M
- $6.78M
=
Closed
-300.0K shares (100%)
SHPG
EXIT
Shire Plc
$9.31M
- $9.31M
=
Closed
-45.4K shares (100%)
SPWH
EXIT
Sportsman'S Warehouse Holdings, Inc.
$1.85M
- $1.85M
=
Closed
-150.0K shares (100%)
LEAF
EXIT
Springleaf Holdings Inc
$114.01M
- $114.01M
=
Closed
-2.61M shares (100%)
SUNE
EXIT
Sunedison, Inc.
$38.24M
- $38.24M
=
Closed
-5.33M shares (100%)
RUN
EXIT
Sunrun Inc
$4.41M
- $4.41M
=
Closed
-425.0K shares (100%)
Show all 65 sells (45 more)