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Scion Asset Management (Michael Burry) - FilingSpy
Scion Asset Management
Michael Burry
$2.08B
13F
2021 Q2
18 of 32 quarters
Overview
Activity
Holdings
Buys
MCK
NEW
Mckesson Corporation
$130.50M
+682.4K shares
WMT
NEW
Walmart, Inc.
$53.39M
+378.6K shares
CAH
NEW
Cardinal Health Inc
$48.97M
+857.7K shares
ARKK
NEW
Ark ETF Trust
$30.80M
+235.5K shares
DISCK
NEW
Discovery, Inc.
$24.78M
+855.1K shares
OVV
NEW
Ovintiv Inc.
$18.88M
+600.0K shares
GEO
NEW
The Geo Group Inc
$17.80M
+2.50M shares
VYGG
NEW
Vy Global Growth
$1.44M
+144.6K shares
VYGG
NEW
Vy Global Growth
$996.0K
+550.0K shares
TSLA
Tesla Inc
$534.41M
+ $196.61M
=
$731.02M
800.1K
+275.4K (+34.42%)
META
Meta Platforms Inc
$161.99M
+ $165.27M
=
$327.26M
550.0K
+391.2K (+71.13%)
TLT
iShares Trust
$171.53M
+ $108.94M
=
$280.47M
1.27M
+676.6K (+53.43%)
GOOG
Alphabet Inc. (formerly Google Inc.)
$165.49M
+ $64.84M
=
$230.33M
80.0K
+11.9K (+14.88%)
CVS
CVS Health Corporation
$38.37M
+ $22.15M
=
$60.52M
510.0K
+215.3K (+42.22%)
KHC
Kraft Heinz Co. (the)
$46.99M
+ $11.11M
=
$58.10M
1.17M
+250.0K (+21.28%)
CXW
Corecivic Inc
$9.96M
+ $3.66M
=
$13.61M
1.10M
+200.0K (+18.18%)
STNG
Scorpio Tankers Inc.
$3.51M
+ $9.72M
=
$13.23M
190.1K
+409.9K (+215.62%)
MRNS
Marinus Pharmaceuticals Inc
$4.60M
+ $6.61M
=
$11.21M
297.3K
+327.7K (+110.25%)
SXC
Suncoke Energy Inc
$7.71M
+ $3.46M
=
$11.17M
1.10M
+464.8K (+42.25%)
GOGL
Golden Ocean Group Limited
$3.55M
+ $4.17M
=
$7.73M
530.0K
+170.0K (+32.08%)
Sells
ARPO
EXIT
Aerpio Pharmaceuticals Inc
$1.29M
- $1.29M
=
Closed
-1.00M shares (100%)
TMV
EXIT
Direxion Shares ETF Trust
$3.13M
- $3.13M
=
Closed
-38.4K shares (100%)
HP
EXIT
Helmerich & Payne Inc
$5.39M
- $5.39M
=
Closed
-200.0K shares (100%)
IMKTA
EXIT
Ingles Markets, Incorporated
$9.25M
- $9.25M
=
Closed
-150.0K shares (100%)
IWO
EXIT
iShares Trust
$42.37M
- $42.37M
=
Closed
-140.9K shares (100%)
LUMN
EXIT
Lumen Technologies, Inc.
$8.68M
- $8.68M
=
Closed
-650.0K shares (100%)
MDP
EXIT
Meredith Corporation
$4.17M
- $4.17M
=
Closed
-140.0K shares (100%)
NTAP
EXIT
Netapp Inc
$21.80M
- $21.80M
=
Closed
-300.0K shares (100%)
DNOW
EXIT
Dnow Inc.
$7.06M
- $7.06M
=
Closed
-700.0K shares (100%)
OXY
EXIT
Occidental Petroleum Corp
$5.99M
- $5.99M
=
Closed
-225.0K shares (100%)
PDS
EXIT
Precision Drilling Corp
$4.81M
- $4.81M
=
Closed
-222.7K shares (100%)
TTT
EXIT
Proshares Trust
$4.58M
- $4.58M
=
Closed
-100.0K shares (100%)
RPT
EXIT
Rpt Realty
$6.85M
- $6.85M
=
Closed
-600.0K shares (100%)
UBA
EXIT
Urstadt Biddle Properties Inc.
$874.0K
- $874.0K
=
Closed
-52.5K shares (100%)
ZYME
EXIT
Zymeworks Inc
$8.88M
- $8.88M
=
Closed
-281.0K shares (100%)
VACQ
EXIT
Vector Acquisition Corp
$5.46M
- $5.46M
=
Closed
-461.6K shares (100%)
GNK
EXIT
Genco Shipping & Trading Limited
$3.58M
- $3.58M
=
Closed
-354.7K shares (100%)
TBT
Proshares Trust
$61.66M
- $51.94M
=
$9.72M
516.1K left
-2.32M (-81.80%)