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Elliott Investment Management (Paul Singer) - FilingSpy
Elliott Investment Management
Paul Singer
$9.19B
13F
2020 Q2
23 of 24 quarters
Overview
Activity
Holdings
Buys
META
NEW
Meta Platforms Inc
$227.07M
+1.00M shares
WELL
NEW
Welltower Inc
$212.53M
+4.11M shares
IBB
NEW
iShares Trust
$153.78M
+1.13M shares
ARNC
NEW
Arconic Corporation
$144.75M
+10.39M shares
IWM
NEW
iShares Trust
$114.54M
+800.0K shares
AAL
NEW
American Airlines Group Inc
$58.81M
+4.50M shares
XLU
NEW
Technology Select Sector SPDR Fund
$42.32M
+750.0K shares
FSCT
NEW
Forescout Technologies Inc
$40.37M
+1.90M shares
CNK
NEW
Cinemark Holdings Inc
$18.71M
+1.62M shares
W
NEW
Wayfair Inc
$4.76M
+2.50M shares
QQQ
Invesco Qqq Trust Series 1
$280.84M
+ $2.43B
=
$2.71B
1.48M
+9.47M (+642.13%)
DELL
Dell Technologies Inc
$788.22M
+ $449.39M
=
$1.24B
19.93M
+2.60M (+13.03%)
VNQ
Vanguard Index Funds
$307.34M
+ $595.75M
=
$903.10M
4.40M
+7.10M (+161.36%)
MPC
Marathon Petroleum Corporation
$247.26M
+ $263.73M
=
$510.99M
10.47M
+3.20M (+30.59%)
TWTR
Twitter Inc.
$98.24M
+ $67.09M
=
$165.34M
4.00M
+1.55M (+38.75%)
IYR
iShares Trust
$41.74M
+ $120.13M
=
$161.88M
600.0K
+1.45M (+242.33%)
RYAAY
Ryanair Holdings Plc
$27.00M
+ $10.17M
=
$37.17M
508.7K
+51.7K (+10.16%)
Sells
CENX
EXIT
Century Aluminum Company
$3.62M
- $3.62M
=
Closed
-1.00M shares (100%)
CHK
EXIT
Chesapeake Energy Corporation
$863.0K
- $863.0K
=
Closed
-19.00M shares (100%)
CSOD
EXIT
Cornerstone Ondemand Inc
$11.48M
- $11.48M
=
Closed
-361.7K shares (100%)
DBX
EXIT
Dropbox Inc
$118.73M
- $118.73M
=
Closed
-6.56M shares (100%)
EGHT
EXIT
8x8 Inc
$4.92M
- $4.92M
=
Closed
-355.1K shares (100%)
ESI
EXIT
Element Solutions Inc
$59.03M
- $59.03M
=
Closed
-7.06M shares (100%)
EQIX
EXIT
Equinix Inc
$54.65M
- $54.65M
=
Closed
-87.5K shares (100%)
LQD
EXIT
iShares Trust
$425.69M
- $425.69M
=
Closed
-3.45M shares (100%)
HYG
EXIT
iShares Trust
$338.92M
- $338.92M
=
Closed
-4.40M shares (100%)
NEWR
EXIT
New Relic Inc
$11.60M
- $11.60M
=
Closed
-250.9K shares (100%)
NTNX
EXIT
Nutanix Inc
$7.19M
- $7.19M
=
Closed
-455.2K shares (100%)
RRTS
EXIT
Roadrunner Transportation Systems, Inc.
$87.09M
- $87.09M
=
Closed
-34.16M shares (100%)
XOP
EXIT
SPDR Series Trust
$106.92M
- $106.92M
=
Closed
-3.25M shares (100%)
ZION
EXIT
Zions Bancorporation N A
$115.0K
- $115.0K
=
Closed
-350.0K shares (100%)
CNHI
EXIT
Cnh Industrial N.v.
$5.16M
- $5.16M
=
Closed
-898.5K shares (100%)
XLE
Technology Select Sector SPDR Fund
$232.48M
- $50.80M
=
$181.68M
4.80M left
-3.20M (-40.00%)
T
AT&T Inc.
$451.82M
- $300.68M
=
$151.15M
5.00M left
-10.50M (-67.74%)
SPR
Spirit Aerosystems Holdings, Inc.
$8.38M
- $5.98M
=
$2.39M
100.0K left
-250.0K (-71.43%)