13F.
SOROS FUND MANAGEMENT LLC
13F-HR

Q3 2020

Period Sep 30, 2020Filed Nov 13, 2020View on EDGAR ↗
Positions
132
Total value
$4.08B
Top 10 concentration
56.0%
New positions
49

Exited positionsvs. Q2 2020

  • ISHARES TR ($501.13M)
  • ISHARES TR ($159.37M)
  • MICROCHIP TECHNOLOGY INC. ($78.02M)
  • TRANSDIGM GROUP INC ($76.58M)
  • GRIFOLS S A ($49.1M)
  • CAESARS ENTMT CORP ($42.45M)
  • BANK NEW YORK MELLON CORP ($31.93M)
  • BK OF AMERICA CORP ($28.22M)

Holdings · 132

#Class
1
LIBERTY BROADBAND CORP
530307305
COM SER C$754.61M18.48%5,281,767
2
INVESCO QQQ TR
46090E103
UNIT SER 1$313.37M7.67%1,127,872New
3
D R HORTON INC
23331A109
COM$230.97M5.66%3,054,004+70.0%
4
ISHARES TR
464287242
IBOXX INV CP ETF$180.66M4.42%1,341,081-3.0%
5
PALANTIR TECHNOLOGIES INC
69608A108
CLA$175.35M4.29%18,457,516New
6
HAIN CELESTIAL GROUP INC
405217100
COM$150.64M3.69%4,391,753
7
DRAFTKINGS INC
26142R104
COM CL A$139.06M3.40%2,363,380-4.7%
8
VICI PPTYS INC
925652109
COM$128.35M3.14%5,492,229-10.7%
9
SELECTQUOTE INC
816307300
COM$112.5M2.75%5,555,556
10
DARDEN RESTAURANTS INC
237194105
COM$102.54M2.51%1,017,866+15.5%
11
ACTIVISION BLIZZARD INC
00507V109
COM$88.84M2.18%1,097,466+2.9%
12
WAYFAIR INC
94419LAD3
NOTE 1.125%11/0$78.02M1.91%30,252,000-39.8%
13
T-MOBILE US INC
872590104
COM$64.9M1.59%567,529-61.0%
14
ISHARES TR
464288646
ISHS 1-5YR INVS$61.12M1.50%1,113,000New
15
WAYFAIR INC
94419LAF8
NOTE 1.000% 8/1$58.08M1.42%28,000,000New
16
ARAMARK
03852U106
COM$52.91M1.30%2,000,400+21.2%
17
SPDR S&P 500 ETF TR
78462F103 · Put
TR UNIT$50.23M1.23%150,000New
18
OTIS WORLDWIDE CORP
68902V107
COM$50.1M1.23%802,547-33.8%
19
NORTONLIFELOCK INC
668771108
COM$48.22M1.18%2,313,742-51.8%
20
E TRADE FINANCIAL CORP
269246401
COM NEW$44.79M1.10%894,955+51.3%
21
ZILLOW GROUP INC
98954MAG6
NOTE 1.375% 9/0$41.84M1.02%17,500,000New
22
ALCON AG
H01301128
ORD SHS$39.91M0.98%700,762
23
SPDR SER TR
78464A474
PORTFOLIO SHORT$34.92M0.85%1,113,000
24
SEA LTD
81141R100
SPONSORD ADS$33.81M0.83%219,500New
25
IMMUNOMEDICS INC
452907108
COM$32.66M0.80%384,096New
26
SELECT SECTOR SPDR TR
81369Y704
SBI INT-INDS$31.69M0.78%411,600New
27
SELECT SECTOR SPDR TR
81369Y886 · Call
SBI INT-UTILS$29.69M0.73%500,000-85.7%
28
TD AMERITRADE HLDG CORP
87236Y108
COM$29.39M0.72%750,656+7.1%
29
ISHARES TR
464288414
NATIONAL MUN ETF$27.99M0.69%241,400
30
MICROCHIP TECHNOLOGY INC.
595017104
COM$27.54M0.67%267,956New
31
UNITY SOFTWARE INC
91332U101
COM$26.18M0.64%300,000New
32
ALPHABET INC
02079K305
CAP STK CL A$25.67M0.63%17,517-46.7%
33
VARIAN MED SYS INC
92220P105
COM$24.95M0.61%145,058New
34
LPL FINL HLDGS INC
50212V100
COM$24.65M0.60%321,547-32.8%
35
AGNC INVT CORP
00123Q104
COM$24.55M0.60%1,764,581
36
PENNYMAC FINL SVCS INC NEW
70932M107
COM$23.62M0.58%406,386+6.5%
37
MAXIM INTEGRATED PRODS INC
57772K101
COM$19.9M0.49%294,369New
38
FOCUS FINL PARTNERS INC
34417P100
COM CL A$19.18M0.47%584,792+16.2%
39
EVOLENT HEALTH INC
30050BAD3
NOTE 1.500%10/1$18.94M0.46%24,117,000
40
SOUTHWEST AIRLS CO
844741BG2
NOTE 1.250% 5/0$18.92M0.46%14,500,000-47.3%
41
DISNEY WALT CO
254687106
COM DISNEY$18.61M0.46%150,000New
42
GENERAL MTRS CO
37045V100
COM$17.68M0.43%597,500+100.8%
43
VEONEER INC
92336XAA7
NOTE 4.000% 6/0$17.67M0.43%18,300,000
44
ANALOG DEVICES INC
032654105 · Call
COM$17.51M0.43%150,000New
45
WESTERN ASSET MTG CAP CORP
95790DAA3
NOTE 6.750%10/0$16.55M0.41%19,200,000
46
CAESARS ENTERTAINMENT INC NE
12769G100
COM$15.49M0.38%276,373New
47
ISHARES TR
46429B671
MSCI CHINA ETF$15.13M0.37%204,000New
48
TIMKENSTEEL CORP
887399AA1
NOTE 6.000% 6/0$14.86M0.36%17,115,000
49
BENEFITFOCUS INC
08180DAB2
NOTE 1.250%12/1$14.72M0.36%18,116,000
50
LIBERTY LATIN AMERICA LTD
53069QAB5
NOTE 2.000% 7/1$14.69M0.36%17,906,000New
51
TEVA PHARMACEUTICAL FIN LLC
88163VAE9
DBCV 0.250% 2/0$14.38M0.35%14,620,000New
52
CORENERGY INFRASTRUCTURE TR
21870UAC0
NOTE 5.875% 8/1$14.22M0.35%19,760,000New
53
PG&E CORP
69331C108
COM$13.68M0.33%1,456,891-87.6%
54
XERIS PHARMACEUTICALS INC
98422LAA5
NOTE 5.000% 7/1$13.6M0.33%6,986,000-0.2%
55
INTERCEPT PHARMACEUTICALS IN
45845PAB4
NOTE 2.000% 5/1$13.55M0.33%19,552,000New
56
GOGO INC
38046CAD1
NOTE 6.000% 5/1$13.54M0.33%8,553,000-53.1%
57
NATIONAL GEN HLDGS CORP
636220303
COM$13.5M0.33%400,000New
58
CHARTER COMMUNICATIONS INC N
16119P108
CL A$13.33M0.33%21,350+16.7%
59
INVACARE CORP
461203AJ0
NOTE 5.000%11/1$12.15M0.30%14,500,000
60
INVACARE CORP
461203AL5
NOTE 5.000%11/1$12.14M0.30%13,500,000
61
SBA COMMUNICATIONS CORP NEW
78410G104
CL A$11.67M0.29%36,634+38.8%
62
APTIV PLC
G6095L109
SHS$11.34M0.28%123,666+30.2%
63
ONEMAIN HLDGS INC
68268W103
COM$11.3M0.28%361,438
64
PPG INDS INC
693506107
COM$11.11M0.27%91,000New
65
ARCELORMITTAL SA LUXEMBOURG
03938L203
NY REGISTRY SH$10.99M0.27%829,652+50.5%
66
GREEN PLAINS INC
393222AF1
NOTE 4.125% 9/0$10.54M0.26%11,050,000
67
MGIC INVT CORP WIS
552848103
COM$10.18M0.25%1,149,085-14.8%
68
TIFFANY & CO NEW
886547108 · Put
COM$9.85M0.24%85,000-32.0%
69
CHENIERE ENERGY INC
16411RAG4
NOTE 4.250% 3/1$9.82M0.24%13,625,000
70
OMEROS CORP
682143AG7
NOTE 5.250% 2/1$9.51M0.23%11,000,000New
71
PG&E CORP
69331C108 · Put
COM$9.39M0.23%1,000,000New
72
RESOURCE CAP CORP
76120WAC8
NOTE 4.500% 8/1$8.96M0.22%9,941,000
73
NXP SEMICONDUCTORS N V
N6596X109
COM$8.74M0.21%70,000New
74
EQUITABLE HLDGS INC
29452E101
COM$8.33M0.20%456,826
75
GREENLIGHT CAP RE LTD
395366AB3
NOTE 4.000% 8/0$8.29M0.20%10,250,000
76
VISTRA CORP
92840M102
COM$8.11M0.20%430,000
77
BRIGHTSPHERE INVT GROUP INC
10948W103
COM$7.9M0.19%612,427-7.6%
78
EAGLE BULK SHIPPING INC
269442AB5
NOTE 5.000% 8/0$7.79M0.19%10,525,000New
79
LIVE NATION ENTERTAINMENT IN
538034AQ2
NOTE 2.500% 3/1$7.74M0.19%7,000,000
80
TOLL BROTHERS INC
889478103
COM$7.72M0.19%158,578New
81
SIRIUS XM HOLDINGS INC
82968B103
COM$7.19M0.18%1,341,666+27.8%
82
GOSSAMER BIO INC
38341PAA0
NOTE 5.000% 6/0$6.93M0.17%6,700,000New
83
AXALTA COATING SYS LTD
G0750C108
COM$6.8M0.17%306,666New
84
RENAISSANCERE HLDGS LTD
G7496G103
COM$6.75M0.17%39,760-33.0%
85
BLACKSTONE MTG TR INC
09257W100
COM CL A$6.65M0.16%302,500-14.8%
86
TIFFANY & CO NEW
886547108
COM$6.34M0.16%54,683+629.1%
87
BGC PARTNERS INC
05541T101
CL A$6.27M0.15%2,611,698+8.3%
88
CME GROUP INC
12572Q105
COM$5.02M0.12%30,028
89
INTERCONTINENTAL EXCHANGE IN
45866F104
COM$5M0.12%50,000New
90
GOLDEN STAR RES LTD CDA
38119TAG9
NOTE 7.000% 8/1$4.95M0.12%4,365,000
91
MORGAN STANLEY
617446448
COM NEW$4.82M0.12%99,701-82.9%
92
GENERAL MTRS CO
37045V100 · Call
COM$4.68M0.11%158,000New
93
GCI LIBERTY INC
36164V305
COM CLASS A$4.62M0.11%56,354-4.2%
94
APPLIED OPTOELECTRONICS INC
03823UAB8
NOTE 5.000% 3/1$4.61M0.11%5,000,000-37.5%
95
CITIGROUP INC
172967424
COM NEW$4.09M0.10%94,787-81.6%
96
SUNCOR ENERGY INC NEW
867224107
COM$3.67M0.09%300,000
97
NAVIENT CORPORATION
63938C108
COM$3.56M0.09%421,142
98
OMEROS CORP
682143AE2
NOTE 6.250%11/1$3.42M0.08%3,600,000-69.0%
99
NISOURCE INC
65473P105
COM$3.3M0.08%150,000-50.0%
100
MOMENTA PHARMACEUTICALS INC
60877T100
COM$3.15M0.08%60,000New
101
LANNET INC
516012101 · Put
COM$3.06M0.07%500,000
102
ENTERPRISE PRODS PARTNERS L
293792107
COM$3M0.07%190,000
103
AVANTOR INC
05352A100
COM$2.93M0.07%130,248-28.5%
104
FIRSTENERGY CORP
337932107
COM$2.87M0.07%100,000-42.9%
105
MAGELLAN MIDSTREAM PRTNRS LP
559080106
COM UNIT RP LP$2.79M0.07%81,700
106
ZOGENIX INC
98978L204
COM NEW$2.69M0.07%150,000New
107
CINCINNATI BELL INC NEW
171871502
COM NEW$2.63M0.06%175,000New
108
AMBARELLA INC
G037AX101
SHS$2.61M0.06%50,000New
109
INVACARE CORP
461203AH4
NOTE 4.500% 6/0$2.6M0.06%2,973,000
110
ENERGY TRANSFER LP
29273V100
COM UT LTD PTN$2.59M0.06%477,750
111
TOTAL SE
89151E109
SPONSORED ADS$2.57M0.06%75,000New
112
ENTERGY CORP NEW
29364G103
COM$2.46M0.06%25,000-50.0%
113
FLAGSTAR BANCORP INC
337930705
COM PAR .001$2.22M0.05%75,000New
114
NAVISTAR INTL CORP NEW
63934E108
COM$1.96M0.05%45,000New
115
INFINERA CORP
45667GAC7
NOTE 2.125% 9/0$1.85M0.05%2,000,000New
116
INSEEGO CORP
45782BAD6
NOTE 3.250% 5/0$1.8M0.04%1,835,000
117
FIRST SOLAR INC
336433107
COM$1.61M0.04%24,300New
118
DENBURY INC
24790A101
COM$1.47M0.04%83,680New
119
PELOTON INTERACTIVE INC
70614W100
CL A COM$1.45M0.04%14,652-97.1%
120
EQUINOR ASA
29446M102
SPONSORED ADR$1.41M0.03%100,000New
121
CHEWY INC
16679L109
CL A$1.3M0.03%23,657New
122
8X8 INC NEW
282914100
COM$1.28M0.03%82,600New
123
MARCUS CORP DEL
566330106
COM$1.15M0.03%148,668New
124
EQUITRANS MIDSTREAM CORP
294600101
COM$1.14M0.03%134,200
125
OMNICELL COM
68213N109
COM$1.13M0.03%15,169New
126
WESTERN MIDSTREAM PARTNERS L
958669103
COM UNIT LP INT$756K0.02%94,550
127
FORTERRA INC
34960W106
COM$676K0.02%57,155New
128
BRISTOL-MYERS SQUIBB CO
110122157
RIGHT 99/99/9999$281K0.01%125,000+66.7%
129
MONTAGE RES CORP
61179L100
COM$228K0.01%51,877
130
GENWORTH FINL INC
37247D106
COM CL A$117K0.00%35,000New
131
FALCON MINERALS CORP
30607B208
*W EXP 07/21/202$86K0.00%1,072,500
132
XERIS PHARMACEUTICALS INC
98422L107
COM$25K0.00%4,248-97.9%
Total filing value: $4.08B