13F.
SOROS FUND MANAGEMENT LLC
13F-HR

Q3 2024

Period Sep 30, 2024Filed Nov 14, 2024View on EDGAR ↗
Positions
177
Total value
$6.92B
Top 10 concentration
39.9%
New positions
69

Exited positionsvs. Q2 2024

  • SPDR S&P 500 ETF TR ($244.9M)
  • WESTROCK CO ($168.02M)
  • APPLE INC ($157.97M)
  • CEREVEL THERAPEUTICS HLDNG I ($87.98M)
  • RIVIAN AUTOMOTIVE INC ($73.14M)
  • ISHARES TR ($68.84M)
  • VANECK ETF TRUST ($67.78M)
  • NEXTERA ENERGY INC ($44.32M)

Holdings · 177

#Class
1
SPDR S&P 500 ETF TR
78462F103 · Put
TR UNIT$1.22B17.60%2,123,000+607.7%
2
SMURFIT WESTROCK PLC
G8267P108
SHS$340.85M4.92%6,896,971New
3
ASTRAZENECA PLC
046353108
SPONSORED ADR$206.68M2.99%2,652,771+8.2%
4
ISHARES TR
464287655 · Put
RUSSELL 2000 ETF$176.71M2.55%800,000New
5
AERCAP HOLDINGS NV
N00985106
SHS$150.59M2.18%1,589,896+2.1%
6
RIVIAN AUTOMOTIVE INC
76954AAB9
NOTE 4.625% 3/1$140.23M2.03%155,936,000-21.4%
7
ALIBABA GROUP HLDG LTD
01609W102
SPONSORED ADS$138.59M2.00%1,306,000+27.4%
8
DROPBOX INC
26210CAC8
NOTE 3/0$134.17M1.94%138,250,000+52.3%
9
MICROCHIP TECHNOLOGY INC.
595017AU8
NOTE 0.125%11/1$129.73M1.87%130,315,000New
10
SELECT SECTOR SPDR TR
81369Y605
FINANCIAL$126.9M1.83%2,800,000+22719.9%
11
GFL ENVIRONMENTAL INC
36168Q104
SUB VTG SHS$125.87M1.82%3,156,327+487.0%
12
ISHARES TR
464287200
CORE S&P500 ETF$124.02M1.79%215,000New
13
ISHARES TR
464288513 · Put
IBOXX HI YD ETF$120.45M1.74%1,500,000-40.0%
14
WAYFAIR INC
94419LAF8
NOTE 1.000% 8/1$111.29M1.61%119,450,000-11.2%
15
JD.COM INC
47215P106
SPON ADS CL A$109.2M1.58%2,730,000+114.1%
16
AKAMAI TECHNOLOGIES INC
00971TAJ0
NOTE 0.125% 5/0$105.9M1.53%95,000,000+46.2%
17
DIGITALOCEAN HLDGS INC
25402DAB8
NOTE 12/0$103.24M1.49%116,500,000+301.7%
18
DROPBOX INC
26210CAD6
NOTE 3/0$100.14M1.45%103,500,000New
19
DISH NETWORK CORPORATION
25470MAF6
NOTE 12/1$98.54M1.42%115,250,000-16.6%
20
MARRIOTT VACATIONS WORLDWIDE
57164YAD9
NOTE 1/1$88.59M1.28%94,754,000+11.8%
21
LIBERTY BROADBAND CORP
530307305
COM SER C$86.56M1.25%1,119,893-19.4%
22
ALPHABET INC
02079K305
CAP STK CL A$85.89M1.24%517,890-43.4%
23
ISHARES TR
464287655 · Call
RUSSELL 2000 ETF$77.31M1.12%350,000New
24
OKTA INC
679295AD7
NOTE 0.125% 9/0$75.39M1.09%79,136,000+74.9%
25
AXONICS INC
05465P101
COM$73.08M1.06%1,050,001-40.8%
26
OKTA INC
679295105 · Call
CL A$69.39M1.00%933,400+55.6%
27
JACOBS SOLUTIONS INC
46982L108
COM$65.57M0.95%500,907+34.3%
28
ALIBABA GROUP HLDG LTD
01609W102 · Call
SPONSORED ADS$64.02M0.92%603,300New
29
SELECT SECTOR SPDR TR
81369Y886 · Put
SBI INT-UTILS$60.59M0.88%750,000New
30
LUMENTUM HLDGS INC
55024UAD1
NOTE 0.500%12/1$60.26M0.87%61,250,000+188.2%
31
UL SOLUTIONS INC
903731107
CLASS A COM SHS$56.06M0.81%1,137,077+127.4%
32
CRH PLC
G25508105
ORD$54.45M0.79%587,074-2.4%
33
ECHOSTAR CORP
278768106
CL A$54.37M0.79%2,190,726-10.0%
34
RAPID7 INC
753422AF1
NOTE 0.250% 3/1$53.52M0.77%58,500,000
35
AMAZON COM INC
023135106
COM$52.21M0.75%280,210-3.7%
36
WOLFSPEED INC
977852AD4
NOTE 1.875%12/0$50.46M0.73%131,500,000
37
UBER TECHNOLOGIES INC
90353T100
COM$47.14M0.68%627,211-10.3%
38
GLOBAL PMTS INC
37940X102
COM$47.11M0.68%460,000New
39
WOLFSPEED INC
977852AB8
NOTE 0.250% 2/1$43.47M0.63%108,500,000
40
SALESFORCE INC
79466L302
COM$42.81M0.62%156,404New
41
SYNCHRONY FINANCIAL
87165B103
COM$41.09M0.59%823,737New
42
ISHARES INC
46434G764
MSCI EMRG CHN$39.26M0.57%642,500
43
AKAMAI TECHNOLOGIES INC
00971TAL5
NOTE 0.375% 9/0$38.8M0.56%37,500,000New
44
D R HORTON INC
23331A109
COM$37.86M0.55%198,445+11.1%
45
WOLFSPEED INC
225447AD3
NOTE 1.750% 5/0$37.13M0.54%52,000,000
46
NASDAQ INC
631103108
COM$36.51M0.53%500,000New
47
STERICYCLE INC
858912108
COM$36.01M0.52%590,300-46.3%
48
INSMED INC
457669307
COM PAR $.01$34.94M0.50%478,601+1.7%
49
MERCK & CO INC
58933Y105
COM$34.07M0.49%300,000
50
ONESTREAM INC
68278B107
CL A$33.9M0.49%1,000,000New
51
VULCAN MATLS CO
929160109
COM$32.77M0.47%130,859New
52
CSX CORP
126408103
COM$32.05M0.46%928,118+9.9%
53
NCL CORP LTD
62886HAX9
NOTE 5.375% 8/0$31.38M0.45%25,500,000-57.4%
54
ITRON INC
465741106
COM$29.37M0.42%275,000+38.9%
55
BOSTON SCIENTIFIC CORP
101137107
COM$29.33M0.42%350,001+40.0%
56
DOORDASH INC
25809K105
CL A$28.12M0.41%196,995+1.0%
57
FLUTTER ENTMT PLC
G3643J108
SHS$27.22M0.39%114,726+13.9%
58
FORD MTR CO
345370CZ1
NOTE 3/1$26.94M0.39%27,500,000New
59
ACCENTURE PLC IRELAND
G1151C101
SHS CLASS A$26.81M0.39%75,852-62.1%
60
ISHARES TR
464288414
NATIONAL MUN ETF$26.22M0.38%241,400
61
VIKING HOLDINGS LTD
G93A5A101
ORD SHS$26.17M0.38%750,000+15.4%
62
SAREPTA THERAPEUTICS INC
803607100
COM$25.8M0.37%206,583New
63
EXACT SCIENCES CORP
30063P105
COM$25.79M0.37%378,590+68.3%
64
BOOKING HOLDINGS INC
09857L108
COM$25.75M0.37%6,114-62.6%
65
DROPBOX INC
26210C104 · Call
CL A$25.43M0.37%1,000,000New
66
SPDR SER TR
78464A888 · Put
S&P HOMEBUILD$24.91M0.36%200,000New
67
MICROCHIP TECHNOLOGY INC.
595017104
COM$24.89M0.36%310,000+170.0%
68
CHAMPIONX CORPORATION
15872M104
COM$24.06M0.35%797,848-67.6%
69
RITHM CAPITAL CORP
64828T201
COM NEW$23.84M0.34%2,100,000New
70
INTERACTIVE BROKERS GROUP IN
45841N107
COM CL A$23.47M0.34%168,413-30.6%
71
SANOFI
80105N105
SPONSORED ADR$23.05M0.33%400,000+166.7%
72
ILLUMINA INC
452327109
COM$22.82M0.33%175,000New
73
SELECT SECTOR SPDR TR
81369Y605 · Put
FINANCIAL$22.66M0.33%500,000New
74
COSTCO WHSL CORP NEW
22160K105 · Put
COM$22.16M0.32%25,000-75.0%
75
AURORA INNOVATION INC
051774107
CLASS A COM$21.65M0.31%3,657,185-45.2%
76
ATLASSIAN CORPORATION
049468101
CL A$20.67M0.30%130,160+39.9%
77
RENAISSANCERE HLDGS LTD
G7496G103
COM$20.17M0.29%74,030-9.5%
78
PACS GROUP INC
69380Q107
COM SHS$19.99M0.29%500,000+233.3%
79
EDWARDS LIFESCIENCES CORP
28176E108
COM$19.8M0.29%300,000New
80
LINEAGE INC
53566V106
COM$19.6M0.28%250,000New
81
DATADOG INC
23804L103
CL A COM$19.34M0.28%168,090+24.2%
82
COOPER COS INC
216648501
COM$19.31M0.28%175,000New
83
VANGUARD WORLD FD
92204A405
FINANCIALS ETF$19.19M0.28%174,588
84
HONEYWELL INTL INC
438516106
COM$19.19M0.28%92,828+18.3%
85
BGC GROUP INC
088929104
CL A$18.6M0.27%2,025,633+3.0%
86
SERVICENOW INC
81762P102
COM$18.4M0.27%20,575New
87
MAGNOLIA OIL & GAS CORP
559663109
CL A$18.12M0.26%742,000New
88
SPRINGWORKS THERAPEUTICS INC
85205L107
COM$17.92M0.26%559,321+45.3%
89
NEUROCRINE BIOSCIENCES INC
64125C109
COM$17.28M0.25%150,000-23.0%
90
TECK RESOURCES LTD
878742204
CL B$16.8M0.24%321,503+42.6%
91
ORACLE CORP
68389X105
COM$16.76M0.24%98,374New
92
COREBRIDGE FINL INC
21871X109
COM$16.66M0.24%571,252+7.0%
93
ALLSTATE CORP
020002101
COM$15.36M0.22%80,970-11.5%
94
DIGITALOCEAN HLDGS INC
25402D102 · Call
COM$15.15M0.22%375,000New
95
LOAR HOLDINGS INC
53947R105
COM SHS$14.92M0.22%200,000
96
MKS INSTRS INC
55306N104
COM$14.65M0.21%134,770+56.9%
97
DARLING INGREDIENTS INC
237266101
COM$14.4M0.21%387,475-33.4%
98
HESS MIDSTREAM LP
428103105
CL A SHS$14.11M0.20%400,000New
99
CANADIAN PACIFIC KANSAS CITY
13646K108
COM$14.07M0.20%164,431New
100
SPDR SER TR
78464A698
S&P REGL BKG$13.92M0.20%245,890-23.0%
101
KEYCORP
493267108
COM$13.84M0.20%826,400-36.4%
102
EVOLUS INC
30052C107
COM$13.77M0.20%850,000
103
PRIVIA HEALTH GROUP INC
74276R102
COM$13.66M0.20%750,000+25.0%
104
ATI INC
01741R102
COM$13.21M0.19%197,456+11.5%
105
CBOE GLOBAL MKTS INC
12503M108
COM$13.05M0.19%63,688-66.5%
106
OSCAR HEALTH INC
687793109
CL A$12.73M0.18%600,000New
107
JPMORGAN CHASE & CO.
46625H100
COM$11.51M0.17%54,600
108
NIKE INC
654106103
CL B$10.81M0.16%122,320-65.3%
109
INDIE SEMICONDUCTOR INC
45569U101
CLASS A COM$10.32M0.15%2,586,889-3.5%
110
RAPID7 INC
753422104 · Call
COM$10.02M0.14%251,100-48.4%
111
FREEPORT- MCMORAN INC
35671D857
CL B$9.98M0.14%200,000New
112
CROWDSTRIKE HLDGS INC
22788C105
CL A$9.89M0.14%35,278New
113
OKTA INC
679295AF2
NOTE 0.375% 6/1$9.76M0.14%10,500,000
114
GOLDMAN SACHS GROUP INC
38141G104
COM$9.63M0.14%19,450-42.0%
115
PALOMAR HLDGS INC
69753M105
COM$9.47M0.14%100,000New
116
FIRST CTZNS BANCSHARES INC N
31946M103
CL A$9.37M0.14%5,088+52.7%
117
POPULAR INC
733174700
COM NEW$9.11M0.13%90,900New
118
BRIGHTSPHERE INVT GROUP INC
10948W103
COM$8.8M0.13%346,293
119
AMERICAN INTL GROUP INC
026874784
COM NEW$8.66M0.13%118,300-53.2%
120
CLOUDFLARE INC
18915MAC1
NOTE 8/1$8.33M0.12%9,000,000
121
SNAP INC
83304AAH9
NOTE 0.125% 3/0$8.01M0.12%10,000,000
122
TELEDYNE TECHNOLOGIES INC
879360105
COM$7.88M0.11%17,999-9.4%
123
TC ENERGY CORP
87807B107
COM$7.13M0.10%150,000New
124
RAPID7 INC
753422104
COM$6.98M0.10%175,000New
125
BEACON ROOFING SUPPLY INC
073685109
COM$6.75M0.10%78,123New
126
CME GROUP INC
12572Q105
COM$6.63M0.10%30,028
127
CAMPING WORLD HLDGS INC
13462K109
CL A$6.05M0.09%249,900New
128
LUMENTUM HLDGS INC
55024UAF6
NOTE 0.500% 6/1$5.63M0.08%6,500,000-91.7%
129
CONCENTRA GROUP HOLDINGS PAR
20603L102
COMMON STOCK$5.59M0.08%250,000New
130
BUILDERS FIRSTSOURCE INC
12008R107
COM$5.58M0.08%28,800-56.5%
131
ENTERPRISE PRODS PARTNERS L
293792107
COM$5.53M0.08%190,000
132
SOLAREDGE TECHNOLOGIES INC
83417M104
COM$5.29M0.08%231,040New
133
ONEOK INC NEW
682680103
COM$4.97M0.07%54,493
134
HELIX ACQUISITION CORP II
G4444H101
CL A ORD SHS$4.96M0.07%475,000
135
ARDENT HEALTH PARTNERS INC
03980N107
COM$4.6M0.07%250,000New
136
3M CO
88579Y101
COM$4.54M0.07%33,244New
137
SPYRE THERAPEUTICS INC
00773J202
COM NEW$4.26M0.06%145,000
138
BOEING CO
097023105
COM$4.18M0.06%27,514New
139
NVENT ELECTRIC PLC
G6700G107
SHS$4.06M0.06%57,810New
140
ISHARES INC
464286509
MSCI CDA ETF$4.06M0.06%97,700
141
LAZARD INC
52110M109
COM$3.91M0.06%77,700
142
HAMILTON INSURANCE GROUP LTD
G42706104
CL B$3.87M0.06%200,000-20.0%
143
UNITY SOFTWARE INC
91332UAB7
NOTE 11/1$3.73M0.05%4,178,000
144
BANK OF NT BUTTERFIELD&SON L
G0772R208
SHS NEW$3.72M0.05%101,000
145
WESTERN MIDSTREAM PARTNERS L
958669103
COM UNIT LP INT$3.62M0.05%94,550
146
PACIFIC BIOSCIENCES CALIF IN
69404D108
COM$3.57M0.05%2,098,000+23.6%
147
TORM PLC
G89479102
SHS CL A$3.42M0.05%100,000New
148
GRIFOLS S A
398438408
SP ADR REP B NVT$3.34M0.05%376,000-50.0%
149
SITE CTRS CORP
82981J851
COM$3.03M0.04%50,000New
150
VARONIS SYS INC
922280102
COM$2.86M0.04%50,700New
151
CARVANA CO
146869102
CL A$2.82M0.04%16,181New
152
TWFG INC
87318A101
COM CL A$2.71M0.04%100,000New
153
B. RILEY FINANCIAL INC
05580M108 · Call
COM$2.5M0.04%475,500New
154
INTERNATIONAL FLAVORS&FRAGRA
459506101
COM$2.37M0.03%22,581New
155
CENTERPOINT ENERGY INC
15189T107
COM$2.14M0.03%72,894New
156
B. RILEY FINANCIAL INC
05580M108 · Put
COM$2.13M0.03%405,000New
157
BIOAGE LABS INC
09077V100
COM$2.08M0.03%100,000New
158
HEICO CORP NEW
422806208
CL A$2.06M0.03%10,114-70.1%
159
EQT CORP
26884L109
COM$1.72M0.02%47,023New
160
SPDR SER TR
78464A474
PORTFOLIO SHORT$1.52M0.02%50,284+57.1%
161
SUNRUN INC
86771W105
COM$1.44M0.02%80,000-93.7%
162
ARCADIUM LITHIUM PLC
G0508H110
COM SHS$1.43M0.02%500,000
163
B. RILEY FINANCIAL INC
05580M108
COM$1.05M0.02%200,000New
164
PELOTON INTERACTIVE INC
70614W100
CL A COM$998.41K0.01%213,336New
165
ENPHASE ENERGY INC
29355AAH0
NOTE 3/0$941.2K0.01%1,000,000
166
AMENTUM HOLDINGS INC
023939101
COM$870.78K0.01%27,001New
167
MBX BIOSCIENCES INC
55287L101
COM$779.4K0.01%30,000New
168
ZENAS BIOPHARMA INC
98937L105
COM$634.5K0.01%37,500New
169
BEYOND AIR INC
08862L103
COM$572.93K0.01%1,476,626New
170
BICARA THERAPEUTICS INC
055477103
COM$509.4K0.01%20,000New
171
SNOWFLAKE INC
833445109
CL A$412.81K0.01%3,594-85.6%
172
GRAB HOLDINGS LIMITED
G4124C109
CLASS A ORD$138.65K0.00%36,488New
173
ALPHABET INC
02079K107
CAP STK CL C$133.42K0.00%798New
174
VIATRIS INC
92556V106
COM$118.83K0.00%10,235New
175
DHT HOLDINGS INC
Y2065G121
SHS NEW$114.33K0.00%10,365New
176
ALIGHT INC
01626W101
COM CL A$88.53K0.00%11,964New
177
DIGITALOCEAN HLDGS INC
25402D102
COM$2.99K0.00%74-100.0%
Total filing value: $6.92B