13F.
SOROS FUND MANAGEMENT LLC
13F-HR

Q4 2025

Period Dec 31, 2025Filed Feb 13, 2026View on EDGAR ↗
Positions
244
Total value
$8.63B
Top 10 concentration
27.5%
New positions
135

Exited positionsvs. Q3 2025

  • FORD MTR CO ($137.71M)
  • ISHARES TR ($132.68M)
  • KRANESHARES TRUST ($100.82M)
  • SOUTHERN CO ($94.02M)
  • ISHARES TR ($89.37M)
  • ARAMARK ($87.18M)
  • ISHARES TR ($45.59M)
  • INTERPUBLIC GROUP COS INC ($40.5M)

Holdings · 244

#Class
1
AMAZON COM INC
023135106
COM$544.64M6.31%2,359,572+6.0%
2
SPDR SERIES TRUST
78468R556 · Put
STATE STREET SPD$415.48M4.81%3,290,700New
3
SPOTIFY USA INC
84921RAB6
NOTE 3/1$221.23M2.56%194,500,000+5.2%
4
ALPHABET INC
02079K305
CAP STK CL A$200.03M2.32%639,067-2.9%
5
RIVIAN AUTOMOTIVE INC
76954AAB9
NOTE 4.625% 3/1$180.33M2.09%143,436,000-3.4%
6
GLOBAL PMTS INC
37940XAU6
NOTE 1.500% 3/0$175.69M2.04%195,500,000-16.5%
7
JAZZ INVESTMENTS I LTD
472145AF8
NOTE 2.000% 6/1$173.18M2.01%149,399,000New
8
SELECT SECTOR SPDR TR
81369Y506 · Put
STATE STREET ENE$162.74M1.89%3,639,800New
9
CONFLUENT INC
20717MAB9
NOTE 1/1$160.81M1.86%164,927,000+73.6%
10
SALESFORCE INC
79466L302
COM$137.55M1.59%519,246+12.0%
11
DROPBOX INC
26210CAC8
NOTE 3/0$137.55M1.59%138,750,000+12.1%
12
PG&E CORP
69331CAL2
NOTE 4.250%12/0$137.49M1.59%133,500,000-15.0%
13
TKO GROUP HOLDINGS INC
87256C101
CL A$132.84M1.54%635,583+2.5%
14
MICROSOFT CORP
594918104
COM$127.21M1.47%263,041+158.5%
15
NVIDIA CORPORATION
67066G104
COM$124.15M1.44%665,676+21.5%
16
COREWEAVE INC
21873S108 · Put
COM CL A$123.18M1.43%1,720,100New
17
APPLE INC
037833100
COM$113.16M1.31%416,239+19.0%
18
KODIAK AI INC.
500081104
COM$108.85M1.26%9,967,978
19
TAIWAN SEMICONDUCTOR MFG LTD
874039100
SPONSORED ADS$106.32M1.23%349,858+157.1%
20
VANECK ETF TRUST
92189F676 · Put
SEMICONDUCTR ETF$104.44M1.21%290,000-6.5%
21
DAYFORCE INC
15677J108
COM$102.99M1.19%1,489,221New
22
SPDR S&P 500 ETF TR
78462F103 · Put
TR UNIT$102.29M1.19%150,000-20.6%
23
SPDR S&P 500 ETF TR
78462F103
TR UNIT$96.6M1.12%141,653+44.9%
24
DROPBOX INC
26210CAD6
NOTE 3/0$93.41M1.08%92,500,000
25
SMURFIT WESTROCK PLC
G8267P108
SHS$92.89M1.08%2,402,148-69.0%
26
EXACT SCIENCES CORP
30063P105
COM$87.75M1.02%864,009New
27
ELECTRONIC ARTS INC
285512109
COM$87.54M1.01%428,402+289.5%
28
CYBERARK SOFTWARE LTD
M2682V108
SHS$87.47M1.01%196,092+189.6%
29
ETSY INC
29786AAJ5
NOTE 0.125%10/0$85.98M1.00%85,000,000+161.5%
30
FIGURE TECHNOLOGY SOLUTIO
349381103
COM CL A$85.67M0.99%2,097,698-6.1%
31
NEW GOLD INC CDA
644535106
COM$84.42M0.98%9,691,998New
32
MARRIOTT VACATIONS WORLDWIDE
57164YAD9
NOTE 1/1$83.4M0.97%83,609,000+7.5%
33
BILL HOLDINGS INC
090043AF7
NOTE 4/0$83.34M0.97%90,385,000New
34
CONFLUENT INC
20717M103
CLASS A COM$81.34M0.94%2,689,913New
35
CMS ENERGY CORP
125896100
COM$77.37M0.90%1,106,375+42.5%
36
DISNEY WALT CO
254687106
COM$77.22M0.89%678,713+3.5%
37
ALLY FINL INC
02005N100
COM$76.43M0.89%1,687,493+128.8%
38
IDACORP INC
451107106
COM$74.04M0.86%585,056+44.8%
39
RAPID7 INC
753422AF1
NOTE 0.250% 3/1$73.33M0.85%77,500,000+7.3%
40
SYNOVUS FINL CORP
87161C501
COM NEW$71.99M0.83%1,438,381New
41
AIR LEASE CORP
00912X302
CL A$71.25M0.83%1,109,293+879.3%
42
AMICUS THERAPEUTICS INC
03152W109
COM$71.2M0.82%5,000,000New
43
CLEARWATER ANALYTICS HLDGS I
185123106
CL A$69.44M0.80%2,879,113New
44
AMAZON COM INC
023135106 · Call
COM$69.25M0.80%300,000+100.0%
45
MEDLINE INC
58507V107
COM CL A$66.36M0.77%1,580,000New
46
HOLOGIC INC
436440101
COM$65.28M0.76%876,422New
47
COMERICA INC
200340107
COM$65.11M0.75%748,994New
48
COREBRIDGE FINL INC
21871X109
COM$62.4M0.72%2,068,339+3.1%
49
CIDARA THERAPEUTICS INC
171757206
COM NEW$60.74M0.70%275,000New
50
AVIDITY BIOSCIENCES INC
05370A108
COM$60.66M0.70%840,976New
51
HUNTSMAN CORP
447011107 · Call
COM$59M0.68%5,900,000New
52
CHART INDS INC
16115Q308
COM$58.89M0.68%285,561+269.4%
53
ITT INC
45073V108
COM$57.15M0.66%329,390New
54
WOODWARD INC
980745103
COM$54.8M0.63%181,258New
55
XCEL ENERGY INC
98389B100
COM$54.07M0.63%732,025New
56
DATADOG INC
23804L103
CL A COM$51.69M0.60%380,115-11.3%
57
BRIGHTHOUSE FINL INC
10922N103
COM$50.16M0.58%774,262+19.5%
58
INTERACTIVE BROKERS GROUP IN
45841N107
COM CL A$49.61M0.57%771,480-51.3%
59
JANUS HENDERSON GROUP PLC
G4474Y214
ORD SHS$47.43M0.55%996,991New
60
ATLASSIAN CORPORATION
049468101
CL A$46.5M0.54%286,766+307.3%
61
UL SOLUTIONS INC
903731107
CLASS A COM SHS$45.78M0.53%580,520+21.0%
62
HILLENBRAND INC
431571108
COM$44.15M0.51%1,391,980New
63
INDIVIOR PLC
G4766E116
ORD$41.42M0.48%1,154,452-14.7%
64
JD.COM INC
47215PAJ5
NOTE 0.250% 6/0$41.07M0.48%41,000,000-31.7%
65
SUNRUN INC
86771W105
COM$41.02M0.48%2,229,518-47.2%
66
RADNET INC
750491102
COM$40.99M0.47%574,555+221.9%
67
NCL CORP LTD
62886HBD2
NOTE 1.125% 2/1$40.19M0.47%40,175,000+6.6%
68
REV GROUP INC
749527107
COM$39.03M0.45%641,910New
69
LUMENTUM HLDGS INC
55024UAD1
NOTE 0.500%12/1$38.05M0.44%10,250,000-8.9%
70
DIGITALBRIDGE GROUP INC
25401T603
CL A NEW$36.82M0.43%2,400,000New
71
SUNRUN INC
86771W105 · Call
COM$36.8M0.43%2,000,000-11.1%
72
ALLIANT ENERGY CORP
018802AC2
NOTE 3.875% 3/1$36.44M0.42%35,000,000-26.3%
73
DIGITALOCEAN HLDGS INC
25402DAB8
NOTE 12/0$36.07M0.42%37,348,000+27.3%
74
BROADCOM INC
11135F101
COM$35.43M0.41%102,379New
75
SEMPRA
816851109
COM$35.01M0.41%396,519+108.5%
76
ITRON INC
465741106
COM$34.84M0.40%375,219New
77
ACADIAN ASSET MANAGEMENT INC
10948W103
COM$34.66M0.40%737,367+61.3%
78
ACCENTURE PLC IRELAND
G1151C101
SHS CLASS A$33.61M0.39%125,259+24.9%
79
DOORDASH INC
25809K105
CL A$32.12M0.37%141,816+34.6%
80
NOVANTA INC
67000B203
UNIT 11/01/2028$31.74M0.37%581,067New
81
GFL ENVIRONMENTAL INC
36168Q104
SUB VTG SHS$31.47M0.36%732,620-16.3%
82
UBER TECHNOLOGIES INC
90353T100
COM$30.41M0.35%372,119+47.0%
83
CSG SYS INTL INC
126349109
COM$28.94M0.34%377,410New
84
IRON MTN INC DEL
46284V101 · Call
COM$27.18M0.31%327,700New
85
EXELON CORP
30161N101
COM$27.15M0.31%622,806+361.3%
86
ISHARES TR
464288414
NATIONAL MUN ETF$25.86M0.30%241,400
87
ISHARES INC
46434G764
MSCI EMRG CHN$25.78M0.30%354,686
88
CADENCE BANK
12740C103
COM$25.59M0.30%597,348New
89
TESLA INC
88160R101
COM$25.48M0.30%56,661New
90
CRH PLC
G25508105
ORD$24.96M0.29%200,000+11.8%
91
CONFLUENT INC
20717M103 · Call
CLASS A COM$24.61M0.29%813,900-56.3%
92
DYNAVAX TECHNOLOGIES CORP
268158201
COM NEW$24.14M0.28%1,569,507New
93
ELI LILLY & CO
532457108
COM$24M0.28%22,334New
94
CORE & MAIN INC
21874C102
CL A$22.58M0.26%434,454New
95
SEALED AIR CORP NEW
81211K100
COM$21.58M0.25%520,974New
96
KENVUE INC
49177J102
COM$21.5M0.25%1,246,246New
97
SPDR SERIES TRUST
78464A888
STATE STREET SPD$20.86M0.24%202,579New
98
GLOBE LIFE INC
37959E102
COM$20.35M0.24%145,500
99
FLUTTER ENTMT PLC
G3643J108
SHS$20M0.23%92,988-81.0%
100
INVESCO EXCHANGE TRADED FD T
46137V357
S&P500 EQL WGT$19.94M0.23%104,067-87.5%
101
SNOWFLAKE INC
833445109
COM SHS$19.8M0.23%90,245-65.0%
102
SOMNIGROUP INTERNATIONAL INC
88023U101
COM$19.64M0.23%220,000-64.8%
103
OLD NATL BANCORP IND
680033107
COM$19.09M0.22%855,685
104
BGC GROUP INC
088929104
CL A$18.85M0.22%2,110,763-52.0%
105
UNITEDHEALTH GROUP INC
91324P102
COM$18.75M0.22%56,791+19.7%
106
ZOETIS INC
98978V103
CL A$18.68M0.22%148,448New
107
PONY AI INC
732908108
SPONSORED ADS$17.86M0.21%1,231,714-40.8%
108
BLUE OWL CAPITAL INC
09581B103
COM CL A$17.73M0.21%1,186,576New
109
CITIZENS FINL GROUP INC
174610105
COM$17.44M0.20%298,507New
110
SELECT SECTOR SPDR TR
81369Y605
STATE STREET FIN$17.1M0.20%312,270New
111
TEXAS INSTRS INC
882508104
COM$17.04M0.20%98,191New
112
ZEBRA TECHNOLOGIES CORPORATI
989207105
CL A$16.13M0.19%66,426+38.1%
113
AMERICAN INTL GROUP INC
026874784
COM NEW$15.91M0.18%186,001New
114
SEMRUSH HLDGS INC
81686C104
CL A COM$15.28M0.18%1,285,100New
115
DUPONT DE NEMOURS INC
26614N102
COM$14.79M0.17%368,000-8.0%
116
PONY AI INC
732908108 · Call
SPONSORED ADS$14.5M0.17%1,000,000New
117
AMRIZE LTD
H2927K103
SHS$14.42M0.17%266,667-55.6%
118
ENTERGY CORP NEW
29364G103
COM$14.4M0.17%155,799-53.8%
119
LUMENTUM HLDGS INC
55024UAF6
NOTE 0.500% 6/1$14.19M0.16%5,000,000New
120
SYNCHRONY FINANCIAL
87165B103
COM$13.97M0.16%167,394+5.5%
121
HONEYWELL INTL INC
438516106
COM$13.86M0.16%71,055-28.9%
122
LIBERTY MEDIA CORP DEL
531229755
COM LBTY ONE S C$13.79M0.16%140,000New
123
CANTALOUPE INC
138103106
COM$13.29M0.15%1,251,880+0.6%
124
EVGO INC
30052F100
CL A COM$13.1M0.15%4,500,000+12.5%
125
HUMANA INC
444859102
COM$12.94M0.15%50,530-15.7%
126
ENPHASE ENERGY INC
29355A107
COM$12.82M0.15%400,000+300.0%
127
ISHARES TR
464287184
CHINA LG-CAP ETF$12.44M0.14%325,000New
128
STANDARDAERO INC
85423L103
COM$12.18M0.14%424,600-38.1%
129
MONGODB INC
60937P106
CL A$11.91M0.14%28,373-20.1%
130
ASTRIA THERAPEUTICS INC
04635X102
COM$11.43M0.13%873,400New
131
DISNEY WALT CO
254687106 · Call
COM$11.38M0.13%100,000New
132
WOLFSPEED INC
97785W106 · Call
COMMON STOCK$10.3M0.12%591,900New
133
OKTA INC
679295AF2
NOTE 0.375% 6/1$10.3M0.12%10,500,000
134
EQUITY RESIDENTIAL
29476L107
SH BEN INT$10.17M0.12%161,288New
135
WEC ENERGY GROUP INC
92939U106
COM$10.15M0.12%96,245New
136
AMERICAN WTR CAP CORP
03040WBE4
NOTE 3.625% 6/1$9.97M0.12%10,000,000New
137
RIVIAN AUTOMOTIVE INC
76954A103 · Put
COM CL A$9.36M0.11%475,000New
138
SNAP INC
83304AAH9
NOTE 0.125% 3/0$9.12M0.11%10,000,000
139
ALEXANDER & BALDWIN INC NEW
014491104
COM$9.09M0.11%440,176New
140
CORE SCIENTIFIC INC NEW
21874A114
*W EXP 01/23/202$8.99M0.10%1,062,761New
141
DIGITAL RLTY TR INC
253868103
COM$8.88M0.10%57,418New
142
FORGE GLOBAL HOLDINGS INC
34629L202
COM SHS$8.85M0.10%198,530New
143
COMMVAULT SYS INC
204166102
COM$8.78M0.10%70,000-67.8%
144
PROTAGONIST THERAPEUTICS INC
74366E102
COM$8.73M0.10%100,000New
145
SAILPOINT INC
78781J109
COM$8.6M0.10%425,000-67.2%
146
CME GROUP INC
12572Q105
COM$8.2M0.10%30,028
147
BUNGE GLOBAL SA
H11356104
COM SHS$7.71M0.09%86,568New
148
COINBASE GLOBAL INC
19260Q107
COM CL A$7.69M0.09%33,984New
149
RALLIANT CORP
750940108
COM$7.59M0.09%149,089
150
BETA TECHNOLOGIES INC
086921103
COM SHS CL A$7.57M0.09%268,520New
151
TRIPADVISOR INC
896945201
COM$7.57M0.09%520,000New
152
ORMAT TECHNOLOGIES INC
686688102
COM$7.53M0.09%68,190New
153
BLACK ROCK COFFEE BAR INC
092244102
CL A$7.53M0.09%338,250-12.4%
154
MIAMI INTL HLDGS INC
59356Q108
COM$6.86M0.08%154,560+48.2%
155
PLYMOUTH INDL REIT INC
729640102
COM$6.85M0.08%313,225New
156
SIX FLAGS ENTERTAINMENT CORP
83001C108
COM$6.75M0.08%440,000New
157
STUBHUB HLDGS INC
86384P109
CL A$6.58M0.08%486,599-44.4%
158
QNITY ELECTRONICS INC
74743L100
COMMON STOCK$6.53M0.08%80,000New
159
TAKE-TWO INTERACTIVE SOFTWAR
874054109
COM$6.52M0.08%25,478
160
UDEMY INC
902685106
COM$6.44M0.07%1,100,000New
161
RADIAN GROUP INC
750236101
COM$6.43M0.07%178,767
162
GALAXY DIGITAL INC.
36317J209
CL A$6.08M0.07%271,911-0.7%
163
ONESTREAM INC
68278B107
CL A$6.07M0.07%330,000+2.3%
164
ETORO GROUP LTD
G32089107
SHS CL A$6.05M0.07%172,220+4.2%
165
ANALOG DEVICES INC
032654105
COM$5.8M0.07%21,400-62.1%
166
BANKUNITED INC
06652K103
COM$5.78M0.07%129,704New
167
LEGENCE CORP
52476L109
CL A$5.53M0.06%128,560-3.8%
168
CENTERPOINT ENERGY INC
15189TBD8
NOTE 4.250% 8/1$5.47M0.06%5,000,000-95.0%
169
DOMINION ENERGY INC
25746U109
COM$5.35M0.06%91,323New
170
ISHARES INC
464286509
MSCI CDA ETF$5.27M0.06%97,700
171
V2X INC
92242T101
COM$5.06M0.06%92,800-13.2%
172
NEPTUNE INS HLDGS INC
64073B103
CL A$4.99M0.06%171,000New
173
FLUOR CORP NEW
343412102
COM$4.84M0.06%122,052New
174
GLOBALSTAR INC
378973507
COM NEW$4.81M0.06%78,881New
175
WARNER BROS DISCOVERY INC
934423104
COM SER A$4.32M0.05%150,000New
176
BLACKLINE INC
09239B109
COM$4.15M0.05%75,000New
177
CIRCLE INTERNET GROUP INC
172573107
COM CL A$4.1M0.05%51,707-74.5%
178
BULLISH
G16910120
ORD SHS$4.1M0.05%108,200-47.3%
179
GE HEALTHCARE TECHNOLOGIES I
36266G107
COMMON STOCK$3.88M0.04%47,298New
180
ADVANCED MICRO DEVICES INC
007903107
COM$3.68M0.04%17,201New
181
LIONSGATE STUDIOS CORP
53626N102
COM$3.66M0.04%400,972+33.7%
182
ROGERS CORP
775133101
COM$3.41M0.04%37,197New
183
MASTEC INC
576323109
COM$3.2M0.04%14,704New
184
AMENTUM HOLDINGS INC
023939101
COM$3.17M0.04%109,303New
185
VIKING THERAPEUTICS INC
92686J106
COM$3.17M0.04%90,000New
186
POTLATCHDELTIC CORPORATION
737630103
COM$3.02M0.03%75,900New
187
GRUPO AEROMEXICO SAB DE CV
40054J109
SPONSORED ADS$2.75M0.03%125,000New
188
CENTRAL BANCOMPANY
152413100
COM CL A$2.67M0.03%110,820New
189
WEALTHFRONT CORP
947002101
COM$2.49M0.03%182,960New
190
PAGERDUTY INC
69553P100
COM$2.42M0.03%184,592New
191
PAPA JOHNS INTL INC
698813102
COM$2.41M0.03%62,731New
192
OKLO INC
02156V109
COM CL A$2.31M0.03%32,147New
193
COMCAST CORP NEW
20030N101
CL A$2.2M0.03%73,440New
194
COUPANG INC
22266T109
CL A$2.19M0.03%92,732New
195
NUSCALE PWR CORP
67079K100
CL A COM$2.13M0.02%150,211New
196
RAPID7 INC
753422104
COM$2.05M0.02%134,845
197
WALMART INC
931142103
COM$1.98M0.02%17,744New
198
ENOVIX CORPORATION
293594107 · Call
COM$1.83M0.02%250,000New
199
JACOBS SOLUTIONS INC
46982L108
COM$1.73M0.02%13,031New
200
RUBRIK INC.
781154109
CL A$1.68M0.02%21,971New
201
ANDERSEN GROUP INC
033853102
CL A$1.62M0.02%62,600New
202
LINCOLN NATL CORP IND
534187109
COM$1.51M0.02%34,015New
203
CLEAR CHANNEL OUTDOOR HLDGS
18453H106
COM$1.5M0.02%680,000New
204
LULULEMON ATHLETICA INC
550021109
COM$1.5M0.02%7,225New
205
GROCERY OUTLET HLDG CORP
39874R101
COM$1.39M0.02%137,330New
206
CHARLES RIV LABS INTL INC
159864107
COM$1.35M0.02%6,778New
207
VOYAGER TECHNOLOGIES INC
92892B103
COM CL A$1.35M0.02%51,600New
208
EMCOR GROUP INC
29084Q100
COM$1.24M0.01%2,021New
209
BILLIONTOONE INC
090168105
CL A$1.19M0.01%14,500New
210
VSE CORP
918284100
COM$1.14M0.01%6,616New
211
LUCID GROUP INC
549498202
COM NEW$1.02M0.01%96,100New
212
BUILDERS FIRSTSOURCE INC
12008R107
COM$1.01M0.01%9,828New
213
EVERSOURCE ENERGY
30040W108
COM$1M0.01%14,890New
214
ENPHASE ENERGY INC
29355AAH0
NOTE 3/0$990.63K0.01%1,000,000
215
SPDR SERIES TRUST
78464A474
STATE STREET SPD$914.09K0.01%30,268New
216
LIBERTY MEDIA CORP DEL
531229771
COM LBTY ONE S A$911.68K0.01%10,200New
217
VIA TRANSN INC
92556W104
COM CL A$870.3K0.01%30,000
218
SHOPIFY INC
82509L107
CL A SUB VTG SHS$865.38K0.01%5,376New
219
WILLSCOT HLDGS CORP
971378104
COM CL A$849.95K0.01%45,138New
220
ROCKET COS INC
77311W101
COM CL A$849.28K0.01%43,868New
221
ROBLOX CORP
771049103
CL A$837.45K0.01%10,335New
222
QXO INC
82846H405
COM NEW$792.72K0.01%41,095New
223
CANTOR EQUITY PARTNERS V INC
G1828S109
SHS CL A S$768.75K0.01%75,000New
224
TWO HBRS INVT CORP
90187B804
COM$750.04K0.01%71,432New
225
TEGNA INC
87901J105
COM$711.82K0.01%36,673-92.3%
226
KARMAN HLDGS INC
485924104
COMMON STOCK$698.26K0.01%9,543-97.4%
227
JPMORGAN CHASE & CO.
46625H100
COM$697.61K0.01%2,165New
228
UNITY SOFTWARE INC
91332U101
COM$657.34K0.01%14,882-70.2%
229
MP MATERIALS CORP
553368101
COM CL A$624.83K0.01%12,368New
230
COMPASS DIVERSIFIED
20451Q104
SH BEN INT$599.17K0.01%124,827New
231
ASTERA LABS INC
04626A103
COM$558.8K0.01%3,359New
232
PURECYCLE TECHNOLOGIES INC
74623V103
COM$505.98K0.01%58,903New
233
FERMI INC
314911108
COM$484.31K0.01%60,539New
234
APPLIED OPTOELECTRONICS INC
03823U102
COM$403.54K0.00%11,576New
235
HUNTSMAN CORP
447011107
COM$384.35K0.00%38,435New
236
PERPETUA RESOURCES CORP
714266103
COM$276.14K0.00%11,406New
237
FAIR ISAAC CORP
303250104
COM$224.85K0.00%133-20.4%
238
ROIVANT SCIENCES LTD
G76279101
SHS$205.98K0.00%9,492New
239
PINNACLE FINL PARTNERS INC
72346Q104
COM$205.42K0.00%2,153New
240
ETHZILLA CORPORATION
68236V401
COM SHS$173.86K0.00%35,482New
241
NORTHERN DYNASTY MINERALS LT
66510M204
COM NEW$126.68K0.00%64,305New
242
CORE SCIENTIFIC INC NEW
21874A106
COM$79.47K0.00%5,458New
243
OPENDOOR TECHNOLOGIES INC
683712129
*W EXP 11/20/202$29.72K0.00%33,026New
244
OPENDOOR TECHNOLOGIES INC
683712137
*W EXP 11/20/202$1040.00%200New
Total filing value: $8.63B