13F.
SOROS FUND MANAGEMENT LLC
13F-HR

Q1 2020

Period Mar 31, 2020Filed May 15, 2020View on EDGAR ↗
Positions
118
Total value
$1.98B
Top 10 concentration
57.3%
New positions
51

Exited positionsvs. Q4 2019

  • TESLA INC ($91.11M)
  • ROVI CORP ($62.82M)
  • MONDELEZ INTL INC ($55.85M)
  • INSEEGO CORP ($48.34M)
  • ARCHER DANIELS MIDLAND CO ($46.35M)
  • EDGEWELL PERS CARE CO ($31.89M)
  • KEURIG DR PEPPER INC ($31.85M)
  • ISHARES TR ($30.33M)

Holdings · 118

#Class
1
LIBERTY BROADBAND CORP
530307305
COM SER C$584.8M29.61%5,281,767-7.0%
2
VICI PPTYS INC
925652109
COM$82.85M4.19%4,978,697-29.6%
3
D R HORTON INC
23331A109
COM$79.77M4.04%2,346,070+73.6%
4
PELOTON INTERACTIVE INC
70614W100
CL A COM$79.5M4.02%2,994,155+966.0%
5
ACTIVISION BLIZZARD INC
00507V109
COM$65.4M3.31%1,099,500+45.0%
6
MICROCHIP TECHNOLOGY INC
595017AH7
NOTE 2.250% 2/1$50.49M2.56%53,434,000+37.6%
7
NORTONLIFELOCK INC
668771108
COM$50.45M2.55%2,696,157-18.1%
8
TRANSDIGM GROUP INC
893641100
COM$47.81M2.42%149,331New
9
GRIFOLS S A
398438408
SP ADR REP B NVT$46.94M2.38%2,330,799+11.9%
10
SELECT SECTOR SPDR TR
81369Y886
SBI INT-UTILS$44.33M2.24%800,000New
11
CYPRESS SEMICONDUCTOR CORP
232806109
COM$40.58M2.05%1,740,000New
12
ALPHABET INC
02079K305
CAP STK CL A$38.2M1.93%32,875-50.0%
13
ALCON INC
H01301128
ORD SHS$35.61M1.80%700,762+63.9%
14
ISHARES TR
464288414
NATIONAL MUN ETF$27.28M1.38%241,400New
15
LEGG MASON INC
524901105
COM$27.02M1.37%553,060New
16
LPL FINL HLDGS INC
50212V100
COM$26.03M1.32%478,222
17
ISHARES TR
464287242
IBOXX INV CP ETF$24.7M1.25%200,000New
18
WAYFAIR INC
94419LAD3
NOTE 1.125%11/0$18.99M0.96%27,971,000-10.5%
19
TD AMERITRADE HLDG CORP
87236Y108
COM$18.84M0.95%543,484+136.0%
20
GAIN CAP HLDGS INC
36268WAF7
NOTE 5.000% 8/1$18.04M0.91%18,582,000
21
AGNC INVT CORP
00123Q104
COM$17.99M0.91%1,700,407+22.5%
22
INVACARE CORP
461203AH4
NOTE 4.500% 6/0$17.81M0.90%20,473,000+64.1%
23
PENNYMAC CORP
70932AAB9
NOTE 5.375% 5/0$17.4M0.88%17,750,000New
24
WRIGHT MED GROUP N V
N96617118
ORD SHS$16.9M0.86%590,000+181.0%
25
CYTOKINETICS INC
23282WAA8
NOTE 4.000%11/1$16.22M0.82%12,500,000New
26
EVOLENT HEALTH INC
30050BAD3
NOTE 1.500%10/1$15.24M0.77%24,117,000-5.3%
27
TIFFANY & CO NEW
886547108
COM$15.22M0.77%117,538-50.4%
28
VEONEER INCORPORATED
92336XAA7
NOTE 4.000% 6/0$15.01M0.76%18,700,000
29
E TRADE FINANCIAL CORP
269246401
COM NEW$14.7M0.74%428,400+6084.5%
30
BENEFITFOCUS INC
08180DAB2
NOTE 1.250%12/1$13.84M0.70%18,116,000-6.9%
31
COLLEGIUM PHARMACEUTICAL INC
19459JAA2
NOTE 2.625% 2/1$13.81M0.70%14,990,000New
32
TIMKENSTEEL CORP
887399AA1
NOTE 6.000% 6/0$13.68M0.69%17,115,000+8.2%
33
GOGO INC
38046CAD1
NOTE 6.000% 5/1$13.64M0.69%23,255,000New
34
INVACARE CORP
461203AJ0
NOTE 5.000%11/1$12.22M0.62%14,500,000+163.6%
35
TEAM INC
878155AE0
NOTE 5.000% 8/0$11.65M0.59%15,944,000
36
VISTRA ENERGY CORP
92840M102
COM$10.77M0.55%675,000-62.0%
37
OMEROS CORP
682143AE2
NOTE 6.250%11/1$10.61M0.54%11,600,000+132.0%
38
T MOBILE US INC
872590104
COM$10.28M0.52%122,544New
39
UNITEDHEALTH GROUP INC
91324P102
COM$9.98M0.51%40,000-66.7%
40
OWL ROCK CAPITAL CORPORATION
69121K104
COM$9.24M0.47%800,325-33.3%
41
ARAMARK
03852U106
COM$8.99M0.46%450,400New
42
GREEN PLAINS INC
393222AF1
NOTE 4.125% 9/0$8.97M0.45%14,800,000
43
KKR & CO INC
48251W104
CL A$8.71M0.44%370,935+9.2%
44
BOEING CO
097023105 · Call
COM$8.58M0.43%57,500+121.2%
45
WAYFAIR INC
94419LAB7
NOTE 0.375% 9/0$8.22M0.42%10,500,000New
46
BANK NEW YORK MELLON CORP
064058100
COM$8.21M0.42%243,767+91.0%
47
GREENLIGHT CAP RE LTD
395366AB3
NOTE 4.000% 8/0$8.13M0.41%10,250,000+215.4%
48
TAUBMAN CTRS INC
876664103
COM$8.11M0.41%193,736New
49
NISOURCE INC
65473P105
COM$7.49M0.38%300,000New
50
CAESARS ENTMT CORP
127686103
COM$7.35M0.37%1,087,585-30.4%
51
ALLIANT ENERGY CORP
018802108
COM$7.24M0.37%150,000New
52
SHERWIN WILLIAMS CO
824348106
COM$6.89M0.35%15,000New
53
EQUITABLE HLDGS INC
29452E101
COM$6.6M0.33%456,826New
54
CHENIERE ENERGY INC
16411RAG4
NOTE 4.250% 3/1$6.56M0.33%10,000,000New
55
UNISYS CORP
909214BS6
NOTE 5.500% 3/0$6.19M0.31%4,500,000New
56
WESTERN ASSET MTG CAP CORP
95790DAA3
NOTE 6.750%10/0$6.16M0.31%19,200,000-38.5%
57
ALLSTATE CORP
020002101
COM$6.07M0.31%66,200+49.8%
58
FIRSTENERGY CORP
337932107
COM$6.01M0.30%150,000New
59
APPLIED OPTOELECTRONICS INC
03823UAB8
NOTE 5.000% 3/1$5.91M0.30%8,000,000New
60
BGC PARTNERS INC
05541T101
CL A$5.83M0.29%2,311,698-38.5%
61
CBOE GLOBAL MARKETS INC
12503M108
COM$5.73M0.29%64,161+23.7%
62
RESOURCE CAP CORP
76120WAC8
NOTE 4.500% 8/1$5.68M0.29%9,941,000+43.9%
63
EVERGY INC
30034W106
COM$5.51M0.28%100,000New
64
LENNAR CORP
526057104
CL A$5.44M0.28%142,275New
65
DISNEY WALT CO
254687106
COM DISNEY$5.31M0.27%55,000New
66
CME GROUP INC
12572Q105
COM$5.19M0.26%30,028-34.9%
67
GOLDEN STAR RES LTD CDA
38119TAG9
NOTE 7.000% 8/1$4.76M0.24%5,365,000
68
ENTERGY CORP NEW
29364G103
COM$4.7M0.24%50,000New
69
REDWOOD TR INC
758075AD7
NOTE 5.625% 7/1$4.69M0.24%8,325,000-41.9%
70
FOCUS FINL PARTNERS INC
34417P100
COM CL A$4.29M0.22%186,300New
71
TECH DATA CORP
878237106
COM$4.27M0.22%32,596New
72
CENOVUS ENERGY INC
15135U109
COM$4.04M0.20%2,000,000+566.7%
73
AMEREN CORP
023608102
COM$3.64M0.18%50,000New
74
GOLDMAN SACHS GROUP INC
38141G104
COM$3.55M0.18%22,941+1.1%
75
ON SEMICONDUCTOR CORP
682189AK1
NOTE 1.000%12/0$3.49M0.18%3,500,000-84.0%
76
LANNET INC
516012101 · Put
COM$3.48M0.18%500,000
77
EURONET WORLDWIDE INC
298736109
COM$3.41M0.17%39,731-44.4%
78
BRIGHTSPHERE INVT GROUP INC
10948W103
COM$3.2M0.16%500,000New
79
NAVIENT CORPORATION
63938C108
COM$3.19M0.16%421,142+5.5%
80
SCORPIO TANKERS INC
80918TAB5
NOTE 3.000% 5/1$3.06M0.15%3,500,000New
81
LIBERTY MEDIA CORP
530715AL5
DEB 3.750% 2/1$3M0.15%5,000,000New
82
LIBERTY MEDIA CORP
530715AG6
DEB 4.000%11/1$3M0.15%5,000,000New
83
MAGELLAN MIDSTREAM PRTNRS LP
559080106
COM UNIT RP LP$2.98M0.15%81,700
84
INOVIO PHARMACEUTICALS INC
45773HAB8
NOTE 6.500% 3/0$2.96M0.15%2,000,000New
85
CMS ENERGY CORP
125896100
COM$2.94M0.15%50,000New
86
INVITATION HOMES INC
46187W107
COM$2.94M0.15%137,363New
87
COLONY CAP INC
19624RAB2
NOTE 3.875% 1/1$2.89M0.15%3,500,000New
88
MASTERCARD INC
57636Q104
CL A$2.82M0.14%11,678-35.4%
89
AVANTOR INC
05352A100
COM$2.81M0.14%224,780
90
ENTERPRISE PRODS PARTNERS L
293792107
COM$2.72M0.14%190,000
91
CANADIAN NAT RES LTD
136385101
COM$2.71M0.14%200,000+100.0%
92
XCEL ENERGY INC
98389B100
COM$2.65M0.13%44,000New
93
ENERGY TRANSFER LP
29273V100
COM UT LTD PTN$2.2M0.11%477,750
94
BOOKING HLDGS INC
09857L108
COM$2.01M0.10%1,497New
95
EVERCORE INC
29977A105
CLASS A$1.92M0.10%41,738-48.9%
96
DOMINION ENERGY INC
25746U109
COM$1.81M0.09%25,000New
97
PEGASYSTEMS INC
705573103
COM$1.74M0.09%24,400New
98
CHENIERE ENERGY INC
16411R208
COM NEW$1.68M0.08%50,000-68.5%
99
SBA COMMUNICATIONS CORP NEW
78410G104
CL A$1.51M0.08%5,600New
100
AMERICAN TOWER CORP NEW
03027X100
COM$1.47M0.07%6,750New
101
MELLANOX TECHNOLOGIES LTD
M51363113 · Call
SHS$1.25M0.06%10,300New
102
KIMBELL RTY PARTNERS LP
49435R102
UNIT$1.17M0.06%200,000+100.0%
103
DYCOM INDS INC
267475AB7
NOTE 0.750% 9/1$767K0.04%900,000New
104
ENERGIZER HLDGS INC NEW
29272W109
COM$756K0.04%25,000-96.5%
105
ALLERGAN PLC
G0177J108
SHS$710K0.04%4,010New
106
EQM MIDSTREAM PARTNERS LP
26885B100
UNIT LTD PARTN$649K0.03%55,000
107
CLOVIS ONCOLOGY INC
189464100
COM$591K0.03%92,900New
108
DENBURY RES INC DEL
U2481AAK4
DEBT 6.375%12/3$566K0.03%1,348,000
109
GOGO INC
38046C109 · Put
COM$530K0.03%250,000New
110
FORESCOUT TECHNOLOGIES INC
34553D101
COM$515K0.03%16,314New
111
EXACT SCIENCES CORP
30063P105
COM$481K0.02%8,300New
112
NEW YORK MTG TR INC
649604AD7
NOTE 6.250% 1/1$435K0.02%781,000-80.7%
113
WESTERN MIDSTREAM PARTNERS L
958669103
COM UNIT LP INT$306K0.02%94,550
114
BELLRING BRANDS INC
079823100
COM CL A$290K0.01%17,000-94.3%
115
BANDWIDTH INC
05988J103
COM CL A$229K0.01%3,400New
116
EAGLE BULK SHIPPING INC
Y21898AA2
DEBT 5.000% 8/0$185K0.01%250,000
117
FALCON MINERALS CORP
30607B208
*W EXP 07/21/202$161K0.01%1,072,500
118
MONTAGE RES CORP
61179L100
COM$117K0.01%51,877
Total filing value: $1.98B