Canyon Capital discloses updated portfolio positions in 13F filing: New positions include ORIG, BAC... Closed out VST, SCI, CAH
Highlights from 2017 Q3 filing as compared to 2017 Q2 filing:
- New positions in: ORIG (~7.26 mln shares), BAC (~1 mln), EQT (~0.83 mln), TDW (~0.07 mln)
- Increased positions in: KR (to ~5.3 mln shares from ~1.87 mln shares), RAD (to ~2 mln from ~0.48 mln), PAGP (to ~2.12 mln from ~1.37 mln), ARD (to ~2.77 mln from ~2.52 mln), DVMT (to ~0.58 mln from ~0.41 mln)
- Maintained positions in: AABA (~51.11 mln shares), MGM (~20.79 mln shares), ALLY (~8.56 mln shares), BERY (~5.94 mln shares), TWX (~5.66 mln shares)
- Closed positions in: VST (from ~1.11 mln shares), SCI (from ~0.98 mln), CAR (from ~0.8 mln), CAH (from ~0.68 mln), MCK (from ~0.53 mln), ABC (from ~0.29 mln), AZUL (from ~0.25 mln), NXPI (from ~0.05 mln)
- Decreased positions in: CSTM (to ~1.85 mln shares from ~3.03 mln shares), CJ (to ~1.23 mln from ~1.84 mln), AMC (to ~1.68 mln from ~1.95 mln), AGN (to ~0.14 mln from ~0.3 mln), GOGL (to ~0.59 mln from ~0.67 mln)