>>> Elliott Management (Paul Singer) discloses updated portfolio po


Elliott Management (Paul Singer) discloses updated portfolio positions in 13F filing:

Highlights from 2016 Q3 filing as compared to 2016 Q2 filing:
  • New positions in: ARNC (~77.6 mln shares-also has calls), ECA (~12.13 mln), TLN (~5.82 mln), GEO (~3.22 mln), CXW (~2.31 mln), SAH (~0.47 mln)
  • Increased positions in: MENT (to ~4.83 mln shares from ~4.33 mln shares), BBL (to ~0.78 mln from ~0.26 mln), HLF (to ~0.08 mln from ~0.05 mln), SYMC (to ~12 mln from ~11.53 mln)
  • Maintained positions in: HES (~18.8 mln shares), ACAS (~12.48 mln shares), IPG (~11.55 mln shares), CDK (~8.11 mln shares), CTXS (~6.71 mln shares), OPB (~5.05 mln shares), AGN (~2.74 mln shares)
  • Decreased positions in: FTNT (to ~0.45 mln shares from ~2.75 mln shares), FBIO (to ~0.48 mln from ~1.07 mln), NE (to ~0.26 mln from ~0.41 mln)
  • Closed positions in: SBS (from ~8.1 mln shares), NBHC (from ~2.4 mln), MON (from ~1.36 mln), QLYS (from ~1.31 mln), QEP (from ~0.5 mln)