Soros Fund (George Soros) discloses updated portfolio positions in 13F filing: New NLY SYMC EBAY positionsHighlights from 2019 Q2 filing as compared to Q1 2019:
- New positions in: NLY (~2.36 mln shares), SYMC (~1.85 mln), QQQ (~1.17 mln), EBAY (~1.07 mln), AGNC (~0.85 mln), EPC (~0.8 mln), CY (~0.55 mln), HOS (~0.5 mln), WORK (~0.5 mln)
- Increased positions in: DNR (to ~6.5 mln shares from ~2.5 mln shares), BGCP (to ~3.57 mln from ~1.48 mln), VICI (to ~20.54 mln from ~19.64 mln), DHI (to ~1.64 mln from ~0.97 mln), KDP (to ~0.97 mln from ~0.5 mln) CELG (to ~0.82 mln from ~0.41 mln), SC (to ~0.71 mln from ~0.5 mln) ETFC (to ~0.65 mln from ~0.46 mln),
- Maintained positions in: LBRDK (~7.25 mln shares), GRFS (~2.13 mln)
- Closed positions in: SIRI (from ~4.21 mln shares), ATUS (from ~1.65 mln), CDAY (from ~1.65 mln), MRVL (from ~1.4 mln), CMCSA (from ~1.1 mln), LGFA (from ~1.05 mln), COTY (from ~1 mln), VIAB (from ~0.85 mln)
- Decreased positions in: CZR (to ~19.04 mln shares from ~24.82 mln shares), MDLZ (to ~1.18 mln from ~1.2 mln), TIVO (to ~0.4 mln from ~1.57 mln), GLIBA (to ~0.09 mln from ~1.15 mln), CAG (to ~1.15 mln from ~1.85 mln), FLMN (to ~0.9 mln from ~1.17 mln), I (to ~0.64 mln from ~0.88 mln), IWB (to ~0.26 mln from ~0.41 mln), MKC (to ~0.18 mln from ~0.26 mln)