Soros Fund Management (George Soros) discloses updated portfolio positions in 13F filing:
Highlights from 2016 Q2 filing as compared to 2016 Q1 filing:
- New positions in: BAC (~0.4 mln shares), AMAT (~0.4 mln), ATVI (~0.4 mln), SIGM (~0.7 mln), XXIA (~0.7 mln), CSAL (~0.7 mln), SUPV (~1.4 mln),VIPS (~0.3 mln), ROVI (~4.1 mln), LBRDK (~8.9 mln)
- Increased positions in: CBPO (to ~0.2 mln shares from ~0.1 mln shares), DISH (to ~0.7 mln from ~0.5 mln), MODN (to ~2.1 mln from ~1.5 mln) ALLT(to ~1.4 mln from ~0.1 mln), EXAR (to ~2.8 mln from ~1.4 mln), QTM (to ~12.7 mln from ~1.7 mln),
- Decreased positions in: ABX (to ~1.1 mln shares from ~19.4 mln shares), VIAV (to ~0.4 mln from ~10 mln), EBAY (to ~1.7 mln from ~3.7 mln), CZR(to ~3.3 mln from ~5 mln), QLGC (to ~0.4 mln from ~1.5 mln), ZTS (to ~1.3 mln from ~2.3 mln), MXL (to ~0.2 mln from ~0.9 mln), AAL (to ~0.3 mln from ~0.9 mln), PYPL (to ~0.8 mln from ~1.4 mln), JD (to ~0.8 mln from ~1.3 mln)
- Closed positions in: SFS (from ~0.6 mln), OGE (from ~0.6 mln), ODP (from ~0.6 mln), RICE (from ~0.7 mln), RACE (from ~0.9 mln), TMUS (from ~0.5 mln), MZOR (from ~0.5 mln), RAD (from ~0.5 mln), IBN (from ~1.4 mln)