Soros Fund Management discloses updated portfolio positions in 13F filing: New position in VIAV, VER; increased stake in MBI, NRG; cut stake in CALX, FB; closed position in AA, ATML
Highlights from 2015 Q3 filing as compared to 2015 Q2 filing:
- New positions in: VIAV (~10.5 mln shares), VER (~3.9 mln), PYPL (~4.4 mln), CIT (~2.8 mln)
- Increased positions in: EBAY (to ~5.4 mln shares from ~3.2 mln shares), MBI (to ~3 mln from ~1.7 mln), NRG (to ~4.3 mln from ~2.5 mln), PMCS (to ~11.2 mln from ~6.1 mln)
- Decreased positions in: CALX (to ~0.4 mln shares from ~1.4 mln shares), FB (to ~1.8 mln from ~2.6 mln), KKD (to ~0.3 mln from ~0.6 mln), MON (to ~0.5 mln from ~1.2 mln)
- Closed positions in: AA (from ~5.3 mln shares), ATML (from ~5.2 mln), PHM (from ~3.2 mln), CKSW (from ~3.1 mln), HLF (from ~2 mln)