>>> Soros Fund Management discloses updated portfolio positions in

Soros Fund Management discloses updated portfolio positions in 13F filing: New positions in CRC, ENTR, PHM; Increased position in CSOD, NUAN, CY; Decreased position in AAL, QTM, ROVI; Closed position in TEVA, PSX

Highlights from 2014 Q3 filing as compared to 2014 Q2 filing:
  • New positions in: CRC (~10.7 mln shares), CVE (~2.8 mln), ENTR (~8.1 mln), GLPI (~1.2 mln), NE (~2.4 mln), PHM (~3.2 mln)
  • Increased positions in: CSOD (to ~72.5 mln shares from ~23.4 mln shares), CY (to ~14.2 mln from ~2.9 mln), DTV (to ~0.5 mln from ~0.3 mln), EBAY (to ~3.3 mln from ~1 mln), LSCC (to ~7.1 mln from ~1.8 mln), NUAN (to ~163.8 mln from ~84.4 mln)
  • Decreased positions in: AAL (to ~1.6 mln shares from ~3.3 mln shares), EXTR (to ~1 mln from ~4 mln), QTM (to ~85.3 mln from ~131 mln), ROVI (to ~0.8 mln from ~217.9 mln)
  • Closed positions in: AGNC (from ~0.4 mln shares), AXTA (from ~0.6 mln), NRG (from ~1.8 mln), PSX (from ~1.2 mln), TEVA (from ~4.9 mln), VRX (from ~0.6 mln)