Soros Fund Management (George Soros) discloses updated portfolio positions in 13F filing: New VICI DISCA I WFC JPM XL positions
Highlights from 2018 Q1 filing as compared to 2017 Q4 filing:
- New positions in: VICI (~21.5 mln shares), DISCA (~1.55 mln), I (~1.37 mln), WFC (~1.13 mln), GLIBA (~0.83 mln), JPM (~0.72 mln), XL (~0.71 mln), C (~0.7 mln), QRTEA (~0.7 mln), WMB (~0.68 mln)
- Increased positions in: BAC (to ~2.42 mln shares from ~0.26 mln shares), COTY (to ~1.11 mln from ~0.13 mln), MRVL (to ~1.24 mln from ~0.3 mln), LGF.A (to ~1.25 mln from ~0.4 mln), SERV (to ~0.54 mln from ~0.05 mln) BAX (to ~0.67 mln from ~0.2 mln), CNQ (to ~0.76 mln from ~0.31 mln) ZAYO (to ~1.28 mln from ~0.83 mln),
- Maintained positions in: CZR (~34.5 mln shares), LBRDK (~7.67 mln shares), AABA (~2.82 mln shares)
- Closed positions in: OSTK (from ~2.47 mln shares), AEO (from ~1.28 mln), XLF (from ~1.05 mln), GPS (from ~1 mln), OAS (from ~0.8 mln), CMCS.A (from ~0.7 mln), HAL (from ~0.64 mln), PLAY (from ~0.59 mln), CBS (from ~0.45 mln)
- Decreased positions in: DNR (to ~4.57 mln shares from ~6.98 mln shares), TIVO (to ~2.33 mln from ~3.85 mln), CRC (to ~0.5 mln from ~1.63 mln), URBN (to ~0.57 mln from ~1.02 mln), SEDG (to ~0.59 mln from ~1.01 mln), LIVN (to ~0.01 mln from ~0.3 mln), FCAU (to ~0.28 mln from ~0.55 mln), CTL (to ~0.85 mln from ~1.1 mln)
![]()