Soros Fund Management (George Soros) discloses updated portfolio positions in 13F filing
Highlights from 2017 Q1 filing as compared to 2016 Q4 filing:
- New positions in: SNAP (~1.65 mln shares), CNDT (~1.59 mln), CJ (~1 mln), GRAM (~0.73 mln), LRCX (~0.56 mln), KMI (~0.49 mln), TTWO (~0.46 mln), TSX:AYA (~0.45 mln), FWON.A (~0.43 mln), COP (~0.4 mln)
- Increased positions in: SIGM (to ~3.7 mln shares from ~1.57 mln shares), HPE (to ~3.2 mln from ~1.07 mln), NOMD (to ~1.33 mln from ~0.21 mln), BV (to ~1.67 mln from ~0.71 mln), MDLZ (to ~1.24 mln from ~0.46 mln) SYMC (to ~1.2 mln from ~0.43 mln), SREV (to ~1 mln from ~0.44 mln) RAI (to ~0.58 mln from ~0.05 mln),
- Maintained positions in: CACQ (~5.71 mln shares
- Closed positions in: TVPT (from ~2.4 mln shares), IMOS (from ~1.28 mln), EXTR (from ~0.97 mln), GDS (from ~0.76 mln), EBAY (from ~0.67 mln), P (from ~0.6 mln), KSS (from ~0.6 mln), FHB (from ~0.53 mln), FITB (from ~0.52 mln)
- Decreased positions in: AGRO (to ~8.92 mln shares from ~11.92 mln shares), INVN (to ~0.38 mln from ~1.31 mln), VIAV (to ~0.37 mln from ~1.27 mln), KEG (to ~1.25 mln from ~1.85 mln), SUPV (to ~1.67 mln from ~2 mln), UBNT (to ~0.05 mln from ~0.17 mln), CYBR (to ~0.19 mln from ~0.28 mln), MLNX (to ~0.07 mln from ~0.15 mln), LBRDK (to ~7.91 mln from ~8.32 mln)