Elliott Management (Paul Singer) discloses updated portfolio positions in 13F filing: New QEP UNIT CZR positions
Highlights from 2017 Q4 filing as compared to 2017 Q3 filing:
- New positions in: QEP (~10.5 mln shares), UNIT (~6.88 mln), CZR (~4.85 mln), CVG (~4.52 mln), MD (~2.48 mln), AKAM (~2 mln), WIT (~1.86 mln), TDW (~0.69 mln)
- Increased positions in: TCO (to ~2.92 mln shares from ~2.32 mln shares)
- Maintained positions in: ARNC (~51.1 mln shares), BTU (~21.19 mln shares), HES (~21.12 mln shares), ORIG (~18.49 mln shares), NXPI (~16.44 mln shares), CDK (~8.11 mln shares), CTXS (~7.09 mln shares), DVMT (~5.64 mln shares)
- Closed positions in: ECA (from ~37.5 mln shares), MPC (from ~4.96 mln), NOG (from ~4.58 mln), ADNT (from ~1.38 mln), ACAD (from ~1.06 mln), RYAA.Y (from ~1 mln), WYN (from ~0.8 mln), GNTX (from ~0.52 mln), IRS (from ~0.52 mln), MON (from ~0.44 mln)
- Decreased positions in: AA (to ~2.9 mln shares from ~8.33 mln shares), NRG (to ~10 mln from ~14 mln), MITL (to ~8.38 mln from ~11.18 mln), SAH (to ~0.31 mln from ~0.89 mln), GPI (to ~0.05 mln from ~0.31 mln)