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Elliott Management Corp Holdings Changes image
This page summarizes the Elliott Management Corp holdings changes quarter over quarter, as of their latest filing date of 12/31/2019. The information is divided into different holdings changes sections to cover new positions, exits, position increases, and position decreases, where applicable. In addition to Elliott Management Corp holdings changes, at Holdings Channel you can also learn the Top 10 Stocks Held By Elliott Management Corp.
EntityShares/Amount
Change
Position Value
Change
NLOK +6,460,681+$164,876
LQD +1,176,350+$150,526
LOGM +1,353,765+$116,072
IBB +906,200+$109,206
COG +2,500,000+$43,525
VMW +250,000+$37,948
CHK +19,000,000+$9,299
MERCADOLIBRE INC +4,000,000+$5,971
WAYFAIR INC +5,000,000+$5,186
AXE +25,000+$2,303
EntityShares/Amount
Change
Position Value
Change
DVN -17,525,000-$421,652
HES -6,700,000-$405,216
FOXA -4,039,112-$127,373
AA -3,500,000-$70,245
DISHV -52,400,000-$47,577
ROAN -16,328,020-$20,083
HST -1,000,000-$17,290
CARB -1,100,000-$17,039
COMM -644,000-$7,573
PRAA -1,500,000-$1,530
EntityShares/Amount
Change
Position Value
Change
T +22,125,000+$868,520
DELL +3,503,712+$171,996
NLSN +2,370,100+$34,813
TSLA +2,000,000+$4,678
CENX +1,000,000+$7,960
OIH +1,000,000+$9,958
VNQ +1,000,000+$98,770
QQQ +772,300+$47,579
VNO +220,000+$18,875
DLR +125,000+$20,002
EntityShares/Amount
Change
Position Value
Change
HYG -5,168,000-$449,854
XOP -3,940,000-$108,198
XLE -3,500,000-$217,280
OPB -2,642,209-$49,731
CTXS -889,072-$11,009
WPM -500,000-$15,753
MPC -431,500-$32,035
RILY -125,414+$440
ESI -6,900+$16,346
Size ($ in 1000's)
At 12/31/2019: $11,834,569
At 09/30/2019: $12,005,353

Combined Holding Report Includes:
ELLIOTT MANAGEMENT CORP
ELLIOTT ASSOCIATES L.P.
ELLIOTT INTERNATIONAL L.P.

Elliott Management Corp holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Elliott Management Corp 13F filings. Link to 13F filings: SEC filings

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