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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

UBS OCONNOR LLC INSTITUTION : UBS OCONNOR LLC
UBS OCONNOR LLC Portfolio (reported on 2020-05-15)
Company (links to holding history) Ticker Value On
2020-03-31
No of Shares % of portfolio
CYPRESS    (COM) CY 394,029,000 16,896,600 13.32%
MELLANOX    (SHS) MLNX 247,118,000 2,036,907 8.35%
SPRINT C    (COM) 236,793,000 27,470,165 8.00%
UNITED T    (COM) UTX 74,616,000 791,012 2.52%
CAESARS    (NOTE5) 72,714,000 67,665,745 2.45%
FORTY SE    (COM) 58,507,000 613,157 1.97%
DISH NET    (NOTE2) 49,868,000 61,000,000 1.68%
CHURCHIL    (UNIT0) 46,370,000 4,637,000 1.56%
AMAG PHA    (NOTE3) 34,617,000 45,500,000 1.17%
FLYING E    (UNIT9) 31,406,000 3,150,000 1.06%
ANIXTER    (COM) AXE 26,946,000 306,667 0.91%
EXPERIEN    (COM) 26,536,000 3,566,666 0.89%
JUNIPER    (COM) 25,941,000 3,937,500 0.87%
BHP GROU    (SPONS) BBL 25,886,000 853,202 0.87%
APEX TEC    (COM) 25,644,000 3,750,000 0.86%
CALIFORN    (COM) CRC 25,087,000 3,567,900 0.84%
CHP MERG    (COM) 24,421,000 3,675,000 0.82%
FACEBOOK    (CLA) FB 24,186,000 145,000 0.81%
AMAZON C    (COM) AMZN 23,884,000 12,250 0.80%
GORES HL    (COM) 23,250,000 3,125,000 0.78%
NEW PROV    (COM) 22,941,000 3,415,500 0.77%
GIGCAPIT    (COM) 21,725,000 2,183,400 0.73%
ACAMAR P    (COM) 21,564,000 2,457,000 0.72%
DIAMONDP    (COM) 21,481,000 2,249,500 0.72%
MONOCLE    (COM) 20,668,000 2,056,500 0.69%
TRINE AC    (COM) 20,557,000 2,262,375 0.69%
PARATEK    (NOTE4) 20,406,000 27,750,000 0.69%
SILVER S    (COM) 20,334,000 2,431,834 0.68%
SOUTH MT    (COM) 20,095,000 2,366,579 0.67%
THUNDER    (COM) 19,548,000 2,008,068 0.66%
FAR PT A    (COM) 19,516,000 1,959,874 0.65%
SWITCHBA    (COM) 18,996,000 2,484,866 0.64%
CLOVIS O    (NOTE1) 18,871,000 30,000,000 0.63%
ADVANCED    (COM) 18,320,000 558,551 0.61%
CIIG MER    (COM) 17,996,000 2,700,000 0.60%
HENNESSY    (COM) 17,933,000 1,967,000 0.60%
FINTECH    (COMCL) 17,882,000 1,790,000 0.60%
FINSERV    (COM) 17,798,000 2,700,000 0.60%
OSPREY T    (COM) 17,592,000 2,625,000 0.59%
HEALTHCA    (COM) 17,365,000 2,500,000 0.58%
REPLAY A    (COM) 17,159,000 1,735,000 0.58%
FISERV I    (COM) FISV 17,098,000 180,000 0.57%
DROPBOX    (CLA) 16,736,000 924,626 0.56%
BRISTOL-    (RIGHT) 16,602,000 4,346,040 0.56%
HERON TH    (COM) HRTX 16,436,000 1,400,000 0.55%
CLEVELAN    (DBCV1) 16,320,000 24,000,000 0.55%
GREENSKY    (CLA) 16,276,000 4,260,646 0.55%
PIVOTAL    (COM) 16,252,000 1,823,432 0.54%
TUSCAN H    (COM) 15,753,000 1,580,000 0.53%
MASTERCA    (CLA) MA 15,701,000 65,000 0.53%
TESLA IN    (NOTE1) 15,646,000 10,000,000 0.52%
COLLIER    (COM) 15,301,000 1,795,932 0.51%
NETFIN A    (SHSCL) 15,257,000 1,546,595 0.51%
LGL SYS    (COM) 15,225,000 2,175,000 0.51%
BECTON D    (COM) BDX 14,935,000 65,000 0.50%
ACT II G    (CLASH) 14,784,000 1,497,852 0.49%
ALUSSA E    (COM) 14,772,000 1,621,300 0.49%
PROPTECH    (COM) 14,507,000 1,900,000 0.49%
DFP HEAL    (UNIT0) 14,384,000 1,450,000 0.48%
SPDR S&P    (COM) SPY 14,343,000 3,350,952 0.48%
MEGALITH    (COM) 14,299,000 1,545,336 0.48%
OCCIDENT    (COM) OXY 13,920,000 7,548,500 0.47%
CRESCENT    (COMCL) 13,790,000 1,400,000 0.46%
ALLEGRO    (COM) 13,554,000 1,184,800 0.45%
APPLIED    (NOTE5) 13,398,000 17,400,000 0.45%
INTERPRI    (COM) 13,333,000 1,900,000 0.45%
CIGNA CO    (COM) 13,288,000 75,000 0.44%
SC HEALT    (COM) 13,161,000 1,400,000 0.44%
SPARTAN    (CLACO) 13,118,000 1,296,259 0.44%
PAE INC    (COM) 12,919,000 2,119,816 0.43%
NEW FRON    (ORDSH) 12,211,000 1,480,090 0.41%
SCVX COR    (UNIT9) 11,964,000 1,200,000 0.40%
CITIC CA    (UNIT9) 11,877,000 1,204,570 0.40%
LEO HOLD    (COMCL) 11,330,000 1,100,000 0.38%
HAYMAKER    (COM) 11,073,000 1,182,919 0.37%
GTY TECH    (COM) 11,064,000 2,994,394 0.37%
VERTIV H    (COMCL) 11,029,000 1,274,988 0.37%
HOPE BAN    (NOTE2) 10,513,000 12,590,000 0.35%
STABLE R    (COMCL) 10,236,000 1,049,827 0.34%
GREENROS    (UNIT0) 10,185,000 1,050,000 0.34%
CF FIN A    (COM) 10,095,000 1,106,250 0.34%
DMY TECH    (UNIT9) 9,830,000 1,000,000 0.33%
PS BUSIN    (COM) PSB 9,756,000 71,991 0.32%
GX ACQUI    (COM) 9,380,000 1,195,000 0.31%
CLOUDERA    (COM) 8,992,000 1,142,522 0.30%
RPM INTL    (COM) RPM 8,925,000 150,000 0.30%
CHURCHIL    (COM) 8,783,000 1,100,000 0.29%
UNITEDHE    (COM) UNH 8,728,000 35,000 0.29%
INSURANC    (COM) 8,651,000 1,069,500 0.29%
OAKTREE    (SHSCL) 8,525,000 852,500 0.28%
CITRIX S    (COM) CTXS 8,493,000 60,000 0.28%
PURE ACQ    (CLA) 8,312,000 800,000 0.28%
POST HLD    (COM) POST 8,297,000 100,000 0.28%
LIVERAMP    (COM) 8,230,000 250,000 0.27%
ISHARES    (COM) HYG 8,130,000 1,750,000 0.27%
SUPERNUS    (NOTE0) 8,100,000 10,000,000 0.27%
UNION AC    (COM) 7,969,000 1,600,000 0.26%
EBAY INC    (COM) EBAY 7,816,000 260,000 0.26%
DISNEY W    (COMDI) DIS 7,728,000 80,000 0.26%
RYANAIR    (SPONS) RYAAY 7,269,000 136,912 0.24%
PROTALIX    (NOTE7) 7,200,000 8,000,000 0.24%
CONSTELL    (CLA) STZ 7,168,000 50,000 0.24%
SELECT S    (SBIHE) XLV 7,086,000 80,000 0.23%
QUALCOMM    (COM) QCOM 7,074,000 104,563 0.23%
YEXT INC    (COM) 6,845,000 671,708 0.23%
JD COM I    (SPONA) JD 6,466,000 159,651 0.21%
NEBULA A    (COMCL) 6,430,000 633,480 0.21%
F5 NETWO    (COM) FFIV 6,315,000 59,228 0.21%
WESTERN    (COM) WDC 6,243,000 150,000 0.21%
21VIANET    (SPONS) VNET 6,142,000 443,142 0.20%
TORTOISE    (CLA) 6,074,000 617,855 0.20%
SOFTWARE    (COM) 5,918,000 849,034 0.20%
EAST STO    (UNIT1) 5,880,000 600,000 0.19%
AMPLITUD    (COM) 5,797,000 775,000 0.19%
TESLA IN    (NOTE2) 5,557,000 3,050,000 0.18%
GRID DYN    (COMCL) 5,519,000 689,833 0.18%
VMWARE I    (CLACO) VMW 5,443,000 44,943 0.18%
GDS HLDG    (SPONS) 5,431,000 93,678 0.18%
TAL EDUC    (SPONS) XRS 5,165,000 96,986 0.17%
TRANSOCE    (COM) RIG 4,975,000 1,465,000 0.16%
F M C CO    (COMNE) FMC 4,901,000 60,000 0.16%
BORGWARN    (COM) BWA 4,865,000 199,600 0.16%
BAIDU IN    (SPONA) BIDU 4,833,000 47,949 0.16%
MERIDA M    (COM) 4,750,000 500,000 0.16%
INTELSAT    (NOTE4) 4,474,000 21,500,000 0.15%
TELIGENT    (NOTE4) 4,400,000 11,000,000 0.14%
GORES ME    (COMCL) 4,192,000 413,000 0.14%
LUMENTUM    (COM) 4,170,000 56,585 0.14%
LIV CAP    (COM) 4,123,000 726,448 0.13%
ALCON IN    (ORDSH) 4,066,000 80,000 0.13%
AMCI ACQ    (CLASS) 4,054,000 399,040 0.13%
ADESTO T    (COM) 3,934,000 351,528 0.13%
GALILEO    (SHS) 3,872,000 400,000 0.13%
SAILPOIN    (COM) 3,654,000 240,104 0.12%
ACORDA T    (NOTE1) 3,420,000 4,000,000 0.11%
ALIBABA    (SPONS) BABA 2,939,000 15,111 0.09%
COSTAR G    (COM) CSGP 2,936,000 5,000 0.09%
HIGHWOOD    (COM) HIW 2,890,000 81,600 0.09%
LEGACY A    (COM) 2,793,000 2,225,000 0.09%
ACCEL EN    (COM) 2,763,000 768,641 0.09%
BARCLAYS    (COM) 2,742,000 2,880,700 0.09%
BOX INC    (CLA) BOX 2,555,000 181,957 0.08%
PPD INC    (COM) 2,427,000 136,295 0.08%
CROWDSTR    (CLA) 2,413,000 43,344 0.08%
FRONT YD    (COM) 2,407,000 201,431 0.08%
NATIONAL    (COM) NHI 2,382,000 48,100 0.08%
TRIP COM    (ADS) 2,345,000 100,000 0.07%
AVALONBA    (COM) AVB 2,252,000 15,300 0.07%
CAMDEN P    (SHBEN) CPT 2,233,000 28,184 0.07%
CORTEVA    (COM) 2,115,000 90,000 0.07%
INVESCO    (COM) 2,098,000 74,300 0.07%
CRESCENT    (UNIT9) 2,092,000 204,100 0.07%
BILIBILI    (SPONS) 2,083,000 88,932 0.07%
OMNOVA S    (COM) OMN 2,027,000 199,914 0.06%
DOMO INC    (COMCL) 1,990,000 200,162 0.06%
LUCKIN C    (SPONS) 1,986,000 73,026 0.06%
VICI PPT    (COM) 1,952,000 117,300 0.06%
CARNIVAL    (COM) CCL 1,950,000 150,000 0.06%
GILAT SA    (SHSNE) GILT 1,944,000 274,180 0.06%
EQUITY L    (COM) ELS 1,943,000 33,800 0.06%
SBA COMM    (CLA) 1,915,000 7,094 0.06%
SUN CMNT    (COM) SUI 1,898,000 15,200 0.06%
DATADOG    (CLACO) 1,886,000 52,422 0.06%
WEINGART    (SHBEN) WRI 1,864,000 129,200 0.06%
LIVONGO    (COM) 1,863,000 65,302 0.06%
MATTEL I    (COM) MAT 1,836,000 873,260 0.06%
MIMECAST    (ORDSH) 1,802,000 51,043 0.06%
360 FINA    (ADS) 1,739,000 217,406 0.05%
RINGCENT    (CLA) RNG 1,738,000 8,200 0.05%
LANDCADI    (CLA) 1,734,000 175,508 0.05%
ESSENTIA    (COM) 1,708,000 130,800 0.05%
DYNATRAC    (COM) 1,669,000 70,000 0.05%
JOYY INC    (ADSRE) 1,662,000 31,205 0.05%
ENDO INT    (COM) ENDP 1,643,000 1,110,009 0.05%
CLOUDFLA    (CLACO) 1,625,000 69,189 0.05%
TESLA IN    (COM) TSLA 1,616,000 83,500 0.05%
NETEASE    (SPONS) NTES 1,565,000 4,875 0.05%
MEDALLIA    (COM) 1,563,000 77,980 0.05%
HAYMAKER    (UNIT1) 1,515,000 150,000 0.05%
COUSINS    (COMNE) 1,512,000 51,657 0.05%
BILL COM    (COM) 1,416,000 41,402 0.04%
OWL ROCK    (COM) 1,385,000 120,000 0.04%
KILROY R    (COM) KRC 1,382,000 21,700 0.04%
AFYA LTD    (CLACO) 1,369,000 71,801 0.04%
ESSEX PP    (COM) ESS 1,369,000 6,217 0.04%
AXALTA C    (COM) AXTA 1,338,000 77,500 0.04%
AMERICAN    (COM) AAL 1,297,000 510,000 0.04%
STABLE R    (UNIT0) 1,206,000 120,000 0.04%
PYXUS IN    (COM) 1,198,000 78,800 0.04%
MALLINCK    (COM) MNK 1,160,000 583,600 0.03%
GRUBHUB    (COM) GRUB 1,121,000 75,000 0.03%
NEW ORIE    (SPONA) EDU 1,094,000 10,107 0.03%
GSX TECH    (SPONS) 1,054,000 24,875 0.03%
PUBLIC S    (COM) PSA 1,053,000 5,300 0.03%
HEALTH C    (COM) 1,039,000 39,750 0.03%
URBAN ED    (COM) UE 1,036,000 117,600 0.03%
FIRST IN    (COM) FR 1,007,000 30,300 0.03%
GORES HL    (UNIT0) 1,007,000 100,000 0.03%
EQUINIX    (COM) EQIX 999,000 1,600 0.03%
HEALTHCA    (COM) HR 983,000 35,200 0.03%
1 2 Next >Full Portfolio View
Total Value As 2020-03-31: 2,957,286,000 SEC FILING
* Portfolios do not reflect changes after reporting
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