Q3 2025
ALIBABA GROUP HLDG LTDBABA
0 shares
Exited
Q3 2025
ASML HOLDING N VASML
0 shares
Exited
Q3 2025
BRUKER CORPBRKR
0 shares
Exited
Q3 2025
BRUKER CORP
48,334 shares
New
Est. filing basis$271.80
Q3 2025
HALLIBURTON COHAL
2,500,000 shares
New
Est. filing basis$24.60
Q3 2025
JD.COM INC
0 shares
Exited
Q3 2025
LAUDER ESTEE COS INCEL
0 shares
Exited
Q3 2025
LAUDER ESTEE COS INCEL
0 shares
Exited
Q3 2025
LULULEMON ATHLETICA INCLULU
100,000 shares
Increased
Est. filing basis$207.76
Q3 2025
LULULEMON ATHLETICA INCLULU
0 shares
Exited
Q3 2025
MERCADOLIBRE INCMELI
0 shares
Exited
Q3 2025
META PLATFORMS INCMETA
0 shares
Exited
Q3 2025
MOLINA HEALTHCARE INCMOH
125,000 shares
New
Est. filing basis$191.36
Q3 2025
NVIDIA CORPORATIONNVDA
1,000,000 shares
New
Est. filing basis$186.58
Q3 2025
PALANTIR TECHNOLOGIES INCPLTR
5,000,000 shares
New
Est. filing basis$182.42
Q3 2025
PFIZER INCPFE
6,000,000 shares
New
Est. filing basis$25.48
Q3 2025
REGENERON PHARMACEUTICALSREGN
0 shares
Exited
Q3 2025
REGENERON PHARMACEUTICALSREGN
0 shares
Exited
Q3 2025
SLM CORPSLM
480,054 shares
New
Est. filing basis$27.68
Q3 2025
UNITEDHEALTH GROUP INCUNH
0 shares
Exited
Q3 2025
UNITEDHEALTH GROUP INCUNH
0 shares
Exited
Q3 2025
V F CORPVFC
0 shares
Exited
Q2 2025
ALIBABA GROUP HLDG LTDBABA
250,000 shares
New
Est. filing basis$113.41
Q2 2025
ALIBABA GROUP HLDG LTDBABA
0 shares
Exited
Q2 2025
ASML HOLDING N VASML
25,000 shares
New
Est. filing basis$801.39
Q2 2025
BAIDU INCBIDU
0 shares
Exited
Q2 2025
BRUKER CORPBRKR
250,000 shares
New
Est. filing basis$41.20
Q2 2025
JD.COM INC
1,000,000 shares
New
Est. filing basis$32.64
Q2 2025
JD.COM INC
0 shares
Exited
Q2 2025
LAUDER ESTEE COS INCEL
150,000 shares
Reduced
Est. filing basis$70.49
Q2 2025
LAUDER ESTEE COS INCEL
500,000 shares
New
Est. filing basis$80.80
Q2 2025
LULULEMON ATHLETICA INCLULU
50,000 shares
New
Est. filing basis$237.58
Q2 2025
LULULEMON ATHLETICA INCLULU
400,000 shares
New
Est. filing basis$237.58
Q2 2025
MERCADOLIBRE INCMELI
3,000 shares
New
Est. filing basis$2,613.63
Q2 2025
META PLATFORMS INCMETA
100,000 shares
New
Est. filing basis$738.09
Q2 2025
NVIDIA CORPORATIONNVDA
0 shares
Exited
Q2 2025
PDD HOLDINGS INCPDD
0 shares
Exited
Q2 2025
REGENERON PHARMACEUTICALSREGN
15,000 shares
New
Est. filing basis$525.00
Q2 2025
REGENERON PHARMACEUTICALSREGN
200,000 shares
New
Est. filing basis$525.00
Q2 2025
TRIP COM GROUP LTD
0 shares
Exited
Q2 2025
UNITEDHEALTH GROUP INCUNH
20,000 shares
New
Est. filing basis$311.97
Q2 2025
UNITEDHEALTH GROUP INCUNH
350,000 shares
New
Est. filing basis$311.97
Q2 2025
V F CORPVFC
1,500,000 shares
New
Est. filing basis$11.75
Q1 2025
ALIBABA GROUP HLDG LTDBABA
0 shares
Exited
Q1 2025
ALIBABA GROUP HLDG LTDBABA
200,000 shares
New
Est. filing basis$132.23
Q1 2025
AMERICAN COASTAL INS CORPACIC
0 shares
Exited
Q1 2025
BAIDU INCBIDU
0 shares
Exited
Q1 2025
BAIDU INCBIDU
100,000 shares
New
Est. filing basis$92.03
Q1 2025
BRUKER CORPBRKR
0 shares
Exited
Q1 2025
CANADA GOOSE HLDGS INCGOOS
0 shares
Exited
Q1 2025
HCA HEALTHCARE INCHCA
0 shares
Exited
Q1 2025
JD.COM INCJD
0 shares
Exited
Q1 2025
JD.COM INC
400,000 shares
New
Est. filing basis$41.12
Q1 2025
LAUDER ESTEE COS INCEL
200,000 shares
Increased
Est. filing basis$70.49
Q1 2025
MAGNERA CORPMAGN
0 shares
Exited
Q1 2025
MOLINA HEALTHCARE INCMOH
0 shares
Exited
Q1 2025
NVIDIA CORPORATIONNVDA
900,000 shares
New
Est. filing basis$108.38
Q1 2025
OSCAR HEALTH INCOSCR
0 shares
Exited
Q1 2025
PDD HOLDINGS INCPDD
0 shares
Exited
Q1 2025
PDD HOLDINGS INCPDD
200,000 shares
New
Est. filing basis$118.35
Q1 2025
TRIP COM GROUP LTD
200,000 shares
New
Est. filing basis$63.58
Q1 2025
V F CORPVFC
0 shares
Exited
Q4 2024
ALIBABA GROUP HLDG LTDBABA
150,000 shares
Reduced
Est. filing basis$79.90
Q4 2024
ALIBABA GROUP HLDG LTDBABA
0 shares
Exited
Q4 2024
AMERICAN COASTAL INS CORPACIC
146,100 shares
Increased
Est. filing basis$11.56
Q4 2024
BAIDU INCBIDU
125,000 shares
Unchanged
Est. filing basis$100.02
Q4 2024
BAIDU INCBIDU
0 shares
Exited
Q4 2024
BRUKER CORPBRKR
75,000 shares
New
Est. filing basis$58.62
Q4 2024
CANADA GOOSE HLDGS INCGOOS
24,838 shares
New
Est. filing basis$10.03
Q4 2024
HCA HEALTHCARE INCHCA
15,000 shares
New
Est. filing basis$300.15
Q4 2024
JD.COM INCJD
300,000 shares
Reduced
Est. filing basis$32.92
Q4 2024
JD.COM INC
0 shares
Exited
Q4 2024
LAUDER ESTEE COS INCEL
100,000 shares
New
Est. filing basis$74.98
Q4 2024
MAGNERA CORPMAGN
200,000 shares
New
Est. filing basis$18.17
Q4 2024
MOLINA HEALTHCARE INCMOH
25,000 shares
Reduced
Est. filing basis$305.92
Q4 2024
OLAPLEX HLDGS INCOLPX
0 shares
Exited
Q4 2024
OSCAR HEALTH INCOSCR
200,000 shares
New
Est. filing basis$13.44
Q4 2024
PDD HOLDINGS INCPDD
75,000 shares
New
Est. filing basis$96.99
Q4 2024
SHIFT4 PMTS INCFOUR
0 shares
Exited
Q4 2024
THE REALREAL INCREAL
0 shares
Exited
Q4 2024
V F CORPVFC
200,000 shares
New
Est. filing basis$21.46
Q3 2024
ALIBABA GROUP HLDG LTDBABA
200,000 shares
Increased
Est. filing basis$79.90
Q3 2024
ALIBABA GROUP HLDG LTDBABA
168,900 shares
New
Est. filing basis$106.12
Q3 2024
AMERICAN COASTAL INS CORPACIC
100,000 shares
Reduced
Est. filing basis$10.69
Q3 2024
BAIDU INCBIDU
125,000 shares
Increased
Est. filing basis$100.02
Q3 2024
BAIDU INCBIDU
83,300 shares
New
Est. filing basis$105.29
Q3 2024
BIOATLA INC
0 shares
Exited
Q3 2024
HUDSON PAC PPTYS INC
0 shares
Exited
Q3 2024
JD.COM INCJD
500,000 shares
Increased
Est. filing basis$32.92
Q3 2024
JD.COM INC
500,000 shares
New
Est. filing basis$40.00
Q3 2024
MOLINA HEALTHCARE INCMOH
30,000 shares
Increased
Est. filing basis$305.92
Q3 2024
OLAPLEX HLDGS INCOLPX
1,000,000 shares
Increased
Est. filing basis$1.54
Q3 2024
SHIFT4 PMTS INCFOUR
150,000 shares
Increased
Est. filing basis$78.43
Q3 2024
THE REALREAL INCREAL
500,000 shares
Reduced
Est. filing basis$3.91
Q2 2024
ADVANCE AUTO PARTS INCAAP
0 shares
Exited
Q2 2024
ALIBABA GROUP HLDG LTDBABA
155,000 shares
Increased
Est. filing basis$72.29
Q2 2024
AMERICAN COASTAL INS CORPACIC
251,892 shares
Unchanged
Est. filing basis$10.69
Q2 2024
BAIDU INCBIDU
75,000 shares
Increased
Est. filing basis$96.51
Q2 2024
BIOATLA INC
633,959 shares
New
Est. filing basis$1.37
Q2 2024
BLOCK INCXYZ
0 shares
Exited
Q2 2024
BP PLC
0 shares
Exited
Q2 2024
CITIGROUP INCC
0 shares
Exited
Q2 2024
FIRST SOLAR INCFSLR
0 shares
Exited
Q2 2024
HCA HEALTHCARE INCHCA
0 shares
Exited
Q2 2024
HUDSON PAC PPTYS INC
1,144,435 shares
New
Est. filing basis$4.81
Q2 2024
JD.COM INC
0 shares
Exited
Q2 2024
JD.COM INCJD
250,000 shares
New
Est. filing basis$25.84
Q2 2024
MOLINA HEALTHCARE INCMOH
24,530 shares
New
Est. filing basis$297.30
Q2 2024
OLAPLEX HLDGS INCOLPX
995,250 shares
New
Est. filing basis$1.54
Q2 2024
SAFE BULKERS INC
0 shares
Exited
Q2 2024
SHIFT4 PMTS INCFOUR
100,000 shares
New
Est. filing basis$73.35
Q2 2024
SPROTT PHYSICAL GOLD TR
0 shares
Exited
Q2 2024
STAR BULK CARRIERS CORP.SBLK
0 shares
Exited
Q2 2024
THE CIGNA GROUPCI
0 shares
Exited
Q2 2024
THE REALREAL INCREAL
1,000,000 shares
Reduced
Est. filing basis$3.91
Q2 2024
VITAL ENERGY INC
0 shares
Exited
Q3 2023
ALIBABA GROUP HLDG LTDBABA
50,000 shares
New
Est. filing basis$86.74
Q3 2023
BOOKING HOLDINGS INCBKNG
1,500 shares
New
Est. filing basis$3,083.95
Q3 2023
BOOKING HOLDINGS INCBKNG
2,500 shares
New
Est. filing basis$3,083.95
Q3 2023
CHARTER COMMUNICATIONS INC NCHTR
0 shares
Exited
Q3 2023
COMSTOCK RES INC
0 shares
Exited
Q3 2023
COSTAMARE INC
0 shares
Exited
Q3 2023
CRESCENT ENERGY COMPANY
200,000 shares
Reduced
Est. filing basis$10.42
Q3 2023
CVS HEALTH CORPCVS
0 shares
Exited
Q3 2023
EURONAV NV
250,000 shares
Increased
Est. filing basis$16.17
Q3 2023
EXPEDIA GROUP INCEXPE
0 shares
Exited
Q3 2023
FRANKLIN TEMPLETON ETF TR
0 shares
Exited
Q3 2023
GENERAC HLDGS INCGNRC
0 shares
Exited
Q3 2023
GEO GROUP INC NEW
0 shares
Exited
Q3 2023
HANESBRANDS INC
0 shares
Exited
Q3 2023
HUDSON PAC PPTYS INC
400,000 shares
Increased
Est. filing basis$5.13
Q3 2023
IHEARTMEDIA INC
0 shares
Exited
Q3 2023
INVESCO QQQ TRQQQ
0 shares
Exited
Q3 2023
ISHARES INC
0 shares
Exited
Q3 2023
ISHARES INCEWJ
0 shares
Exited
Q3 2023
ISHARES TRSOXX
100,000 shares
New
Est. filing basis$473.65
Q3 2023
ISHARES TR
0 shares
Exited
Q3 2023
JD.COM INC
125,000 shares
New
Est. filing basis$29.13
Q3 2023
LIBERTY LATIN AMERICA LTD
0 shares
Exited
Q3 2023
MGM RESORTS INTERNATIONALMGM
0 shares
Exited
Q3 2023
NEW YORK CMNTY BANCORP INC
0 shares
Exited
Q3 2023
NEXSTAR MEDIA GROUP INCNXST
48,651 shares
Increased
Est. filing basis$150.52
Q3 2023
NEXTIER OILFIELD SOLUTIONS
0 shares
Exited
Q3 2023
PRECISION DRILLING CORPPDS
0 shares
Exited
Q3 2023
QURATE RETAIL INC
0 shares
Exited
Q3 2023
SAFE BULKERS INC
300,000 shares
Increased
Est. filing basis$3.25
Q3 2023
SIGNET JEWELERS LIMITEDSIG
0 shares
Exited
Q3 2023
SPDR S&P 500 ETF TRSPY
0 shares
Exited
Q3 2023
STAR BULK CARRIERS CORP.SBLK
250,000 shares
Increased
Est. filing basis$18.11
Q3 2023
STELLANTIS N.VSTLA
400,000 shares
Increased
Est. filing basis$17.84
Q3 2023
THE CIGNA GROUPCI
0 shares
Exited
Q3 2023
THE REALREAL INCREAL
750,000 shares
Reduced
Est. filing basis$1.78
Q3 2023
VITAL ENERGY INC
0 shares
Exited
Q3 2023
WARNER BROS DISCOVERY INCWBD
0 shares
Exited
Q2 2023
ALIBABA GROUP HLDG LTDBABA
0 shares
Exited
Q2 2023
CAPITAL ONE FINL CORPCOF
0 shares
Exited
Q2 2023
CHARTER COMMUNICATIONS INC NCHTR
25,000 shares
New
Est. filing basis$367.37
Q2 2023
COHERENT CORPCOHR
0 shares
Exited
Q2 2023
COMSTOCK RES INC
200,000 shares
New
Est. filing basis$11.60
Q2 2023
COSTAMARE INC
125,000 shares
New
Est. filing basis$9.67
Q2 2023
COTERRA ENERGY INC
0 shares
Exited
Q2 2023
CRESCENT ENERGY COMPANY
243,963 shares
New
Est. filing basis$10.42
Q2 2023
CVS HEALTH CORPCVS
100,000 shares
New
Est. filing basis$69.13
Q2 2023
DEVON ENERGY CORP NEWDVN
0 shares
Exited
Q2 2023
EURONAV NV
52,900 shares
New
Est. filing basis$15.22
Q2 2023
EXPEDIA GROUP INCEXPE
100,000 shares
New
Est. filing basis$109.39
Q2 2023
FIRST REP BK SAN FRANCISCO C
0 shares
Exited
Q2 2023
FRANKLIN TEMPLETON ETF TR
30,000 shares
New
Est. filing basis$27.05
Q2 2023
GENERAC HLDGS INCGNRC
55,000 shares
New
Est. filing basis$149.13
Q2 2023
GEO GROUP INC NEW
600,000 shares
Increased
Est. filing basis$7.34
Q2 2023
HANESBRANDS INC
400,000 shares
New
Est. filing basis$4.54
Q2 2023
HUDSON PAC PPTYS INC
250,000 shares
New
Est. filing basis$4.22
Q2 2023
HUNTINGTON BANCSHARES INCHBAN
0 shares
Exited
Q2 2023
IHEARTMEDIA INC
600,000 shares
New
Est. filing basis$3.64
Q2 2023
INVESCO QQQ TRQQQ
2,000,000 shares
New
Est. filing basis$369.42
Q2 2023
ISHARES INC
13,500 shares
New
Est. filing basis$68.38
Q2 2023
ISHARES INCEWJ
10,000 shares
New
Est. filing basis$61.90
Q2 2023
ISHARES TR
13,600 shares
New
Est. filing basis$27.36
Q2 2023
JD.COM INC
0 shares
Exited
Q2 2023
LIBERTY LATIN AMERICA LTD
450,000 shares
Reduced
Est. filing basis$8.26
Q2 2023
MGM RESORTS INTERNATIONALMGM
150,000 shares
New
Est. filing basis$43.92
Q2 2023
NEW YORK CMNTY BANCORP INC
200,000 shares
Reduced
Est. filing basis$9.04
Q2 2023
NEXSTAR MEDIA GROUP INCNXST
15,000 shares
New
Est. filing basis$166.55
Q2 2023
NEXTIER OILFIELD SOLUTIONS
400,000 shares
New
Est. filing basis$8.94
Q2 2023
NOV INCNOV
0 shares
Exited
Q2 2023
OVINTIV INCOVV
0 shares
Exited
Q2 2023
PACWEST BANCORP DEL
0 shares
Exited
Q2 2023
PRECISION DRILLING CORPPDS
11,630 shares
New
Est. filing basis$48.93
Q2 2023
QURATE RETAIL INC
1,500,000 shares
New
Est. filing basis$0.99
Q2 2023
SAFE BULKERS INC
127,525 shares
New
Est. filing basis$3.26
Q2 2023
SIBANYE STILLWATER LTD
0 shares
Exited
Q2 2023
SIGNET JEWELERS LIMITEDSIG
85,000 shares
Reduced
Est. filing basis$77.78
Q2 2023
SPDR S&P 500 ETF TRSPY
2,000,000 shares
New
Est. filing basis$443.28
Q2 2023
STAR BULK CARRIERS CORP.SBLK
184,740 shares
New
Est. filing basis$17.70
Q2 2023
STELLANTIS N.VSTLA
325,000 shares
New
Est. filing basis$17.54
Q2 2023
THE CIGNA GROUPCI
27,500 shares
Increased
Est. filing basis$257.81
Q2 2023
THE REALREAL INCREAL
1,500,000 shares
Increased
Est. filing basis$1.78
Q2 2023
VITAL ENERGY INC
125,000 shares
New
Est. filing basis$45.15
Q2 2023
WARNER BROS DISCOVERY INCWBD
375,000 shares
New
Est. filing basis$12.54
Q2 2023
WELLS FARGO CO NEWWFC
0 shares
Exited
Q2 2023
WESTERN ALLIANCE BANCORPWAL
0 shares
Exited
Q2 2023
ZOOM VIDEO COMMUNICATIONS INZM
0 shares
Exited
Q1 2023
ALIBABA GROUP HLDG LTDBABA
100,000 shares
Increased
Est. filing basis$95.14
Q1 2023
BLACK KNIGHT INC
0 shares
Exited
Q1 2023
CAPITAL ONE FINL CORPCOF
75,000 shares
New
Est. filing basis$96.16
Q1 2023
COHERENT CORPCOHR
125,000 shares
Reduced
Est. filing basis$35.10
Q1 2023
COTERRA ENERGY INC
150,000 shares
New
Est. filing basis$24.54
Q1 2023
DEVON ENERGY CORP NEWDVN
48,298 shares
New
Est. filing basis$50.61
Q1 2023
FIRST REP BK SAN FRANCISCO C
150,000 shares
New
Est. filing basis$13.99
Q1 2023
GEO GROUP INC NEW
400,000 shares
Reduced
Est. filing basis$7.43
Q1 2023
HUNTINGTON BANCSHARES INCHBAN
184,900 shares
New
Est. filing basis$11.20
Q1 2023
JD.COM INC
250,000 shares
Increased
Est. filing basis$47.56
Q1 2023
LIBERTY LATIN AMERICA LTD
800,000 shares
New
Est. filing basis$8.26
Q1 2023
MGM RESORTS INTERNATIONALMGM
0 shares
Exited
Q1 2023
NEW YORK CMNTY BANCORP INC
850,000 shares
New
Est. filing basis$9.04
Q1 2023
NOV INCNOV
143,594 shares
New
Est. filing basis$18.51
Q1 2023
OVINTIV INCOVV
22,500 shares
New
Est. filing basis$36.08
Q1 2023
PACWEST BANCORP DEL
250,000 shares
New
Est. filing basis$9.73
Q1 2023
QURATE RETAIL INC
0 shares
Exited
Q1 2023
SIBANYE STILLWATER LTD
800,000 shares
New
Est. filing basis$8.32
Q1 2023
SIGNET JEWELERS LIMITEDSIG
125,000 shares
New
Est. filing basis$77.78
Q1 2023
SKYWEST INCSKYW
0 shares
Exited
Q1 2023
THE CIGNA GROUPCI
25,000 shares
New
Est. filing basis$255.53
Q1 2023
THE REALREAL INCREAL
684,442 shares
New
Est. filing basis$1.26
Q1 2023
WELLS FARGO CO NEWWFC
125,000 shares
New
Est. filing basis$37.38
Q1 2023
WESTERN ALLIANCE BANCORPWAL
125,000 shares
New
Est. filing basis$35.54
Q1 2023
WOLVERINE WORLD WIDE INCWWW
0 shares
Exited
Q1 2023
ZOOM VIDEO COMMUNICATIONS INZM
100,000 shares
New
Est. filing basis$73.84
Q4 2022
AEROJET ROCKETDYNE HLDGS INC
0 shares
Exited
Q4 2022
ALIBABA GROUP HLDG LTDBABA
50,000 shares
New
Est. filing basis$88.09
Q4 2022
BLACK KNIGHT INC
150,000 shares
New
Est. filing basis$61.75
Q4 2022
CHARTER COMMUNICATIONS INC NCHTR
0 shares
Exited
Q4 2022
COHERENT CORPCOHR
150,000 shares
New
Est. filing basis$35.10
Q4 2022
CORECIVIC INC
0 shares
Exited
Q4 2022
GEO GROUP INC NEW
1,063,127 shares
Reduced
Est. filing basis$7.43
Q4 2022
JD.COM INC
75,000 shares
New
Est. filing basis$56.13
Q4 2022
LIBERTY LATIN AMERICA LTD
0 shares
Exited
Q4 2022
MGM RESORTS INTERNATIONALMGM
100,000 shares
New
Est. filing basis$33.53
Q4 2022
QURATE RETAIL INC
1,500,000 shares
Reduced
Est. filing basis$2.01
Q4 2022
SKYWEST INCSKYW
125,000 shares
New
Est. filing basis$16.51
Q4 2022
WOLVERINE WORLD WIDE INCWWW
356,101 shares
New
Est. filing basis$10.93
Q3 2022
AEROJET ROCKETDYNE HLDGS INC
132,561 shares
New
Est. filing basis$39.99
Q3 2022
CHARTER COMMUNICATIONS INC NCHTR
10,000 shares
New
Est. filing basis$303.40
Q3 2022
CORECIVIC INC
724,895 shares
New
Est. filing basis$8.84
Q3 2022
GEO GROUP INC NEW
2,019,150 shares
Increased
Est. filing basis$7.43
Q3 2022
LIBERTY LATIN AMERICA LTD
155,761 shares
New
Est. filing basis$6.15
Q3 2022
QURATE RETAIL INC
5,000,000 shares
New
Est. filing basis$2.01
Q2 2022
ALPHABET INCGOOGL
0 shares
Exited
Q2 2022
APPLE INCAAPL
0 shares
Exited
Q2 2022
BOOKING HOLDINGS INCBKNG
0 shares
Exited
Q2 2022
BRISTOL-MYERS SQUIBB COBMY
0 shares
Exited
Q2 2022
CIGNA CORP NEWCI
0 shares
Exited
Q2 2022
DISCOVERY INC
0 shares
Exited
Q2 2022
GEO GROUP INC NEW
501,360 shares
New
Est. filing basis$6.60
Q2 2022
GLOBAL PMTS INCGPN
0 shares
Exited
Q2 2022
META PLATFORMS INCMETA
0 shares
Exited
Q2 2022
NEXSTAR MEDIA GROUP INCNXST
0 shares
Exited
Q2 2022
OVINTIV INCOVV
0 shares
Exited
Q2 2022
SPORTSMANS WHSE HLDGS INC
0 shares
Exited
Q2 2022
STELLANTIS N.VSTLA
0 shares
Exited
Q1 2022
AEA-BRIDGES IMPACT CORP
0 shares
Exited
Q1 2022
ALPHABET INCGOOGL
6,500 shares
New
Est. filing basis$2,781.38
Q1 2022
APPLE INCAAPL
206,000 shares
New
Est. filing basis$174.61
Q1 2022
BOOKING HOLDINGS INCBKNG
8,000 shares
New
Est. filing basis$2,348.50
Q1 2022
BRISTOL-MYERS SQUIBB COBMY
300,000 shares
Unchanged
Est. filing basis$62.35
Q1 2022
CIGNA CORP NEWCI
75,000 shares
New
Est. filing basis$239.61
Q1 2022
CORECIVIC INC
0 shares
Exited
Q1 2022
DISCOVERY INC
750,000 shares
New
Est. filing basis$24.97
Q1 2022
FIDELITY NATIONAL FINANCIALFNF
0 shares
Exited
Q1 2022
GENERAL DYNAMICS CORPGD
0 shares
Exited
Q1 2022
GEO GROUP INC NEW
0 shares
Exited
Q1 2022
GLOBAL PMTS INCGPN
66,700 shares
New
Est. filing basis$136.84
Q1 2022
META PLATFORMS INCMETA
80,000 shares
New
Est. filing basis$222.36
Q1 2022
NEXSTAR MEDIA GROUP INCNXST
76,200 shares
New
Est. filing basis$188.48
Q1 2022
OVINTIV INCOVV
300,000 shares
New
Est. filing basis$54.07
Q1 2022
SPORTSMANS WHSE HLDGS INC
250,000 shares
New
Est. filing basis$10.69
Q1 2022
STELLANTIS N.VSTLA
600,000 shares
New
Est. filing basis$16.27
Q4 2021
AEA-BRIDGES IMPACT CORP
1,000,100 shares
New
Est. filing basis$9.99
Q4 2021
BRISTOL-MYERS SQUIBB COBMY
300,000 shares
New
Est. filing basis$62.35
Q4 2021
CORECIVIC INC
555,427 shares
Increased
Est. filing basis$8.02
Q4 2021
CVS HEALTH CORPCVS
0 shares
Exited
Q4 2021
FIDELITY NATIONAL FINANCIALFNF
325,000 shares
New
Est. filing basis$52.18
Q4 2021
GENERAL DYNAMICS CORPGD
80,000 shares
New
Est. filing basis$208.48
Q4 2021
GEO GROUP INC NEW
850,000 shares
Reduced
Est. filing basis$7.12
Q4 2021
LOCKHEED MARTIN CORPLMT
0 shares
Exited
Q4 2021
NOW INCDNOW
0 shares
Exited
Q4 2021
SCYNEXIS INC
0 shares
Exited
Q3 2021
ALPHABET INCGOOG
0 shares
Exited
Q3 2021
ARK ETF TR
0 shares
Exited
Q3 2021
CARDINAL HEALTH INCCAH
0 shares
Exited
Q3 2021
CORECIVIC INC
412,126 shares
Reduced
Est. filing basis$7.35
Q3 2021
CVS HEALTH CORPCVS
200,000 shares
Unchanged
Est. filing basis$78.92
Q3 2021
CVS HEALTH CORPCVS
0 shares
Exited
Q3 2021
DISCOVERY INC
0 shares
Exited
Q3 2021
FACEBOOK INCMETA
0 shares
Exited
Q3 2021
GEO GROUP INC NEW
1,158,820 shares
Reduced
Est. filing basis$7.12
Q3 2021
GOLDEN OCEAN GROUP LTD
0 shares
Exited
Q3 2021
ISHARES TRTLT
0 shares
Exited
Q3 2021
KRAFT HEINZ COKHC
0 shares
Exited
Q3 2021
LOCKHEED MARTIN CORPLMT
30,000 shares
New
Est. filing basis$345.10
Q3 2021
MARINUS PHARMACEUTICALS INC
0 shares
Exited
Q3 2021
MCKESSON CORPMCK
0 shares
Exited
Q3 2021
NOW INCDNOW
150,000 shares
New
Est. filing basis$7.65
Q3 2021
OVINTIV INCOVV
0 shares
Exited
Q3 2021
PROSHARES TR
0 shares
Exited
Q3 2021
SCORPIO TANKERS INC
0 shares
Exited
Q3 2021
SCYNEXIS INC
174,030 shares
New
Est. filing basis$5.30
Q3 2021
SUNCOKE ENERGY INCSXC
0 shares
Exited
Q3 2021
TESLA INCTSLA
0 shares
Exited
Q3 2021
VY GLOBAL GROWTH
0 shares
Exited
Q3 2021
VY GLOBAL GROWTH
0 shares
Exited
Q3 2021
WALMART INCWMT
0 shares
Exited
Q2 2021
AERPIO PHARMACEUTICALS INC
0 shares
Exited
Q2 2021
ALPHABET INCGOOG
91,900 shares
Increased
Est. filing basis$2,125.30
Q2 2021
ARK ETF TR
235,500 shares
New
Est. filing basis$130.78
Q2 2021
CARDINAL HEALTH INCCAH
857,700 shares
New
Est. filing basis$57.09
Q2 2021
CORECIVIC INC
1,300,000 shares
Increased
Est. filing basis$7.35
Q2 2021
CVS HEALTH CORPCVS
200,000 shares
Increased
Est. filing basis$78.92
Q2 2021
CVS HEALTH CORPCVS
525,300 shares
Increased
Est. filing basis$77.19
Q2 2021
DIREXION SHS ETF TR
0 shares
Exited
Q2 2021
DISCOVERY INC
855,084 shares
New
Est. filing basis$28.98
Q2 2021
FACEBOOK INCMETA
941,200 shares
Increased
Est. filing basis$316.63
Q2 2021
GENCO SHIPPING & TRADING LTD
0 shares
Exited
Q2 2021
GEO GROUP INC NEW
2,500,000 shares
New
Est. filing basis$7.12
Q2 2021
GOLDEN OCEAN GROUP LTD
700,000 shares
Increased
Est. filing basis$7.76
Q2 2021
HELMERICH & PAYNE INCHP
0 shares
Exited
Q2 2021
INGLES MKTS INCIMKTA
0 shares
Exited
Q2 2021
ISHARES TRTLT
1,943,000 shares
Increased
Est. filing basis$138.55
Q2 2021
ISHARES TRIWO
0 shares
Exited
Q2 2021
KRAFT HEINZ COKHC
1,424,800 shares
Increased
Est. filing basis$37.93
Q2 2021
LUMEN TECHNOLOGIES INCLUMN
0 shares
Exited
Q2 2021
MARINUS PHARMACEUTICALS INC
625,000 shares
Increased
Est. filing basis$16.77
Q2 2021
MCKESSON CORPMCK
682,400 shares
New
Est. filing basis$191.24
Q2 2021
MEREDITH CORP
0 shares
Exited
Q2 2021
NETAPP INCNTAP
0 shares
Exited
Q2 2021
NOW INCDNOW
0 shares
Exited
Q2 2021
OCCIDENTAL PETE CORPOXY
0 shares
Exited
Q2 2021
OVINTIV INCOVV
600,000 shares
New
Est. filing basis$31.47
Q2 2021
PRECISION DRILLING CORPPDS
0 shares
Exited
Q2 2021
PROSHARES TR
0 shares
Exited
Q2 2021
PROSHARES TR
516,100 shares
Reduced
Est. filing basis$21.74
Q2 2021
PROSHARES TR
0 shares
Exited
Q2 2021
RPT REALTY
0 shares
Exited
Q2 2021
SCORPIO TANKERS INC
600,000 shares
Increased
Est. filing basis$20.91
Q2 2021
SUNCOKE ENERGY INCSXC
1,564,804 shares
Increased
Est. filing basis$5.73
Q2 2021
TESLA INCTSLA
1,075,500 shares
Increased
Est. filing basis$670.94
Q2 2021
URSTADT BIDDLE PPTYS INC
0 shares
Exited
Q2 2021
VECTOR ACQUISITION CORP
0 shares
Exited
Q2 2021
VY GLOBAL GROWTH
144,550 shares
New
Est. filing basis$9.95
Q2 2021
VY GLOBAL GROWTH
550,000 shares
New
Est. filing basis$1.81
Q2 2021
WALMART INCWMT
378,600 shares
New
Est. filing basis$141.02
Q2 2021
ZYMEWORKS INC
0 shares
Exited
Q1 2021
AERPIO PHARMACEUTICALS INC
1,000,000 shares
New
Est. filing basis$1.29
Q1 2021
ALLSTATE CORPALL
0 shares
Exited
Q1 2021
ALPHABET INCGOOG
80,000 shares
New
Est. filing basis$2,068.63
Q1 2021
ARES CAPITAL CORP
0 shares
Exited
Q1 2021
CITIGROUP INCC
0 shares
Exited
Q1 2021
CORECIVIC INC
1,100,000 shares
Increased
Est. filing basis$6.78
Q1 2021
CVS HEALTH CORPCVS
110,000 shares
New
Est. filing basis$75.23
Q1 2021
CVS HEALTH CORPCVS
400,000 shares
New
Est. filing basis$75.23
Q1 2021
DESIGNER BRANDS INC
0 shares
Exited
Q1 2021
DIREXION SHS ETF TR
38,400 shares
New
Est. filing basis$81.46
Q1 2021
DISCOVERY INC
0 shares
Exited
Q1 2021
FACEBOOK INCMETA
550,000 shares
New
Est. filing basis$294.53
Q1 2021
GENCO SHIPPING & TRADING LTD
354,711 shares
New
Est. filing basis$10.08
Q1 2021
GEO GROUP INC NEW
0 shares
Exited
Q1 2021
GOLDEN OCEAN GROUP LTD
530,000 shares
New
Est. filing basis$6.71
Q1 2021
HELMERICH & PAYNE INCHP
200,000 shares
New
Est. filing basis$26.96
Q1 2021
HOLLYFRONTIER CORP
0 shares
Exited
Q1 2021
INGLES MKTS INCIMKTA
150,000 shares
Increased
Est. filing basis$47.55
Q1 2021
ISHARES TRTLT
1,266,400 shares
New
Est. filing basis$135.45
Q1 2021
ISHARES TRIWO
140,900 shares
New
Est. filing basis$300.74
Q1 2021
KIMBALL INTL INC
0 shares
Exited
Q1 2021
KRAFT HEINZ COKHC
1,174,800 shares
Increased
Est. filing basis$37.32
Q1 2021
LUMEN TECHNOLOGIES INC
0 shares
Exited
Q1 2021
LUMEN TECHNOLOGIES INCLUMN
650,000 shares
New
Est. filing basis$13.35
Q1 2021
MARINUS PHARMACEUTICALS INC
297,272 shares
New
Est. filing basis$15.48
Q1 2021
MEREDITH CORP
140,000 shares
New
Est. filing basis$29.78
Q1 2021
MOLSON COORS BEVERAGE COTAP
0 shares
Exited
Q1 2021
MSG NETWORK INC
0 shares
Exited
Q1 2021
NETAPP INCNTAP
300,000 shares
New
Est. filing basis$72.67
Q1 2021
NOW INCDNOW
700,000 shares
Reduced
Est. filing basis$7.18
Q1 2021
OCCIDENTAL PETE CORPOXY
225,000 shares
New
Est. filing basis$26.62
Q1 2021
PFIZER INCPFE
0 shares
Exited
Q1 2021
PRECISION DRILLING CORPPDS
222,706 shares
New
Est. filing basis$21.61
Q1 2021
PROSHARES TR
300,000 shares
New
Est. filing basis$21.74
Q1 2021
PROSHARES TR
2,536,000 shares
New
Est. filing basis$21.74
Q1 2021
PROSHARES TR
100,000 shares
New
Est. filing basis$45.77
Q1 2021
QURATE RETAIL INC
0 shares
Exited
Q1 2021
RPT REALTY
600,000 shares
Reduced
Est. filing basis$5.44
Q1 2021
SCORPIO TANKERS INC
190,100 shares
New
Est. filing basis$18.46
Q1 2021
SUNCOKE ENERGY INCSXC
1,100,000 shares
Increased
Est. filing basis$5.13
Q1 2021
TESLA INCTSLA
800,100 shares
New
Est. filing basis$667.93
Q1 2021
UNITI GROUP INC
0 shares
Exited
Q1 2021
URSTADT BIDDLE PPTYS INC
52,512 shares
Reduced
Est. filing basis$13.55
Q1 2021
VECTOR ACQUISITION CORP
461,591 shares
New
Est. filing basis$11.84
Q1 2021
WELLS FARGO CO NEWWFC
0 shares
Exited
Q1 2021
WESTERN DIGITAL CORP.WDC
0 shares
Exited
Q1 2021
ZYMEWORKS INC
281,018 shares
New
Est. filing basis$31.58
Q4 2020
ALLSTATE CORPALL
75,000 shares
Reduced
Est. filing basis$94.14
Q4 2020
ALPHABET INCGOOG
0 shares
Exited
Q4 2020
ALTRIA GROUP INCMO
0 shares
Exited
Q4 2020
ARES CAPITAL CORP
125,000 shares
New
Est. filing basis$16.89
Q4 2020
BK OF AMERICA CORPBAC
0 shares
Exited
Q4 2020
CITIGROUP INCC
539,600 shares
New
Est. filing basis$61.66
Q4 2020
CORECIVIC INC
1,000,000 shares
New
Est. filing basis$6.55
Q4 2020
CVS HEALTH CORPCVS
0 shares
Exited
Q4 2020
CVS HEALTH CORPCVS
0 shares
Exited
Q4 2020
DESIGNER BRANDS INC
900,000 shares
Reduced
Est. filing basis$6.07
Q4 2020
DISCOVERY INC
250,000 shares
Reduced
Est. filing basis$19.94
Q4 2020
FACEBOOK INCMETA
0 shares
Exited
Q4 2020
FACEBOOK INCMETA
0 shares
Exited
Q4 2020
FOOT LOCKER INC
0 shares
Exited
Q4 2020
GAMESTOP CORP NEW
0 shares
Exited
Q4 2020
GEO GROUP INC NEW
845,152 shares
New
Est. filing basis$8.86
Q4 2020
GOLDMAN SACHS GROUP INCGS
0 shares
Exited
Q4 2020
HOLLYFRONTIER CORP
250,000 shares
New
Est. filing basis$25.85
Q4 2020
INGLES MKTS INCIMKTA
111,415 shares
New
Est. filing basis$42.66
Q4 2020
JPMORGAN CHASE & COJPM
0 shares
Exited
Q4 2020
KIMBALL INTL INC
500,000 shares
Reduced
Est. filing basis$10.85
Q4 2020
KRAFT HEINZ COKHC
589,700 shares
New
Est. filing basis$34.66
Q4 2020
LAS VEGAS SANDS CORPLVS
0 shares
Exited
Q4 2020
LIBERTY LATIN AMERICA LTD
0 shares
Exited
Q4 2020
LUMEN TECHNOLOGIES INC
1,150,000 shares
Increased
Est. filing basis$9.99
Q4 2020
MOLSON COORS BEVERAGE COTAP
150,000 shares
New
Est. filing basis$45.19
Q4 2020
MSG NETWORK INC
345,000 shares
Reduced
Est. filing basis$9.57
Q4 2020
NATIONAL OILWELL VARCO INC
0 shares
Exited
Q4 2020
NOW INCDNOW
1,500,000 shares
New
Est. filing basis$7.18
Q4 2020
PFIZER INCPFE
844,300 shares
Increased
Est. filing basis$36.76
Q4 2020
PRECISION DRILLING CORP
0 shares
Exited
Q4 2020
QORVO INCQRVO
0 shares
Exited
Q4 2020
QURATE RETAIL INC
700,000 shares
Reduced
Est. filing basis$7.18
Q4 2020
RETAIL OPPORTUNITY INVTS COR
0 shares
Exited
Q4 2020
RPT REALTY
1,000,000 shares
Reduced
Est. filing basis$5.44
Q4 2020
SUNCOKE ENERGY INCSXC
776,177 shares
New
Est. filing basis$4.35
Q4 2020
TRIP COM GROUP LTD
0 shares
Exited
Q4 2020
UNITI GROUP INC
725,000 shares
Reduced
Est. filing basis$9.78
Q4 2020
URSTADT BIDDLE PPTYS INC
425,000 shares
Increased
Est. filing basis$13.55
Q4 2020
VIACOMCBS INC
0 shares
Exited
Q4 2020
WELLS FARGO CO NEWWFC
250,000 shares
New
Est. filing basis$30.18
Q4 2020
WESTERN DIGITAL CORP.WDC
150,000 shares
Reduced
Est. filing basis$36.55
Q4 2020
WESTERN DIGITAL CORP.WDC
0 shares
Exited
Q4 2020
WYNN RESORTS LTDWYNN
0 shares
Exited
Q3 2020
ALLSTATE CORPALL
90,000 shares
New
Est. filing basis$94.14
Q3 2020
ALPHABET INCGOOG
40,000 shares
Reduced
Est. filing basis$1,413.61
Q3 2020
ALTRIA GROUP INCMO
200,000 shares
New
Est. filing basis$38.64
Q3 2020
BED BATH & BEYOND INC
0 shares
Exited
Q3 2020
BK OF AMERICA CORPBAC
342,300 shares
Unchanged
Est. filing basis$23.75
Q3 2020
BOOKING HOLDINGS INCBKNG
0 shares
Exited
Q3 2020
COPA HOLDINGS SA
0 shares
Exited
Q3 2020
CRACKER BARREL OLD CTRY STOR
0 shares
Exited
Q3 2020
CVS HEALTH CORPCVS
150,000 shares
New
Est. filing basis$58.40
Q3 2020
CVS HEALTH CORPCVS
462,100 shares
New
Est. filing basis$58.40
Q3 2020
DESIGNER BRANDS INC
1,200,000 shares
Increased
Est. filing basis$6.07
Q3 2020
DISCOVERY INC
500,000 shares
Unchanged
Est. filing basis$19.94
Q3 2020
DISCOVERY INC
0 shares
Exited
Q3 2020
FACEBOOK INCMETA
50,000 shares
New
Est. filing basis$261.90
Q3 2020
FACEBOOK INCMETA
45,000 shares
Reduced
Est. filing basis$227.07
Q3 2020
FOOT LOCKER INC
180,000 shares
Unchanged
Est. filing basis$25.21
Q3 2020
GAMESTOP CORP NEW
1,703,400 shares
Reduced
Est. filing basis$5.08
Q3 2020
GOLDMAN SACHS GROUP INCGS
73,600 shares
Unchanged
Est. filing basis$197.62
Q3 2020
HELMERICH & PAYNE INCHP
0 shares
Exited
Q3 2020
HELMERICH & PAYNE INCHP
0 shares
Exited
Q3 2020
JPMORGAN CHASE & COJPM
86,000 shares
Unchanged
Est. filing basis$94.06
Q3 2020
KIMBALL INTL INC
550,000 shares
Increased
Est. filing basis$10.85
Q3 2020
LAS VEGAS SANDS CORPLVS
153,000 shares
Unchanged
Est. filing basis$44.17
Q3 2020
LIBERTY LATIN AMERICA LTD
49,671 shares
New
Est. filing basis$8.25
Q3 2020
LUMEN TECHNOLOGIES INC
800,000 shares
New
Est. filing basis$10.09
Q3 2020
MAXAR TECHNOLOGIES INC
0 shares
Exited
Q3 2020
MSG NETWORK INC
850,000 shares
New
Est. filing basis$9.57
Q3 2020
NATIONAL OILWELL VARCO INC
163,600 shares
Reduced
Est. filing basis$12.25
Q3 2020
PFIZER INCPFE
416,600 shares
New
Est. filing basis$36.70
Q3 2020
PRECISION DRILLING CORP
4,500,000 shares
Increased
Est. filing basis$0.75
Q3 2020
QORVO INCQRVO
60,000 shares
Reduced
Est. filing basis$101.99
Q3 2020
QORVO INCQRVO
0 shares
Exited
Q3 2020
QURATE RETAIL INC
1,100,000 shares
New
Est. filing basis$7.18
Q3 2020
RETAIL OPPORTUNITY INVTS COR
500,000 shares
Unchanged
Est. filing basis$11.33
Q3 2020
RPT REALTY
1,350,000 shares
New
Est. filing basis$5.44
Q3 2020
TRIP COM GROUP LTD
250,000 shares
Reduced
Est. filing basis$25.92
Q3 2020
UNITI GROUP INC
1,000,000 shares
Increased
Est. filing basis$9.78
Q3 2020
URSTADT BIDDLE PPTYS INC
50,000 shares
New
Est. filing basis$9.20
Q3 2020
VIACOMCBS INC
86,000 shares
Unchanged
Est. filing basis$23.33
Q3 2020
WESTERN DIGITAL CORP.WDC
250,000 shares
New
Est. filing basis$36.55
Q3 2020
WESTERN DIGITAL CORP.WDC
270,000 shares
Unchanged
Est. filing basis$44.15
Q3 2020
WYNN RESORTS LTDWYNN
70,000 shares
Unchanged
Est. filing basis$72.91
Q2 2020
ALPHABET INCGOOG
80,000 shares
New
Est. filing basis$1,413.61
Q2 2020
BED BATH & BEYOND INC
1,000,000 shares
New
Est. filing basis$10.60
Q2 2020
BK OF AMERICA CORPBAC
342,300 shares
New
Est. filing basis$23.75
Q2 2020
BOEING COBA
0 shares
Exited
Q2 2020
BOOKING HOLDINGS INCBKNG
11,600 shares
New
Est. filing basis$1,592.33
Q2 2020
COPA HOLDINGS SA
155,000 shares
New
Est. filing basis$50.56
Q2 2020
CRACKER BARREL OLD CTRY STOR
14,900 shares
Increased
Est. filing basis$98.50
Q2 2020
DESIGNER BRANDS INC
575,000 shares
New
Est. filing basis$6.77
Q2 2020
DISCOVERY INC
500,000 shares
Increased
Est. filing basis$19.94
Q2 2020
DISCOVERY INC
62,200 shares
New
Est. filing basis$21.09
Q2 2020
FACEBOOK INCMETA
0 shares
Exited
Q2 2020
FACEBOOK INCMETA
93,200 shares
New
Est. filing basis$227.07
Q2 2020
FOOT LOCKER INC
180,000 shares
Increased
Est. filing basis$25.21
Q2 2020
GAMESTOP CORP NEW
2,750,000 shares
Reduced
Est. filing basis$5.08
Q2 2020
GOLDMAN SACHS GROUP INCGS
73,600 shares
New
Est. filing basis$197.62
Q2 2020
HELMERICH & PAYNE INCHP
375,000 shares
New
Est. filing basis$19.51
Q2 2020
HELMERICH & PAYNE INCHP
17,500 shares
New
Est. filing basis$19.49
Q2 2020
JACK IN THE BOX INC
0 shares
Exited
Q2 2020
JPMORGAN CHASE & COJPM
86,000 shares
New
Est. filing basis$94.06
Q2 2020
KIMBALL INTL INC
166,452 shares
New
Est. filing basis$11.56
Q2 2020
LAS VEGAS SANDS CORPLVS
153,000 shares
Increased
Est. filing basis$44.17
Q2 2020
MAXAR TECHNOLOGIES INC
300,000 shares
Reduced
Est. filing basis$14.28
Q2 2020
MICHAELS COS INC
0 shares
Exited
Q2 2020
NATIONAL OILWELL VARCO INC
172,400 shares
New
Est. filing basis$12.25
Q2 2020
PRECISION DRILLING CORP
4,024,093 shares
New
Est. filing basis$0.76
Q2 2020
QORVO INCQRVO
75,000 shares
Reduced
Est. filing basis$101.99
Q2 2020
QORVO INCQRVO
38,000 shares
Increased
Est. filing basis$100.29
Q2 2020
RETAIL OPPORTUNITY INVTS COR
500,000 shares
New
Est. filing basis$11.33
Q2 2020
TAILORED BRANDS INC
0 shares
Exited
Q2 2020
TRIP COM GROUP LTD
325,000 shares
New
Est. filing basis$25.92
Q2 2020
UNITI GROUP INC
636,894 shares
New
Est. filing basis$9.35
Q2 2020
VIACOMCBS INC
86,000 shares
New
Est. filing basis$23.33
Q2 2020
WESTERN DIGITAL CORP.WDC
270,000 shares
New
Est. filing basis$44.15
Q2 2020
WYNN RESORTS LTDWYNN
70,000 shares
Increased
Est. filing basis$72.91
Q1 2020
ALPHABET INCGOOG
0 shares
Exited
Q1 2020
BLACKBERRY LTDBB
0 shares
Exited
Q1 2020
BOEING COBA
60,000 shares
New
Est. filing basis$149.13
Q1 2020
CENOVUS ENERGY INC
0 shares
Exited
Q1 2020
COVETRUS INC
0 shares
Exited
Q1 2020
CRACKER BARREL OLD CTRY STOR
6,700 shares
New
Est. filing basis$83.28
Q1 2020
DISCOVERY INC
350,000 shares
New
Est. filing basis$19.44
Q1 2020
FACEBOOK INCMETA
60,000 shares
New
Est. filing basis$166.80
Q1 2020
FOOT LOCKER INC
100,000 shares
New
Est. filing basis$22.05
Q1 2020
GAMESTOP CORP NEW
3,000,000 shares
Increased
Est. filing basis$5.08
Q1 2020
JACK IN THE BOX INC
300,000 shares
New
Est. filing basis$35.05
Q1 2020
LAS VEGAS SANDS CORPLVS
68,500 shares
New
Est. filing basis$42.47
Q1 2020
MAXAR TECHNOLOGIES INC
900,000 shares
Increased
Est. filing basis$14.28
Q1 2020
MICHAELS COS INC
3,250,000 shares
New
Est. filing basis$1.62
Q1 2020
QORVO INCQRVO
125,000 shares
Increased
Est. filing basis$101.99
Q1 2020
QORVO INCQRVO
13,000 shares
New
Est. filing basis$80.62
Q1 2020
SPORTSMANS WHSE HLDGS INC
0 shares
Exited
Q1 2020
TAILORED BRANDS INC
4,000,000 shares
Increased
Est. filing basis$5.92
Q1 2020
WYNN RESORTS LTDWYNN
7,700 shares
New
Est. filing basis$60.13
Q4 2019
ALPHABET INCGOOG
8,000 shares
Unchanged
Est. filing basis$1,080.89
Q4 2019
BED BATH & BEYOND INC
0 shares
Exited
Q4 2019
BLACKBERRY LTDBB
900,000 shares
New
Est. filing basis$6.42
Q4 2019
CANADIAN NAT RES LTD
0 shares
Exited
Q4 2019
CENOVUS ENERGY INC
600,000 shares
New
Est. filing basis$10.15
Q4 2019
COVETRUS INC
555,900 shares
New
Est. filing basis$13.20
Q4 2019
GAMESTOP CORP NEW
2,350,000 shares
Reduced
Est. filing basis$5.52
Q4 2019
MAXAR TECHNOLOGIES INC
650,000 shares
New
Est. filing basis$15.67
Q4 2019
NUVECTRA CORP
0 shares
Exited
Q4 2019
QORVO INCQRVO
75,000 shares
New
Est. filing basis$116.23
Q4 2019
SPORTSMANS WHSE HLDGS INC
690,294 shares
Reduced
Est. filing basis$4.27
Q4 2019
TAILORED BRANDS INC
3,300,000 shares
Increased
Est. filing basis$6.80
Q3 2019
ALIBABA GROUP HLDG LTDBABA
0 shares
Exited
Q3 2019
ALPHABET INCGOOG
8,000 shares
Reduced
Est. filing basis$1,080.89
Q3 2019
BED BATH & BEYOND INC
750,000 shares
New
Est. filing basis$10.64
Q3 2019
CANADIAN NAT RES LTD
150,000 shares
New
Est. filing basis$26.63
Q3 2019
CARDINAL HEALTH INCCAH
0 shares
Exited
Q3 2019
CLEVELAND CLIFFS INCCLF
0 shares
Exited
Q3 2019
DISNEY WALT CODIS
0 shares
Exited
Q3 2019
FEDEX CORPFDX
0 shares
Exited
Q3 2019
GAMESTOP CORP NEW
3,000,000 shares
New
Est. filing basis$5.52
Q3 2019
GREENSKY INC
0 shares
Exited
Q3 2019
NUVECTRA CORP
193,491 shares
New
Est. filing basis$1.36
Q3 2019
SPORTSMANS WHSE HLDGS INC
1,625,000 shares
Increased
Est. filing basis$4.27
Q3 2019
TAILORED BRANDS INC
2,875,000 shares
Increased
Est. filing basis$7.19
Q3 2019
WESTERN DIGITAL CORPWDC
0 shares
Exited
Q2 2019
ALIBABA GROUP HLDG LTDBABA
50,000 shares
New
Est. filing basis$169.46
Q2 2019
ALPHABET INCGOOG
9,000 shares
New
Est. filing basis$1,080.89
Q2 2019
ALPHABET INCGOOGL
0 shares
Exited
Q2 2019
ALTABA INCAABA
0 shares
Exited
Q2 2019
CARDINAL HEALTH INCCAH
200,000 shares
New
Est. filing basis$47.10
Q2 2019
CLEVELAND CLIFFS INCCLF
1,100,000 shares
Increased
Est. filing basis$8.64
Q2 2019
COREPOINT LODGING INC
0 shares
Exited
Q2 2019
DISNEY WALT CODIS
60,000 shares
Reduced
Est. filing basis$109.65
Q2 2019
FACEBOOK INCMETA
0 shares
Exited
Q2 2019
FEDEX CORPFDX
60,000 shares
New
Est. filing basis$164.18
Q2 2019
FIVE POINT HOLDINGS LLC
0 shares
Exited
Q2 2019
GAMESTOP CORP NEW
0 shares
Exited
Q2 2019
GREENSKY INC
600,000 shares
Increased
Est. filing basis$12.58
Q2 2019
JD COM INC
0 shares
Exited
Q2 2019
PETIQ INC
0 shares
Exited
Q2 2019
SPORTSMANS WHSE HLDGS INC
1,597,011 shares
Increased
Est. filing basis$4.26
Q2 2019
TAILORED BRANDS INC
1,850,000 shares
Increased
Est. filing basis$8.74
Q2 2019
WESTERN DIGITAL CORPWDC
250,000 shares
Increased
Est. filing basis$43.42
Q1 2019
ALEXANDER & BALDWIN INC NEW
0 shares
Exited
Q1 2019
ALPHABET INCGOOGL
7,500 shares
Reduced
Est. filing basis$1,045.00
Q1 2019
ALTABA INCAABA
105,000 shares
Increased
Est. filing basis$65.15
Q1 2019
BIOGEN INCBIIB
0 shares
Exited
Q1 2019
CELGENE CORP
0 shares
Exited
Q1 2019
CLEVELAND CLIFFS INCCLF
750,000 shares
Reduced
Est. filing basis$7.69
Q1 2019
COREPOINT LODGING INC
657,600 shares
Reduced
Est. filing basis$12.25
Q1 2019
DISNEY WALT CODIS
70,000 shares
Reduced
Est. filing basis$109.65
Q1 2019
FACEBOOK INCMETA
45,000 shares
Reduced
Est. filing basis$131.09
Q1 2019
FIVE POINT HOLDINGS LLC
1,238,381 shares
Reduced
Est. filing basis$6.94
Q1 2019
GAMESTOP CORP NEW
650,000 shares
Increased
Est. filing basis$12.19
Q1 2019
GREENSKY INC
272,021 shares
New
Est. filing basis$12.94
Q1 2019
JD COM INC
300,000 shares
New
Est. filing basis$30.15
Q1 2019
MCKESSON CORPMCK
0 shares
Exited
Q1 2019
MOHAWK INDS INCMHK
0 shares
Exited
Q1 2019
PETIQ INC
106,232 shares
New
Est. filing basis$31.41
Q1 2019
SPORTSMANS WHSE HLDGS INC
1,250,119 shares
Increased
Est. filing basis$4.39
Q1 2019
TAILORED BRANDS INC
869,200 shares
Increased
Est. filing basis$12.10
Q1 2019
WESTERN DIGITAL CORPWDC
150,000 shares
Increased
Est. filing basis$40.67
Q3 2016
ALPHABET INCGOOG
15,000 shares
Unchanged
Est. filing basis$692.13
Q3 2016
AMGEN INCAMGN
0 shares
Exited
Q3 2016
COTY INCCOTY
550,000 shares
New
Est. filing basis$23.50
Q3 2016
GORES HLDGS INC
300,000 shares
New
Est. filing basis$10.80
Q3 2016
HCA HOLDINGS INCHCA
100,000 shares
Unchanged
Est. filing basis$70.23
Q3 2016
NEOPHOTONICS CORP
0 shares
Exited
Q3 2016
NEXPOINT RESIDENTIAL TR INC
0 shares
Exited
Q3 2016
THERAVANCE BIOPHARMA INC
0 shares
Exited
Q2 2016
ALPHABET INCGOOG
15,000 shares
New
Est. filing basis$692.13
Q2 2016
AMGEN INCAMGN
40,000 shares
Unchanged
Est. filing basis$149.93
Q2 2016
APPLE INCAAPL
0 shares
Exited
Q2 2016
FIRST SOLAR INCFSLR
0 shares
Exited
Q2 2016
GENTHERM INCTHRM
0 shares
Exited
Q2 2016
HCA HOLDINGS INCHCA
100,000 shares
Unchanged
Est. filing basis$70.23
Q2 2016
NEOPHOTONICS CORP
300,000 shares
New
Est. filing basis$9.53
Q2 2016
NEXPOINT RESIDENTIAL TR INC
609,905 shares
Unchanged
Est. filing basis$13.09
Q2 2016
TAILORED BRANDS INC
0 shares
Exited
Q2 2016
THERAVANCE BIOPHARMA INC
325,000 shares
Increased
Est. filing basis$17.36
Q1 2016
ACE LTD
0 shares
Exited
Q1 2016
AMGEN INCAMGN
40,000 shares
New
Est. filing basis$149.93
Q1 2016
APPLE INCAAPL
75,000 shares
Unchanged
Est. filing basis$105.27
Q1 2016
BANK AMER CORPBAC
0 shares
Exited
Q1 2016
BANK NEW YORK MELLON CORPBNY
0 shares
Exited
Q1 2016
CITIGROUP INCC
0 shares
Exited
Q1 2016
CNX COAL RES LP
0 shares
Exited
Q1 2016
COMMUNITY HEALTH SYS INC NEWCYH
0 shares
Exited
Q1 2016
FIRST SOLAR INCFSLR
100,000 shares
Unchanged
Est. filing basis$65.99
Q1 2016
GENTHERM INCTHRM
47,000 shares
New
Est. filing basis$41.60
Q1 2016
HCA HOLDINGS INCHCA
100,000 shares
Increased
Est. filing basis$70.23
Q1 2016
INTERNATIONAL BUSINESS MACHSIBM
0 shares
Exited
Q1 2016
MENS WEARHOUSE INC
0 shares
Exited
Q1 2016
NEXPOINT RESIDENTIAL TR INC
609,905 shares
Reduced
Est. filing basis$13.09
Q1 2016
PNC FINL SVCS GROUP INCPNC
0 shares
Exited
Q1 2016
TAILORED BRANDS INC
400,000 shares
New
Est. filing basis$17.90
Q1 2016
THERAVANCE BIOPHARMA INC
275,000 shares
Reduced
Est. filing basis$16.39