George Soros

George Soros

13F
Soros Fund Management LLC
Last update 2024-11-14 154 Stocks (55 new)
Value $5.46 Bil Turnover 28 %
Countries:
Portfolio Report

George Soros Profile

Born in Budapest in 1930, George Soros is chair of Soros Fund Management LLC. As one of history’s most successful financiers, his views on investing and economic issues are widely followed.
Soros established the Quantum Group of Funds hedge fund in 1973; the lead Quantum Fund famously shorted the British Pound in 1992.
Soros converted his hedge fund into a family investment office in 2011; Soros Fund Management is advisor to the fund.

George Soros Investing Philosophy

His basic theory of investing is that financial markets are chaotic. The prices of stocks, bonds and currencies depend on the human beings who buy and sell them, and those traders often act out of highly emotional reactions rather than coolly logical calculations. Opportunities can be found by carefully studying the value and the market prices of assets. He focuses on a theory of "reflexivity," which is based on the premise that individual investor biases affect market transactions and the economy.

George Soros's Portfolio

George Soros Current Holdings

Add To Portfolio
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
XLF
Financial Select Sector SPDR
2,800,000
126896
+22,719.89%
2.33
+2.32%
0.29
+8.72%
+31.78%
48889.346
 
MMM
3M Co
33,244
4544.46
New Holding
0.08
+0.08%
0.01
-4.49%
+48.05%
70988.66
Conglomerates
CRWD
CrowdStrike Holdings Inc
35,278
9894.42
New Holding
0.18
+0.18%
0.01
+26.77%
+43.27%
90098.251
Software
CWH
Camping World Holdings Inc
249,900
6052.58
New Holding
0.11
+0.11%
0.42
-13.98%
-17.66%
1271.658
Vehicles & Parts
CP
Canadian Pacific Kansas City Ltd
164,431
14065.43
New Holding
0.26
+0.26%
0.02
-14.92%
-6.72%
68578.653
Transportation
CVNA
Carvana Co
16,181
2817.27
New Holding
0.05
+0.05%
0.01
+29.64%
+322.91%
28772.171
Vehicles & Parts
PTON
Peloton Interactive Inc
213,336
998.41
New Holding
0.02
+0.02%
0.06
+81.04%
+53.69%
3570.458
Travel & Leisure
CNP
CenterPoint Energy Inc
72,894
2144.54
New Holding
0.04
+0.04%
0.01
+13.69%
+16.65%
21109.446
Utilities - Regulated
BPOP
Popular Inc
90,900
9114.54
New Holding
0.17
+0.17%
0.13
-4.75%
+18.85%
6763.387
Banks
IFF
International Flavors & Fragrances Inc
22,581
2369.42
New Holding
0.04
+0.04%
0.01
-18.24%
+6.97%
21761.123
Chemicals
CON
Concentra Group Holdings Parent Inc
250,000
5590
New Holding
0.1
+0.10%
0.2
-11.30%
0%
2607.995
Healthcare Providers & Services
COO
The Cooper Companies Inc
175,000
19309.5
New Holding
0.35
+0.35%
0.09
-15.51%
-1.90%
18523.264
Medical Devices & Instruments
RPD
Rapid7 Inc
175,000
6980.75
New Holding
0.13
+0.13%
0.28
+9.76%
-30.28%
2516.255
Software
ILMN
Illumina Inc
175,000
22821.75
New Holding
0.42
+0.42%
0.11
+4.96%
-0.10%
21444.306
Medical Diagnostics & Research
RITM
Rithm Capital Corp
2,100,000
23835
New Holding
0.44
+0.44%
0.4
-4.50%
+10.52%
5732.649
REITs
HESM
Hess Midstream LP
400,000
14108
New Holding
0.26
+0.26%
0.38
+6.81%
+27.33%
3881.863
Oil & Gas
PLMR
Palomar Holdings Inc
100,000
9467
New Holding
0.17
+0.17%
0.38
+9.17%
+89.21%
2779.181
Insurance
SEDG
SolarEdge Technologies Inc
231,040
5293.13
New Holding
0.1
+0.10%
0.4
-30.21%
-84.16%
859.4
Semiconductors
DHT
DHT Holdings Inc
10,365
114.33
New Holding
0
0%
0.01
-11.99%
+5.36%
1525.839
Oil & Gas
SW
Smurfit WestRock PLC
6,896,971
340848.31
New Holding
6.25
+6.25%
1.33
+15.49%
+39.34%
28364.113
Packaging & Containers
100/Page
Total 208

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