George Soros profile
George Soros profile

George Soros

Soros Fund Management LLC Holdings Strategy: Short Seller

In 1969, George Soros founded Soros Fund Management, LLC, a private investment management firm. It was reported to be one of the most profitable firms. Now it's structured as a family office. Soros total net worth is estimated to be over $8 billion. As of 2018, he gave away $18 billion to his philanthropic organization Open Society Foundations. George Soros, the renowned investor, has a diversified portfolio with significant investments in various sectors. His top five stock holdings offer insight into his investment strategy and market approach.Splunk Inc, a leader in analyzing big data through its software platform, is among Soros's major investments. This company stands out in the tech space for its innovative solutions in turning data into business insights.The BlackRock Institutional Trust Company N.A. - iShares Russell 2000 ETF represents Soros's interest in small-cap equities across different industries. An investment in this ETF suggests a belief in the growth potential of smaller companies within the US economy.Aercap Holdings N.V., one of the world's leading aircraft leasing companies, also occupies a prominent place in Soros's stock picks. AerCap's global footprint and crucial role in the aviation industry showcase Soros's focus on assets with a strong market position.Novo Nordisk - ADR illustrates George Soros's confidence in the healthcare sector, particularly in companies involved in diabetes care and biopharmaceuticals. Novo Nordisk’s consistent innovation and commitment to public health resonate with long-term value generation and sustainability principles that often attract investors.Alphabet Inc - Ordinary Shares - Class A secures its spot as one of Soros's prime choices. Investing in the parent company of Google indicates a trust in enduring technology firms that shape modern life and have substantial influence over digital markets worldwide.Soros's top stocks reflect a blend of technological sophistication, strategic market positioning, and robust growth potentialβ€”elements that are attractive to potential investors looking to emulate aspects of George Soros's investment philosophy.

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George Soros Portfolio 2023

Performance

1 Year

-30.96%

3 Years

-79.78%

5 Years

-67.60%

10 years

-48.86%


Sectors

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Largest Holdings

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Trades

  • Aercap Holdings N.V. Aercap Holdings N.V. (AER)
  • Sector: General Rental Centers
  • % of Portfolio: 7.0%
  • (Buy) $62.39 ― +38.2% β†’$86.24 (Now)
  • Novo Nordisk - ADR Novo Nordisk - ADR (NVO)
  • Sector: Medicinal and Botanical Manufacturing
  • % of Portfolio: 4.2%
  • (Buy) $163.29 ― -22.8% β†’$126.00 (Now)
  • Aramark Aramark (ARMK)
  • Sector: Food Service Contractors
  • % of Portfolio: 2.8%
  • (Buy) $29.37 ― +12.6% β†’$33.07 (Now)
  • Amazon.com Inc. Amazon.com Inc. (AMZN)
  • Sector: Electronic Shopping and Mail-Order Houses
  • % of Portfolio: 2.6%
  • (Buy) $151.23 ― +6.5% β†’$161.02 (Now)
  • Booking Holdings Inc Booking Holdings Inc (BKNG)
  • Sector: Tobacco Manufacturing
  • % of Portfolio: 2.5%
  • (Buy) $2,281.28 ― +48.3% β†’$3,383.43 (Now)
  • Jacobs Solutions Inc Jacobs Solutions Inc (J)
  • Sector: Engineering Services
  • % of Portfolio: 2.0%
  • (Buy) $129.88 ― +7.9% β†’$140.13 (Now)
  • WestRock Co WestRock Co (WRK)
  • Sector: Corrugated and Solid Fiber Box Manufacturing
  • % of Portfolio: 1.9%
  • (Buy) $43.70 ― +17.9% β†’$51.51 (Now)
  • CRH Plc CRH Plc (CRHCF)
  • Sector: Other Crushed and Broken Stone Mining and Quarrying
  • % of Portfolio: 1.8%
  • (Buy) $56.04 ― -4.4% β†’$53.56 (Now)
  • Cboe Global Markets Inc. Cboe Global Markets Inc. (CBOE)
  • Sector: Securities and Commodity Exchanges
  • % of Portfolio: 1.7%
  • (Buy) $127.79 ― +53.6% β†’$196.27 (Now)
  • PG&E Corp. PG&E Corp. (PCG)
  • Sector: Nuclear Electric Power Generation
  • % of Portfolio: 1.6%
  • (Buy) $16.76 ― +6.3% β†’$17.81 (Now)
  • Uber Technologies Inc Uber Technologies Inc (UBER)
  • Sector: Software and Other Prerecorded Compact Disc, Tape, and Record Reproducing
  • % of Portfolio: 1.5%
  • (Buy) $30.78 ― +90.0% β†’$58.48 (Now)
  • Sunrun Inc Sunrun Inc (RUN)
  • Sector: Solar Electric Power Generation
  • % of Portfolio: 1.4%
  • (Buy) $13.75 ― +20.3% β†’$16.53 (Now)
  • Astrazeneca plc - ADR Astrazeneca plc - ADR (AZN)
  • Sector: Pharmaceuticals: Major
  • % of Portfolio: 1.3%
  • (Buy) $66.21 ― +19.8% β†’$79.33 (Now)
  • D.R. Horton Inc. D.R. Horton Inc. (DHI)
  • Sector: Residential Remodelers
  • % of Portfolio: 1.3%
  • (Buy) $139.47 ― +24.6% β†’$173.73 (Now)
  • Neurocrine Biosciences, Inc. Neurocrine Biosciences, Inc. (NBIX)
  • Sector: Biological Product (except Diagnostic) Manufacturing
  • % of Portfolio: 1.0%
  • (Buy) $112.19 ― +31.6% β†’$147.70 (Now)
Stock % of
portfolio
Average
Buy Price
Current
Price
Position
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Options

  • Invesco Capital Management LLC - Invesco QQQ Trust Series 1
  • Sector:
  • Ticker: QQQ
  • Type: Put
  • Shares: 855 Thousand
  • (Buy) $343.35 ― +26.8% β†’$435.37 (Now)
  • BlackRock Institutional Trust Company N.A. - iShares iBoxx USD High Yield Corporate Bond ETF
  • Sector:
  • Ticker: HYG
  • Type: Put
  • Shares: 2.5 Million
  • (Buy) $74.55 ― +3.6% β†’$77.22 (Now)
  • Cloudflare Inc - Ordinary Shares - Class A
  • Sector: Software and Other Prerecorded Compact Disc, Tape, and Record Reproducing
  • Ticker: NET
  • Type: Put
  • Shares: 1.5 Million
  • (Buy) $80.43 ― -3.4% β†’$77.70 (Now)
  • BlackRock Institutional Trust Company N.A. - iShares 20+ Year Treasury Bond ETF
  • Sector:
  • Ticker: TLT
  • Type: Call
  • Shares: 1 Million
  • (Buy) $99.72 ― -0.9% β†’$98.80 (Now)
  • SSgA Active Trust - SPDR S&P 500 ETF Trust
  • Sector:
  • Ticker: SPY
  • Type: Put
  • Shares: 175 Thousand
  • (Buy) $445.46 ― +16.1% β†’$517.38 (Now)
  • SSgA Active Trust - SPDR Homebuilders ETF
  • Sector:
  • Ticker: XHB
  • Type: Put
  • Shares: 750 Thousand
  • (Buy) $99.94 ― +7.9% β†’$107.85 (Now)
  • BlackRock Institutional Trust Company N.A. - iShares MSCI Japan ETF
  • Sector:
  • Ticker: EWJ
  • Type: Put
  • Shares: 1 Million
  • (Buy) $67.80 ― -6.4% β†’$63.43 (Now)
  • BlackRock Institutional Trust Company N.A. - iShares Russell 2000 ETF
  • Sector:
  • Ticker: IWM
  • Type: Call
  • Shares: 300 Thousand
  • (Buy) $199.48 ― +1.4% β†’$202.20 (Now)
  • Alibaba Group Holding Ltd - ADR
  • Sector: Software Publishers
  • Ticker: BABA
  • Type: Call
  • Shares: 750 Thousand
  • (Buy) $88.59 ― -13.1% β†’$76.98 (Now)
  • Synchrony Financial
  • Sector: All Other Nondepository Credit Intermediation
  • Ticker: SYF
  • Type: Put
  • Shares: 1.25 Million
  • (Buy) $31.64 ― +38.3% β†’$43.77 (Now)
  • Lumentum Holdings Inc
  • Sector: Other Communications Equipment Manufacturing
  • Ticker: LITE
  • Type: Call
  • Shares: 814 Thousand
  • (Buy) $48.16 ― -13.9% β†’$41.47 (Now)
  • Okta Inc - Ordinary Shares - Class A
  • Sector: Software Publishers
  • Ticker: OKTA
  • Type: Put
  • Shares: 400 Thousand
  • (Buy) $92.24 ― -10.2% β†’$82.85 (Now)
  • Confluent Inc - Ordinary Shares Class A
  • Sector: Software Publishers
  • Ticker: CFLT
  • Type: Call
  • Shares: 1.62 Million
  • (Buy) $24.99 ― -25.3% β†’$18.67 (Now)
  • Elastic N.V
  • Sector: Software Publishers
  • Ticker: ESTC
  • Type: Call
  • Shares: 300 Thousand
  • (Buy) $115.23 ― -13.2% β†’$100.00 (Now)
  • DigitalOcean Holdings Inc
  • Sector:
  • Ticker: DOCN
  • Type: Put
  • Shares: 1 Million
  • (Buy) $36.31 ― -24.9% β†’$27.27 (Now)
  • Rapid7 Inc
  • Sector: Data Processing, Hosting, and Related Services
  • Ticker: RPD
  • Type: Call
  • Shares: 763 Thousand
  • (Buy) $51.59 ― -35.2% β†’$33.44 (Now)
  • Lantheus Holdings Inc
  • Sector: Surgical and Medical Instrument Manufacturing
  • Ticker: LNTH
  • Type: Put
  • Shares: 200 Thousand
  • (Buy) $58.85 ― +68.3% β†’$99.03 (Now)
  • Marriott Vacations Worldwide Corp
  • Sector: Travel Agencies
  • Ticker: VAC
  • Type: Call
  • Shares: 250 Thousand
  • (Buy) $85.33 ― -15.6% β†’$71.99 (Now)
  • Wayfair Inc - Ordinary Shares - Class A
  • Sector: Electronic Shopping
  • Ticker: W
  • Type: Call
  • Shares: 400 Thousand
  • (Buy) $52.26 ― -15.1% β†’$44.38 (Now)
  • Block Inc - Ordinary Shares - Class A
  • Sector: Data Processing, Hosting, and Related Services
  • Ticker: SQ
  • Type: Call
  • Shares: 300 Thousand
  • (Buy) $61.21 ― -6.5% β†’$57.21 (Now)
  • Fastly Inc - Ordinary Shares - Class A
  • Sector: Software and Other Prerecorded Compact Disc, Tape, and Record Reproducing
  • Ticker: FSLY
  • Type: Call
  • Shares: 2.2 Million
  • (Buy) $16.90 ― -58.1% β†’$7.09 (Now)
  • Williams-Sonoma, Inc.
  • Sector: All Other Home Furnishings Stores
  • Ticker: WSM
  • Type: Put
  • Shares: 100 Thousand
  • (Buy) $173.13 ― -22.4% β†’$134.40 (Now)
  • SPDR Series Trust - SPDR Oil & Gas Exploration and Production ETF
  • Sector:
  • Ticker: XOP
  • Type: Put
  • Shares: 100 Thousand
  • (Buy) $138.48 ― -5.4% β†’$131.00 (Now)
  • Snap Inc - Ordinary Shares - Class A
  • Sector: Software Publishers
  • Ticker: SNAP
  • Type: Call
  • Shares: 1.4 Million
  • (Buy) $10.52 ― -17.2% β†’$8.71 (Now)
  • General Motors Company
  • Sector: Automobile Manufacturing
  • Ticker: GM
  • Type: Put
  • Shares: 300 Thousand
  • (Buy) $38.75 ― +3.1% β†’$39.95 (Now)
  • B. Riley Financial Inc
  • Sector: Investment Banking and Securities Dealing
  • Ticker: RILY
  • Type: Call
  • Shares: 600 Thousand
  • (Buy) $20.07 ― -14.9% β†’$17.09 (Now)
  • B. Riley Financial Inc
  • Sector: Investment Banking and Securities Dealing
  • Ticker: RILY
  • Type: Put
  • Shares: 580 Thousand
  • (Buy) $35.04 ― -51.2% β†’$17.09 (Now)
  • Wolfspeed Inc
  • Sector: Semiconductor and Related Device Manufacturing
  • Ticker: WOLF
  • Type: Call
  • Shares: 500 Thousand
  • (Buy) $39.54 ― -61.3% β†’$15.31 (Now)
  • Unity Software Inc
  • Sector: Software Publishers
  • Ticker: U
  • Type: Call
  • Shares: 200 Thousand
  • (Buy) $43.66 ― -66.8% β†’$14.48 (Now)
Shares Type Average
Buy Price
Current
Price
Position Last Trade
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Metrics

Performance

1 Year

-30.96%

3 Years

-79.78%

5 Years

-67.60%

10 years

-48.86%

Averaged Ratio's of Portfolio Stocks

  • Market Cap: $322 Billion
  • Dividend Yield 0.92 %
  • Beta 0.9141
  • P/E Ratio 32.87
  • Negative P/E Ratio -19.93
  • Profit Margin NaN%
  • PEG 121.67
  • Price to Sales Ratio 4.43
  • Price to Book Ratio 3.83
  • Enterprise Value to EBIT: 31.49
  • Enterprise Value to Revenue NaN
  • Total Debt to Enterprise Value NaN
  • Debt to Equity NaN
  • Quarterly Earnings Growth (YoY) -
  • Return on Equity NaN%
  • Return on Assets NaN%
  • Return on Invested Capital NaN%


About George Soros

In 1969, George Soros founded Soros Fund Management, LLC, a private investment management firm. It was reported to be one of the most profitable firms. Now it's structured as a family office. Soros total net worth is estimated to be over $8 billion. As of 2018, he gave away $18 billion to his philanthropic organization Open Society Foundations. George Soros, the renowned investor, has a diversified portfolio with significant investments in various sectors. His top five stock holdings offer insight into his investment strategy and market approach.Splunk Inc, a leader in analyzing big data through its software platform, is among Soros's major investments. This company stands out in the tech space for its innovative solutions in turning data into business insights.The BlackRock Institutional Trust Company N.A. - iShares Russell 2000 ETF represents Soros's interest in small-cap equities across different industries. An investment in this ETF suggests a belief in the growth potential of smaller companies within the US economy.Aercap Holdings N.V., one of the world's leading aircraft leasing companies, also occupies a prominent place in Soros's stock picks. AerCap's global footprint and crucial role in the aviation industry showcase Soros's focus on assets with a strong market position.Novo Nordisk - ADR illustrates George Soros's confidence in the healthcare sector, particularly in companies involved in diabetes care and biopharmaceuticals. Novo Nordisk’s consistent innovation and commitment to public health resonate with long-term value generation and sustainability principles that often attract investors.Alphabet Inc - Ordinary Shares - Class A secures its spot as one of Soros's prime choices. Investing in the parent company of Google indicates a trust in enduring technology firms that shape modern life and have substantial influence over digital markets worldwide.Soros's top stocks reflect a blend of technological sophistication, strategic market positioning, and robust growth potentialβ€”elements that are attractive to potential investors looking to emulate aspects of George Soros's investment philosophy.


Track Soros

Don't miss a trade. Get notified when George Soros makes his next trade, It's Free!