OCONNOR, A Distinct Business Unit of UBS ASSET MANAGEMENT AMERICAS (LLC) Q3 2020 Filing

Filed November 12, 2020

Portfolio Value

$2934.2T

Holdings

252

Report Date

Q3 2020

Filing Type

13F-HR

All Holdings (252 positions)

#StockSharesValue% PortfolioType
1
ETRAE TRADE
12,227,099$612.0T20.86%
2
AMTTD AMERI
12,091,329$473.4T16.13%
3
WRIGHT M
5,253,673$160.4T5.47%
4
IMMUNOME
1,392,226$118.4T4.03%
5
TESLA IN
10,000,000$59.5T2.03%
6
ADSWADVANCED
1,954,283$59.1T2.01%
7
LVGOLIVONGO
341,950$47.9T1.63%
853,000,000$47.9T1.63%
9
CHURCHIL
4,347,187$44.6T1.52%
10
BHP GROU
964,111$41.1T1.40%
11
AMAG PHA
41,000,000$36.9T1.26%
12
SOCIAL C
3,218,405$32.0T1.09%Call
1333,000,000$30.5T1.04%
14
NEW PROV
3,415,500$24.3T0.83%Call
15
GREENSKY
5,291,331$23.5T0.80%
16
CALIFORN
3,112,400$22.9T0.78%Put
17
PARATEK
27,750,000$22.6T0.77%
18
GORES HL
2,698,606$22.6T0.77%Call
1929,000,000$20.0T0.68%
20
SUISUN CMNT
140,568$19.8T0.67%
21
HOPE BAN
21,290,000$17.5T0.59%
22
CC NEUBE
2,097,923$17.1T0.58%Call
23
CHURCHIL
1,590,709$14.8T0.51%Call
24
AALAMERICAN
6,361,500$14.7T0.50%Put
25
SPIRIT A
10,000,000$14.5T0.49%
26
CLEVELAN
14,000,000$14.4T0.49%
27
ELSEQUITY L
227,800$14.0T0.48%
28
FLYING E
1,675,782$13.8T0.47%Call
29
UDRUDR INC
401,200$13.1T0.45%
30
CHP MERG
2,288,645$13.0T0.44%Call
31
RYAAYRYANAIR
154,710$12.6T0.43%
32
CIIG MER
2,015,625$12.5T0.43%Call
33
GTY TECH
5,281,177$12.5T0.43%Call
34
EXPERIEN
1,976,167$12.4T0.42%Call
35
EGPEASTGROU
94,000$12.2T0.41%
36
ATVIEURACTIVISI
150,000$12.1T0.41%
37
APEX TEC
2,083,949$11.9T0.41%Call
38
JUNIPER
2,142,524$11.7T0.40%Call
39
FINSERV
1,927,949$11.7T0.40%Call
40
APPLIED
12,500,000$11.5T0.39%
41
PS BUSIN
91,000$11.1T0.38%
42
OHIOMEGA HE
366,000$11.0T0.37%
43
FISVFISERV I
105,000$10.8T0.37%
44
SUSTAINA
1,755,944$10.8T0.37%Call
45
NEW FRON
1,390,687$10.6T0.36%
46
FRFIRST IN
266,000$10.6T0.36%
47
OSPREY T
1,735,001$10.4T0.36%Call
48
DFP HEAL
1,252,219$10.2T0.35%Call
49
ADCAGREE RE
158,200$10.1T0.34%
50
SCVX COR
1,474,795$10.0T0.34%Call
51
LGL SYS
1,591,897$9.9T0.34%Call
52
ALCALCON AG
170,000$9.7T0.33%
53
CITIC CA
1,462,084$9.7T0.33%Call
54
LIVE OAK
1,381,078$9.7T0.33%Call
55
AMHAMERICAN
339,300$9.7T0.33%
56
HRTXHERON TH
650,000$9.6T0.33%
57
THUNDER
935,926$9.3T0.32%Call
58
TMUST-MOBILE
80,000$9.1T0.31%
59
ELLAUDER E
41,500$9.1T0.31%
60
REPLAY A
845,000$8.6T0.29%
61
SWITCHBA
898,767$8.4T0.29%Call
62
MGM GROW
301,830$8.4T0.29%
63
FORTRESS
1,269,689$8.4T0.29%Call
64
OAKTREE
705,215$8.3T0.28%
65
METAFACEBOOK
31,500$8.3T0.28%
66
NHINATIONAL
134,300$8.1T0.28%
67
DREUSDDUKE REA
217,700$8.0T0.27%
68
FMCF M C CO
75,000$7.9T0.27%
69
AMZNAMAZON C
2,500$7.9T0.27%
70
EAELECTRON
60,000$7.8T0.27%
71
PAE INC
1,022,784$7.7T0.26%Call
72
SOUTH MT
983,123$7.6T0.26%Call
73
ACAMAR P
949,589$7.3T0.25%Call
74
BWABORGWARN
187,635$7.3T0.25%
75
INTERPRI
1,152,954$7.2T0.25%Call
76
PROTALIX
8,000,000$7.2T0.25%
77
GX ACQUI
873,038$7.1T0.24%Call
78
BMY-RBRISTOL-
3,055,826$6.9T0.23%
79
HEALTHCA
674,607$6.8T0.23%
80
AMTAMERICAN
28,200$6.8T0.23%
81
GOOGLALPHABET
4,500$6.6T0.22%
82
NVRNVR INC
1,537$6.3T0.21%
83
FLT1EURFLEETCOR
25,000$6.0T0.20%
84
SBCSABRA HE
431,700$6.0T0.20%
85
BUNGE LI
155,000$5.9T0.20%Call
86
NOVUS CA
679,687$5.9T0.20%Call
87
PROPTECH
877,971$5.8T0.20%Call
88
TRINE AC
660,608$5.6T0.19%Call
89
CTXSEURCITRIX S
40,000$5.5T0.19%
90
AU3EURANGLOGOL
200,000$5.3T0.18%
91
WWAYFAIR
18,000$5.2T0.18%
92
SSS1EURLIFE STO
49,300$5.2T0.18%
93
FCPTFOUR COR
197,300$5.0T0.17%
94
CPTCAMDEN P
56,400$5.0T0.17%
95
BDXBECTON D
21,500$5.0T0.17%
96
VICIVICI PPT
209,820$4.9T0.17%
97
SILVER S
809,787$4.8T0.16%Call
98
UNION AC
788,098$4.8T0.16%Call
99
GIGCAPIT
468,581$4.8T0.16%
100
AMPLITUD
620,252$4.7T0.16%Call
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