Cooperman's Omega Advisors Takes Stake in Alibaba (BABA), Groupon (GRPN); Cuts-Out SeaWorld (SEAS) - 13F

November 14, 2014 12:44 PM EST

Leon Cooperrman's Omega Advisors filed its 13F for the quarter ending September 30, 2014. The firm showed new stakes in Alibaba, Groupon, and Tesla partner, Mobileye. Cooperman also exited Qualcomm and SeaWorld, while boosting a position in alt-energy name SunEdison.

New Stakes
AERCAP HOLDINGS N.V. (NYSE: AER) new 3,732,783 share position
Alibaba (NYSE: BABA) new 410,000 share position
ASHLAND, Inc. (NYSE: ASH) new 360,087 share position
AvalonBay Communities, Inc. (NYSE: AVB) new 50,000 share position
Avanir Pharmaceuticals, Inc. Class A (NASDAQ: AVNR) new 100,000 share position
bluebird bio (NASDAQ: BLUE) new 38,600 share position
BROOKDALE SENIOR LIVING, Inc. (NYSE: BKD) new 175,000 share position
Century Communities (NYSE: CCS) new 146,198 share position
COMMSCOPE (NASDAQ: COMM) new 829,241 share position
dELIA*s, Inc. (NASDAQ: DLIA) new 4,259,520 share position
Eclipse Resources (NYSE: ECR) new 300,000 share position
Groupon (NASDAQ: GRPN) new 8,788,474 share position
Independence Contract Drilling (NYSE: ICD) new 36,096 share position
ISHARES RUSSELL 2000 ETF (NYSE: IWM) new 66,950 share position
Melco Crown Entertainment Limited (NASDAQ: MPEL) new 2,631,362 share position
Mobileye N.V. (NYSE: MBLY) new 50,000 share position
Nordic American Offshore (NYSE: NAO) new 5,109,179 share position
Orion Engineered Carbons (NYSE: OEC) new 634,700 share position
Parsley Energy (NYSE: PE) new 50,000 share position
TerraForm Power (NASDAQ: TERP) new 600,000 share position
Transocean Partners LLC (NYSE: RIGP) new 944,900 share position

Raised Stakes
Actavis plc (NYSE: ACT) raised from 619,919 shares to 706,472 shares
ALTISOURCE REG (NASDAQ: ASPS) raised from 1,232,539 shares to 1,281,137 shares
Cabot Oil & Gas (NYSE: COG) raised from 527,866 shares to 1,732,728 shares
ELLINGTON FINANCIAL LLC (NYSE: EFC) raised from 447,000 shares to 952,000 shares
Gaming & Leisure (NASDAQ: GLPI) raised from 4,665,450 shares to 4,684,180 shares
Gulf Coast Ultra Deep Royalty Trust Royalty Trust Unit (NASDAQ: GULTU) raised from 16,885,215 shares to 16,909,015 shares
KAR AUCTION SERVICES, Inc. (NYSE: KAR) raised from 1,857,676 shares to 2,957,661 shares
Loral Space & Communications, Inc. (NASDAQ: LORL) raised from 847,580 shares to 945,723 shares
MetLife Inc. (NYSE: MET) raised from 29,400 shares to 36,000 shares
NEW RESIDENTIAL INVESTMENT CORP (NYSE: NRZ) raised from 11,245,171 shares to 11,607,963 shares
PENNYMAC MORTGAGE TRUST (NYSE: PMT) raised from 2,858,201 shares to 2,861,801 shares
QEP Resources (NYSE: QEP) raised from 1,430,528 shares to 3,889,830 shares
Qiwi (NASDAQ: QIWI) raised from 70,000 shares to 100,000 shares
SunEdison, Inc. (NYSE: SUNE) raised from 201,600 shares to 7,796,571 shares
UNITED CONTINENTAL HOLDINGS, Inc. (NYSE: UAL) raised from 1,742,774 shares to 2,626,874 shares

Lowered Stakes
American International Group, Inc. (NYSE: AIG) lowered from 5,443,100 shares to 5,247,100 shares
Anadarko Petroleum Corp (NYSE: APC) lowered from 553,949 shares to 527,649 shares
Apple Inc. (NASDAQ: AAPL) lowered from 1,264,690 shares to 1,191,790 shares
Aspen Exploration Corporation (NYSE: ASPN) lowered from 100,000 shares to 77,300 shares
ASSURED GUARANTY, LTD (NYSE: AGO) lowered from 1,932,813 shares to 1,488,452 shares
ATLAS ENERGY, L.P. (NYSE: ATLS) lowered from 4,099,440 shares to 4,086,140 shares
ATLAS PIPELINE PARTNERS (NYSE: APL) lowered from 3,379,330 shares to 3,347,592 shares
ATLAS RESOURCE PARTNERS, L.P. COMMON UNITS (NYSE: ARP) lowered from 5,422,694 shares to 5,377,995 shares
Cameron International Corp. (NYSE: CAM) lowered from 528,047 shares to 63,400 shares
CHIMERA INVESTMENT CORP. (NYSE: CIM) lowered from 65,627,288 shares to 64,530,856 shares
Citigroup Inc. (NYSE: C) lowered from 5,324,350 shares to 5,160,550 shares
Comcast Corp (NASDAQ: CMCSK) lowered from 2,181,272 shares to 2,109,272 shares
Denbury Resources Inc. (NYSE: DNR) lowered from 6,035,007 shares to 3,787,907 shares
DISH Network Corp. (NASDAQ: DISH) lowered from 3,183,179 shares to 2,971,579 shares
E-Trade (NASDAQ: ETFC) lowered from 6,923,894 shares to 6,878,504 shares
Eastman Chemical (NYSE: EMN) lowered from 1,611,208 shares to 1,593,835 shares
eBay Inc. (NASDAQ: EBAY) lowered from 3,189,000 shares to 3,154,300 shares
Halliburton Co. (NYSE: HAL) lowered from 2,214,300 shares to 1,907,199 shares
HARBINGER GROUP, Inc. (NYSE: HRG) lowered from 12,122,247 shares to 11,126,857 shares
HCA HOLDINGS, Inc. (NYSE: HCA) lowered from 2,544,700 shares to 2,441,700 shares
IntercontinentalExchange Inc. (NYSE: ICE) lowered from 532,570 shares to 234,804 shares
JPMorgan Chase & Co. (NYSE: JPM) lowered from 1,872,100 shares to 1,801,800 shares
KINDER MORGAN ENERGY PTNR (NYSE: KMP) lowered from 3,294,459 shares to 1,145,229 shares
KKR & CO. L.P. (NYSE: KKR) lowered from 5,080,173 shares to 4,901,622 shares
Linn Energy, LLC (NASDAQ: LINE) lowered from 1,790,667 shares to 1,781,267 shares
LyondellBasell (NYSE: LYB) lowered from 1,020,733 shares to 926,933 shares
McKesson Corp. (NYSE: MCK) lowered from 669,775 shares to 652,175 shares
Motorola Solutions Inc. (NYSE: MSI) lowered from 2,938,976 shares to 2,477,576 shares
NAVIENT (NASDAQ: NAVI) lowered from 10,135,751 shares to 9,834,251 shares
Newcastle Investment (NYSE: NCT) lowered from 11,593,579 shares to 4,151,618 shares
PROTHENA CORP (NASDAQ: PRTA) lowered from 100,000 shares to 80,000 shares
PVH Corp. (NYSE: PVH) lowered from 762,401 shares to 751,301 shares
REALOGY HOLDINGS CORP. (NYSE: RLGY) lowered from 1,542,151 shares to 1,498,262 shares
RESOURCE CAPITAL CORP. (NYSE: RSO) lowered from 1,000,000 shares to 800,000 shares
SANDRIDGE ENERGY, Inc. (NYSE: SD) lowered from 46,787,740 shares to 45,477,334 shares
SIRIUS XM HLDGS (NASDAQ: SIRI) lowered from 82,015,028 shares to 57,645,094 shares
SLM Corporation (NASDAQ: SLM) lowered from 10,266,196 shares to 10,228,796 shares
SPRINT CORPORATION SERIES 1 (NYSE: S) lowered from 39,782,957 shares to 20,525,517 shares
SUPERVALU, Inc. (NYSE: SVU) lowered from 7,802,645 shares to 2,836,558 shares
Thermo Fisher Scientific (NYSE: TMO) lowered from 898,800 shares to 864,000 shares
Time Warner Inc. (NYSE: TWX) lowered from 540,400 shares to 527,200 shares
Transocean (NYSE: RIG) lowered from 2,049,645 shares to 1,000,000 shares
United Health Group Inc. (NYSE: UNH) lowered from 652,699 shares to 11,400 shares
Weyerhaeuser Corp. (NYSE: WY) lowered from 1,572,545 shares to 139,500 shares
WPX ENERGY, Inc. (NYSE: WPX) lowered from 3,730,263 shares to 3,598,261 shares
XL Capital (NYSE: XL) lowered from 2,399,992 shares to 2,361,492 shares

Liquidated Stakes
Apollo Investment Corporation (NASDAQ: AINV) liquidated
Authorize.Net Holdings (NYSE: ANET) liquidated
Boston Scientific (NYSE: BSX) liquidated
Capital One Financial (NYSE: COF) liquidated
Cheniere Energy Partners, LP (NYSE: CQP) liquidated
Freeport-McMoran (NYSE: FCX) liquidated
MobilePro Corp (NASDAQ: MOBL) liquidated
National Oilwell Varco Inc. (NYSE: NOV) liquidated
QUALCOMM Inc. (NASDAQ: QCOM) liquidated
Range Resources Corp. (NYSE: RRC) liquidated
Resource America, Inc. (NASDAQ: REXI) liquidated

Maintained Stakes
AG MORTGAGE INVESTMENT TRUST, Inc. (NYSE: MITT) maintained 200,000 share stake
CAESARS ACQ-A (NASDAQ: CACQ) maintained 302,780 share stake
CAESARS ENTMNT (NASDAQ: CZR) maintained 6,991,033 share stake
ENDLINK MIDSTREAM PARTNERS, LP (NYSE: ENLK) maintained 23,100 share stake
LIN MEDIA LLC (NYSE: LIN) maintained 377,408 share stake
NEW MEDIA INVESTMENT GROUP, Inc. (NYSE: NEWM) maintained 3,818,754 share stake
PENNYMAC FINANCIAL SERVICES, Inc. (NYSE: PFSI) maintained 3,291,600 share stake
TEEKAY LNG PARTNERS L.P. (NYSE: TGP) maintained 20,000 share stake
THL CREDIT (NASDAQ: TCRD) maintained 1,004,953 share stake
TWO HARBORS INVESTMENT CORP. (NYSE: TWO) maintained 100,000 share stake

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