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SEC 13F filing

Oaktree Capital Management 13F portfolio — Q2 2026

Oaktree Capital Management reported $7.21B across its 143 reported positions in its SEC Form 13F-HR for the quarter ended 2026-06-30, with State Street SPDR S&P 500 ETF Trust the largest at $1.01B (14.04% of reported value). 13F positions are as of quarter-end and filed up to 45 days later — they are not current positions.

QuarterlyFlock's coverage of this filer runs through the quarter ended 2026-06-30 · view filing on SEC EDGAR · CIK 0000949509

Definition

A 13F filing is a quarterly SEC disclosure required of institutional investment managers with at least $100M in US-listed equity assets. It lists the manager's long US equity positions as of quarter-end and must be filed within 45 days of that date. Source: SEC EDGAR Form 13F-HR.

Oaktree Capital Management holdings — Q2 2026

#HoldingTickerSharesValue% of reportedΔ shares vs Q1 2026
1State Street SPDR S&P 500 ETF TrustSPY1,355,000$1.01B14.04%new
2INVESCO QQQ TR885,000$651.7M9.04%+315,000
3TORM PLCTRMD20,329,874$524.3M7.28%−3,509,701
4EXPAND ENERGY CORPORATIONEXE5,237,477$477.6M6.63%0
5GARRETT MOTION INCGTX7,594,816$275.2M3.82%−7,000,000
6ANGLOGOLD ASHANTI PLCAU3,179,092$257.2M3.57%−44,000
7CORE SCIENTIFIC INC NEWCORZ9,993,708$255.7M3.55%−2,857,000
8INDIVIOR PHARMACEUTICALS INCINDV6,127,212$251.4M3.49%−856,890
9TELEPHONE & DATA SYS INCTDS5,282,905$195.5M2.71%+990,662
10VIPER ENERGY INCVNOM3,791,432$160.8M2.23%0
11TALEN ENERGY CORPTLN331,117$127.2M1.77%−150,000
12BARRICK MNG CORPB3,206,087$117.8M1.63%+581,228
13ITAU UNIBANCO HLDG S AITUB11,977,665$97.9M1.36%−211,330
14LIBERTY GLOBAL LTDLBTYA8,551,191$97.2M1.35%0
15OAKTREE SPECIALTY LENDINGOCSL7,872,199$94.0M1.3%+6,019,743
16FREEPORT MCMORAN INCFCX1,201,122$75.5M1.05%−19,000
17GRUPO AEROMEXICO SAB DE CVAERO3,968,686$71.4M0.99%0
18KILROY REALTY CORPKRC1,850,011$69.3M0.96%0
19PEBBLEBROOK HOTEL TR63,534,000$63.1M0.88%+5,798,000
20BIOMARIN PHARMACEUTICAL INCBMRN64,025,000$62.4M0.87%+8,040,000
21SEA LTDSE62,567,000$62.1M0.86%+14,681,000
22ETSY INC (CUSIP 29786AAN6)ETSY66,836,000$61.2M0.85%+5,640,000
23Sea LtdSE635,443$60.9M0.85%new
24LIBERTY LATIN AMERICA LTD (CUSIP G9001E128)LILAK7,559,083$58.9M0.82%+1,810,303
25ENPHASE ENERGY INCENPH61,820,000$57.6M0.8%+5,200,000
26DEXCOM INCDXCM61,148,000$57.1M0.79%+20,725,000
27BAUSCH PLUS LOMB CORP3,441,042$57.0M0.79%+58,303
28VIASAT INCVSAT630,280$56.6M0.79%new
29ECHOSTAR CORPECHO18,000,001$56.3M0.78%0
30MARRIOTT VACATIONS WORLDWIDE56,893,000$56.0M0.78%+4,774,000
31DRAFTKINGS INC NEW58,501,000$54.5M0.76%+14,146,000
32CONMED CORPCNMD53,645,000$52.5M0.73%+17,456,000
33MAKEMYTRIP LIMITED MAURITIUSMMYT983,068$52.4M0.73%new
34RIOT PLATFORMS INCRIOT26,000,000$52.3M0.73%−53,664,000
35TELADOC HEALTH INCTDOC53,624,000$52.3M0.73%+20,554,000
36BENTLEY SYS INC54,264,000$52.2M0.72%+7,269,000
37MATTHEWS INTL CORPMATW1,925,992$51.8M0.72%new
38XP INCXP3,116,809$50.7M0.7%−55,200
39UNITY SOFTWARE INCU49,426,000$48.6M0.67%+13,485,000
40FIVE9 INCFIVN53,306,000$47.4M0.66%+31,563,000
41LYONDELLBASELL INDUSTRIES NVLYB900,000$47.4M0.66%+400,000
42SHIFT4 PMTS INC48,444,000$46.3M0.64%+21,172,000
43YPF SOCIEDAD ANONIMAYPF991,346$45.1M0.63%+104,881
44TRANSALTA CORPTAC3,000,000$41.5M0.58%−3,415,253
45VISTEON CORPVC400,000$39.7M0.55%new
46RUNWAY GROWTH FINANCE CORPRWAY7,029,667$39.4M0.55%0
47ENOVIS CORPENOV39,207,000$37.8M0.52%new
48AMPHASTAR PHARMACEUTICALS INCAMPH40,880,000$37.2M0.52%+2,844,000
49AFFIRM HLDGS INC34,815,000$34.3M0.48%+23,278,000
50ARRAY TECHNOLOGIES INCARRY33,985,000$31.6M0.44%+2,939,000

Showing the top 50 of 143 stored positions by value.

Disclosures shown are public regulatory filings. Data may be delayed or incomplete. Smart-money entities may no longer hold positions shown. Not investment advice.

Changes vs Q1 2026

Share-count changes between the Q1 2026 and Q2 2026 filings, matched position by position. Value deltas include the quarter's price move, so rankings key on share changes first.

New positions

  • State Street SPDR S&P 500 ETF Trust+1,355,000 sh · +$1.01B
  • Sea Ltd+635,443 sh · +$60.9M
  • VIASAT INC+630,280 sh · +$56.6M
  • MAKEMYTRIP LIMITED MAURITIUS+983,068 sh · +$52.4M
  • MATTHEWS INTL CORP+1,925,992 sh · +$51.8M
  • VISTEON CORP+400,000 sh · +$39.7M
  • ENOVIS CORP+39,207,000 sh · +$37.8M
  • QUANTUM CORP+2,011,678 sh · +$22.1M
  • SURGERY PARTNERS INC+862,588 sh · +$14.5M
  • WORKIVA INC (CUSIP 98139AAD7)+14,970,000 sh · +$14.0M

and 29 more

Exited positions

  • SPDR SERIES TRUST−1,000,000 sh · $181.8M
  • PETROLEO BRASILEIRO S A−6,089,413 sh · $126.4M
  • JETBLUE AIRWAYS CORP−95,093,000 sh · $94.8M
  • NOKIA CORP−11,200,308 sh · $90.1M
  • CBL & ASSOC PPTYS INC−2,153,717 sh · $82.8M
  • AMERICAN WATER CAPITAL CORP−55,921,000 sh · $55.8M
  • COINBASE GLOBAL INC−52,633,000 sh · $52.2M
  • CREDO TECHNOLOGY GROUP HOLDI−539,000 sh · $50.6M
  • OKTA INC−46,973,000 sh · $46.7M
  • Q2 HLDGS INC−41,053,000 sh · $40.9M

and 31 more

Largest increases

  • INVESCO QQQ TR+315,000 sh · +$322.7M
  • OAKTREE SPECIALTY LENDING+6,019,743 sh · +$73.1M
  • FIVE9 INC+31,563,000 sh · +$28.5M
  • AFFIRM HLDGS INC+23,278,000 sh · +$23.1M
  • SHIFT4 PMTS INC+21,172,000 sh · +$20.6M
  • TELADOC HEALTH INC+20,554,000 sh · +$20.5M
  • DEXCOM INC+20,725,000 sh · +$19.8M
  • CONMED CORP+17,456,000 sh · +$17.3M
  • SEA LTD+14,681,000 sh · +$15.1M
  • TELEPHONE & DATA SYS INC+990,662 sh · +$14.8M

Largest decreases

  • TORM PLC−3,509,701 sh · −$150.8M
  • SUNOPTA INC−20,651,812 sh · −$133.8M
  • ANGLOGOLD ASHANTI PLC−44,000 sh · −$56.6M
  • TRANSALTA CORP−3,415,253 sh · −$42.6M
  • RIOT PLATFORMS INC−53,664,000 sh · −$39.5M
  • CEMEX SAB DE CV−2,663,083 sh · −$30.4M
  • TALEN ENERGY CORP−150,000 sh · −$26.4M
  • TELECOM ARGENTINA SA−1,506,139 sh · −$17.5M
  • XP INC−55,200 sh · −$9.7M
  • ARRAY DIGITAL INFRASTRUCTURE−27,586 sh · −$8.2M

Disclosures shown are public regulatory filings. Data may be delayed or incomplete. Smart-money entities may no longer hold positions shown. Not investment advice.

Oaktree Capital Management 13F filing history

QuarterQuarter endPositions storedReported value
Q2 20262026-06-30143$7.21B
Q1 20262026-03-31145$6.56B
Q4 20252025-12-31170$7.03B
Q3 20252025-09-30164$6.49B
Q2 20252025-06-30177$5.81B

Frequently asked questions

What is Oaktree Capital Management's largest 13F holding?

State Street SPDR S&P 500 ETF Trust was Oaktree Capital Management's largest reported position for the quarter ended 2026-06-30, valued at $1.01B — 14.04% of the $7.21B in reported holdings. Figures come from the fund's SEC Form 13F-HR. Not investment advice.

How many positions did Oaktree Capital Management report for Q2 2026?

Oaktree Capital Management reported 143 US-listed positions worth $7.21B in its 13F filing for the quarter ended 2026-06-30.

Which quarter does Oaktree Capital Management's 13F data here cover?

Flock's coverage of Oaktree Capital Management runs through the quarter ended 2026-06-30. SEC rules give institutional managers up to 45 days after quarter-end to file Form 13F-HR, so the disclosure became public after that date. Positions are as of the quarter-end, not current positions.

What did Oaktree Capital Management add in Q2 2026?

Versus its prior stored quarter (Q1 2026), Oaktree Capital Management's Q2 2026 13F shows share-count increases or newly reported positions including State Street SPDR S&P 500 ETF Trust, INVESCO QQQ TR, OAKTREE SPECIALTY LENDING. The quarter-over-quarter tables on this page list the largest changes with share and value deltas. Not investment advice.

What is a 13F filing?

Form 13F-HR is a quarterly SEC disclosure required of institutional investment managers with at least $100M in US-listed equity assets. It lists the manager's long US equity positions as of quarter-end and must be filed within 45 days of that date. It excludes shorts, most bonds, and non-US listings.

How current is this data?

13F positions are as of quarter-end and filed up to 45 days later, so they are never current positions. Flock's coverage of Oaktree Capital Management runs through the quarter ended 2026-06-30. Flock re-checks SEC EDGAR daily and re-stamps this page when a new quarterly filing lands.

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