George Soros’ Soros Fund Management disclosed in an SEC filing its holdings as of June 30, 2025. Soros’ new buys during the second quarter included, by size of position, Brown & Brown (BRO), Aramark (ARMK), Idacorp (IDA), and JBT Marel (JBTM). Soros exited a number of positions during the quarter, including by size of previous position, AstraZeneca (AZN), American Electric Power (AEP), JPMorgan (JPM), and Nasdaq (NDAQ). Soros increased its stake in a number of holdings, including by size of previous position, Interactive Brokers (IBKR), Nvidia (NVDA), Liberty Broadband (LBRDK), Snowflake (SNOW), and KKR & Co (KKR). Soros reduced its stake in a number of holdings, including by size of previous position, Alphabet (GOOGL), Goldman Sachs (GS), AerCap (AER), and CyberArk (CYBR). Soros’ top holdings as of June 30, in order of size, were Smurfit WestRock (SW), GFL Environmental (GFL), Flutter (FLUT), Liberty Broadband, and Interactive Brokers.
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