Scion Asset Management Q3 2019

Scion Asset Management holdings Q3 2019
Name ValueChangeSharesChangeWeightingChange
GAMESTOP CORP NEWcl aNew $16,5603,000,00027.78%
TAILORED BRANDS INC$12,650
18.50%
2,875,000
55.41%
21.22%
85.97%
ALPHABET INCcap stk cl c$9,752
0.25%
8,000
-11.11%
16.36%
57.32%
SPORTSMANS WHSE HLDGS INC$8,418
39.44%
1,625,000
1.75%
14.12%
118.83%
BED BATH & BEYOND INCNew $7,980750,00013.39%
CANADIAN NAT RES LTDNew $3,995150,0006.70%
NUVECTRA CORPNew $263193,4910.44%
CARDINAL HEALTH INCSold $0-200,000-10.07%
FEDEX CORPSold $0-60,000-10.53%
GREENSKY INCcl aSold $0-600,000-7.88%
DISNEY WALT COSold $0-60,000-8.95%
CLEVELAND CLIFFS INCSold $0-1,100,000-12.54%
ALIBABA GROUP HLDG LTDsponsored adsSold $0-50,000-9.06%
WESTERN DIGITAL CORPSold $0-250,000-12.71%
Portfolio Information
QuarterQ3 2019
Total value$59,618,000
Holdings7
Managers
Michael J. Burry
Quarters
2019-12-31
$82,298
2019-09-30
$59,618
2019-06-30
$93,561
2019-03-31
$98,181
2018-12-31
$103,528
2016-09-30
$35,387
2016-06-30
$45,502
2016-03-31
$51,092
2015-12-31
$79,939
SEC Filings