Asset Manager · CIK 0000949509

Howard Marks

Oaktree Capital
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Howard Marks runs Oaktree Capital, an asset manager overseeing $7.03B in disclosed equity holdings (SEC CIK 0000949509). The latest 13F filing (2025Q4) discloses 166 positions across 11 sectors, with the largest positions in EXE, TORM PLC and ANGLOGOLD ASHANTI PLC. OpenStocks tracks 40 consecutive 13F filings for this manager — every position change, new entry, and exit is logged below.

Portfolio
$7.03B
Positions
166
Quarter
2025Q4
Filings tracked
40

What Howard is holding in options

Howard Marks (Oaktree Capital) disclosed 6 option positions in the 2025Q3 13F filing — 1 long-call and 5 long-puts — totaling $493.0M of underlying-share notional value. The largest exposures are a put on SPY, a put on ORCL, a put on IWM. Notional values reflect the value of the underlying shares at the quarter-end snapshot, not the option premium paid.

Options & derivatives

6 positions · $493.0M notional1 CALL · $27.6M5 PUT · $465.3M
TypeUnderlyingSharesNotional% of book
PUTSPYSPDR S&P 500 ETF TR330K$219.8M3.4%
PUTORCLORACLE CORP500K$140.6M2.2%
PUTIWMISHARES TR220K$53.2M0.8%
PUTMARMARRIOTT INTL INC NEW150K$39.1M0.6%
CALLTLNTALEN ENERGY CORP65K$27.6M0.4%
PUTWINGWINGSTOP INC50K$12.6M0.2%

Notional = value of the underlying shares at the quarter-end snapshot, not the option premium paid. A long PUT is a bearish bet on the underlying; a long CALL is a bullish bet. The reported value is included in the portfolio total but does not reflect actual capital at risk.