Howard Marks - Oaktree Capital Management Options Holdings (Q4 2021)

As of Dec 31, 2021, the Oaktree Capital Management portfolio disclosed options positions in its latest SEC 13F filing reported on May 15, 2026. These filings include call and put options tied to underlying equity holdings, providing a deeper look at the fund's use of derivatives for exposure and hedging.

The reported options activity included 6 call contracts and 2 put contracts across companies such as SPDR S&P 500 (SPY), iShares Russell 2000 ETF (IWM), Mr. Cooper Group Inc. (COOP). Options positions can signal strategies around hedging risk, enhancing leverage, or adjusting portfolio exposure during market shifts.

Options Positions

Showing 8 of 8 positions.

Quarter Symbol Company Option Contracts Notional Value
Q4 2021 SPY SPDR S&P 500 PUT 630,000 $299,225.00
Q4 2021 IWM iShares Russell 2000 ETF PUT 500,000 $111,225.00
Q4 2021 COOP Mr. Cooper Group Inc. CALL 1,000,000 $41,610.00
Q4 2021 CHKEL CHKEL CALL 808,001 $26,462.00
Q4 2021 GLLIW Globalink Investment Inc. Warrants CALL 350,000 $70.00
Q4 2021 WINVW WinVest Acquisition Corp. Warrant CALL 299,900 $58.00
Q4 2021 VSACW VSACW CALL 112,500 $45.00
Q4 2021 CEROW CEROW CALL 100,000 $42.00

Note: Notional value represents the total exposure of the options position.