Co-Chair of Oaktree Capital Management. His memos — published irregularly since 1990 — have shaped how a generation of investors thinks about market cycles, risk asymmetry, and the gap between price and value.
Howard Marks: 41 Q1 2026 13F signals plus a credit memo warning on direct lending bubble dynamics across a 90-day window.
Oaktree's Q1 2026 13F filings, dated March 31, revealed a sweeping expansion of disclosed equity positions across multiple sub-advisers, with the two largest new stakes standing out clearly. Marks's firm opened a position in GTX at 14.6M shares worth $265.2M — approximately 4% of disclosed book — making it the single largest new position in the window. A new TLN position of 481.1k shares worth $153.6M followed as the second-largest new entry, representing roughly 2% of disclosed book. Two new positions in RIOT (79.7M shares, $91.8M, ≈1% of portfolio each across two sub-advisers) and a new CBL position (2.2M shares, $82.8M, ≈1% of portfolio) rounded out the larger new stakes. Beyond those headline moves, Oaktree initiated smaller new positions across a wide range of sectors — including XP ($60.4M), ENPH ($50.6M), VAC ($50.2M), QTWO ($40.9M), LYB ($40.3M), DKNG ($40.0M), CNMD ($35.1M), CBRL ($25.7M), KRSP ($24.7M), OCSL ($20.9M), SNAP ($18.7M), RWAY ($48.3M), and several others — while trimming existing positions in AVAV (−$7.0M), AU (−$14.4M), and ALVO (−$1.7M), and adding modestly to BXMT (+$1.0M) and XYZ (+$4.8M). Separately, on April 9, Marks published a memo tracing the evolution of direct lending from a genuine financial innovation into what he characterized as bubble-like dynamics, specifically warning of concentrated risks in software-company debt and mounting redemption pressures in publicly traded credit vehicles. The memo and the 13F activity are unrelated in theme.
Auto-generated beat summary over window ending Jun 19, 2026. Not investment advice. Verify before acting.
MARRIOTT VACATIONS WORLDWIDE CORP CONVERTIBLE BOND
25,833,000▲ +68%Shares increased 68%
$24.1M
0.4%
TELECOM ARGENTINA SA COMMON STOCK
2,644,263▼ −2%Shares decreased 2%
$23.3M
0.4%
ENPHASE ENERGY INC CONVERTIBLE BOND
23,501,000▲ +104%Shares increased 104%
$22.5M
0.4%
FULL TRUCK ALLIANCE CO LTD COMMON STOCK
1,842,337NEWNew position this quarter
$21.8M
0.4%
WIX.COM LTD CONVERTIBLE BOND
21,116,000▲ +332%Shares increased 332%
$21.1M
0.4%
ENVISTA HOLDINGS CORP CONVERTIBLE BOND
22,281,000▲ +30%Shares increased 30%
$20.7M
0.4%
OKTA INC CONVERTIBLE BOND
20,241,000▲ +517%Shares increased 517%
$20.1M
0.3%
VALE SA COMMON STOCK
2,033,706▼ −66%Shares decreased 66%
$19.7M
0.3%
FIRST MAJESTIC SILVER CORP CONVERTIBLE BOND
20,605,000▲ +32%Shares increased 32%
$19.6M
0.3%
TALEN ENERGY CORP COMMON STOCK
65,000▼ −89%Shares decreased 89%
$18.9M
0.3%
15677JAD0DAYFORCE INC CONVERTIBLE BOND
18,080,000NEWNew position this quarter
$17.5M
0.3%
BRIDGEBIO PHARMA INC CONVERTIBLE BOND
18,056,000▲ +28%Shares increased 28%
$16.9M
0.3%
ALTICE USA INC COMMON STOCK
7,500,000
$16.1M
0.3%
DEXCOM INC CONVERTIBLE BOND
16,111,000NEWNew position this quarter
$15.9M
0.3%
842587DZ7SOUTHERN CO/THE CONVERTIBLE BOND
13,459,000NEWNew position this quarter
$14.9M
0.3%
UNITI GROUP INC COMMON STOCK
3,397,592
$14.7M
0.3%
LIBERTY LATIN AMERICA LTD COMMON STOCK
2,328,516NEWNew position this quarter
$14.5M
0.3%
ALVOTECH SA COMMON STOCK
1,563,676▼ −16%Shares decreased 16%
$14.3M
0.2%
SEA LTD COMMON STOCK
83,513NEWNew position this quarter
$13.4M
0.2%
75606DAP6ANYWHERE REAL ESTATE INC CONVERTIBLE BOND
13,200,000▼ −61%Shares decreased 61%
$13.0M
0.2%
JD.COM INC CONVERTIBLE BOND
12,352,000NEWNew position this quarter
$12.9M
0.2%
SHIFT4 PAYMENTS INC CONVERTIBLE BOND
11,913,000▼ −1%Shares decreased 1%
$12.8M
0.2%
PPL CORP CONVERTIBLE BOND
11,381,000▲ +3%Shares increased 3%
$12.3M
0.2%
ENPHASE ENERGY INC CONVERTIBLE BOND
14,755,000▲ +25%Shares increased 25%
$12.0M
0.2%
MKS INC CONVERTIBLE BOND
11,985,000NEWNew position this quarter
$11.9M
0.2%
CMS ENERGY CORP CONVERTIBLE BOND
11,017,000▲ +5%Shares increased 5%
$11.7M
0.2%
MAGNACHIP SEMICONDUCTOR CORP COMMON STOCK
2,849,858
$11.3M
0.2%
UPSTART HOLDINGS INC CONVERTIBLE BOND
11,901,000▲ +22%Shares increased 22%
$11.3M
0.2%
COINBASE GLOBAL INC CONVERTIBLE BOND
7,894,000▲ +177%Shares increased 177%
$10.3M
0.2%
EXPAND ENERGY CORP WARRANT
95,294
$10.3M
0.2%
08579X101BERRY CORP COMMON STOCK
3,697,000
$10.2M
0.2%
YPF SA COMMON STOCK
324,330NEWNew position this quarter
$10.2M
0.2%
LIVANOVA PLC CONVERTIBLE BOND
9,995,000▼ −33%Shares decreased 33%
$10.2M
0.2%
CRACKER BARREL OLD COUNTRY STORE INC CONVERTIBLE BOND
9,922,000NEWNew position this quarter
$9.5M
0.2%
SHAKE SHACK INC CONVERTIBLE BOND
8,821,000▼ −24%Shares decreased 24%
$9.5M
0.2%
BAUSCH HEALTH COS INC COMMON STOCK
1,270,000
$8.5M
0.1%
GUARDANT HEALTH INC CONVERTIBLE BOND
7,193,000▼ −11%Shares decreased 11%
$8.4M
0.1%
WEC ENERGY GROUP INC CONVERTIBLE BOND
7,154,000NEWNew position this quarter
$8.3M
0.1%
ALVOTECH SA WARRANT
4,666,667
$8.2M
0.1%
NEXTERA ENERGY INC CONVERTIBLE BOND
7,141,000▼ −19%Shares decreased 19%
$8.1M
0.1%
TETRA TECH INC CONVERTIBLE BOND
6,969,000▲ +282%Shares increased 282%
$7.9M
0.1%
DEXCOM INC CONVERTIBLE BOND
8,288,000▼ −21%Shares decreased 21%
$7.8M
0.1%
PARSONS CORP CONVERTIBLE BOND
7,203,000▲ +377%Shares increased 377%
$7.7M
0.1%
92343XAC4VERINT SYSTEMS INC CONVERTIBLE BOND
7,835,000NEWNew position this quarter
$7.5M
0.1%
SMARTRENT INC COMMON STOCK
7,505,294
$7.4M
0.1%
BLACKLINE INC CONVERTIBLE BOND
6,945,000NEWNew position this quarter
$7.4M
0.1%
TRAVERE THERAPEUTICS INC CONVERTIBLE BOND
7,741,000▲ +7%Shares increased 7%
$7.4M
0.1%
H WORLD GROUP LTD CONVERTIBLE BOND
6,884,000▼ −37%Shares decreased 37%
$7.3M
0.1%
VAIL RESORTS INC CONVERTIBLE BOND
7,458,000▲ +27%Shares increased 27%
$7.3M
0.1%
CYTOKINETICS INC CONVERTIBLE BOND
6,692,000▲ +5%Shares increased 5%
$7.1M
0.1%
BLACKSTONE MORTGAGE TRUST INC CONVERTIBLE BOND
7,151,000▲ +2%Shares increased 2%
$7.0M
0.1%
ALIBABA GROUP HOLDING LTD CONVERTIBLE BOND
5,397,000NEWNew position this quarter
$6.9M
0.1%
FLUOR CORP CONVERTIBLE BOND
5,011,000▼ −9%Shares decreased 9%
$6.6M
0.1%
MARRIOTT VACATIONS WORLDWIDE CORP CONVERTIBLE BOND
6,746,000NEWNew position this quarter
$6.5M
0.1%
HDFC BANK LTD COMMON STOCK
84,843▼ −5%Shares decreased 5%
$6.5M
0.1%
MAGNITE INC CONVERTIBLE BOND
6,637,000▲ +196%Shares increased 196%
$6.4M
0.1%
75737FAE8REDFIN CORP CONVERTIBLE BOND
7,025,000▲ +155%Shares increased 155%
$6.3M
0.1%
LUMENTUM HOLDINGS INC CONVERTIBLE BOND
3,997,000▲ +110%Shares increased 110%
$6.1M
0.1%
NICE LTD CONVERTIBLE BOND
6,124,000▲ +196%Shares increased 196%
$6.1M
0.1%
UPWORK INC CONVERTIBLE BOND
6,373,000▲ +187%Shares increased 187%
$6.0M
0.1%
ON SEMICONDUCTOR CORP CONVERTIBLE BOND
6,380,000▲ +16%Shares increased 16%
$5.9M
0.1%
MERITAGE HOMES CORP CONVERTIBLE BOND
6,077,000NEWNew position this quarter
$5.9M
0.1%
WORKIVA INC CONVERTIBLE BOND
6,248,000▲ +6%Shares increased 6%
$5.8M
0.1%
REPLIGEN CORP CONVERTIBLE BOND
5,796,000▲ +163%Shares increased 163%
$5.8M
0.1%
INTEGRA LIFESCIENCES HOLDINGS CORP CONVERTIBLE BOND
5,761,000▼ −2%Shares decreased 2%
$5.7M
0.1%
HAEMONETICS CORP CONVERTIBLE BOND
5,463,000NEWNew position this quarter
$5.4M
0.1%
FUBOTV INC CONVERTIBLE BOND
5,561,000▲ +27%Shares increased 27%
$5.4M
0.1%
MESA LABORATORIES INC CONVERTIBLE BOND
5,438,000
$5.4M
0.1%
PENNYMAC MORTGAGE INVESTMENT TRUST CONVERTIBLE BOND
5,411,000▼ −18%Shares decreased 18%
$5.4M
0.1%
ZIFF DAVIS INC CONVERTIBLE BOND
5,446,000▼ −21%Shares decreased 21%
$5.2M
0.1%
FIVERR INTERNATIONAL LTD CONVERTIBLE BOND
5,259,000▲ +76%Shares increased 76%
$5.2M
0.1%
ARRAY TECHNOLOGIES INC CONVERTIBLE BOND
6,448,000▲ +96%Shares increased 96%
$5.1M
0.1%
TWO HARBORS INVESTMENT CORP CONVERTIBLE BOND
4,765,000▼ −26%Shares decreased 26%
$4.7M
0.1%
401617AF2GUESS INC CONVERTIBLE BOND
4,923,000▲ +193%Shares increased 193%
$4.7M
0.1%
HUDSON TECHNOLOGIES INC COMMON STOCK
562,662NEWNew position this quarter
$4.6M
0.1%
GUARDANT HEALTH INC CONVERTIBLE BOND
5,017,000▼ −77%Shares decreased 77%
$4.6M
0.1%
UBER TECHNOLOGIES INC CONVERTIBLE BOND
3,163,000
$4.5M
0.1%
OKTA INC CONVERTIBLE BOND
4,657,000▲ +254%Shares increased 254%
$4.5M
0.1%
TRIP.COM GROUP LTD CONVERTIBLE BOND
3,996,000NEWNew position this quarter
$4.5M
0.1%
HAEMONETICS CORP CONVERTIBLE BOND
4,509,000▲ +29%Shares increased 29%
$4.4M
0.1%
BANCO MACRO SA COMMON STOCK
60,591▼ −77%Shares decreased 77%
$4.3M
0.1%
AFFIRM HOLDINGS INC CONVERTIBLE BOND
4,291,000▲ +16%Shares increased 16%
$4.0M
0.1%
DUKE ENERGY CORP CONVERTIBLE BOND
3,750,000▲ +150%Shares increased 150%
$4.0M
0.1%
TPI COMPOSITES INC COMMON STOCK
4,610,003
$4.0M
0.1%
LI AUTO INC CONVERTIBLE BOND
3,297,000▲ +127%Shares increased 127%
$3.9M
0.1%
BATTALION OIL CORP COMMON STOCK
3,009,912
$3.9M
0.1%
REDWOOD TRUST INC CONVERTIBLE BOND
3,845,000▲ +251%Shares increased 251%
$3.8M
0.1%
NABORS INDUSTRIES LTD CONVERTIBLE BOND
6,500,000NEWNew position this quarter
$3.8M
0.1%
CERENCE INC CONVERTIBLE BOND
4,865,000▲ +725%Shares increased 725%
$3.7M
0.1%
BANDWIDTH INC CONVERTIBLE BOND
4,301,000▲ +42%Shares increased 42%
$3.6M
0.1%
TRANSPORTADORA DE GAS DEL SUR SA COMMON STOCK
137,630▼ −72%Shares decreased 72%
$3.6M
0.1%
SAREPTA THERAPEUTICS INC CONVERTIBLE BOND
4,920,000▼ −51%Shares decreased 51%
$3.6M
0.1%
PELOTON INTERACTIVE INC CONVERTIBLE BOND
3,669,000▼ −23%Shares decreased 23%
$3.5M
0.1%
JBS NV COMMON STOCK
238,610NEWNew position this quarter
$3.5M
0.1%
HERBALIFE LTD CONVERTIBLE BOND
3,742,000▼ −22%Shares decreased 22%
$3.4M
0.1%
NEOGENOMICS INC CONVERTIBLE BOND
3,819,000▼ −88%Shares decreased 88%
$3.3M
0.1%
84921RAB6SPOTIFY TECHNOLOGY SA CONVERTIBLE BOND
2,000,000▼ −7%Shares decreased 7%
$3.0M
0.1%
UNITY SOFTWARE INC CONVERTIBLE BOND
3,216,000
$3.0M
0.1%
WAYFAIR INC CONVERTIBLE BOND
2,585,000
$3.0M
0.1%
BRIDGEBIO PHARMA INC CONVERTIBLE BOND
2,100,000▲ +68%Shares increased 68%
$2.6M
0.0%
SSR MINING INC CONVERTIBLE BOND
2,419,000▼ −16%Shares decreased 16%
$2.5M
0.0%
BILL HOLDINGS INC CONVERTIBLE BOND
2,722,000NEWNew position this quarter
$2.5M
0.0%
CLOUDFLARE INC CONVERTIBLE BOND
2,000,000NEWNew position this quarter
$2.4M
0.0%
131193AE4TOPGOLF CALLAWAY BRANDS CORP CONVERTIBLE BOND
2,397,000NEWNew position this quarter
$2.3M
0.0%
75737FAC2REDFIN CORP CONVERTIBLE BOND
2,381,000NEWNew position this quarter
$2.3M
0.0%
NOVOCURE LTD CONVERTIBLE BOND
2,385,000NEWNew position this quarter
$2.3M
0.0%
ON SEMICONDUCTOR CORP CONVERTIBLE BOND
1,950,000▲ +56%Shares increased 56%
$2.3M
0.0%
BLOCK INC CONVERTIBLE BOND
2,464,000▼ −64%Shares decreased 64%
$2.2M
0.0%
HALOZYME THERAPEUTICS INC CONVERTIBLE BOND
2,000,000NEWNew position this quarter
$2.0M
0.0%
PG&E CORP CONVERTIBLE BOND
1,975,000▼ −68%Shares decreased 68%
$2.0M
0.0%
BENTLEY SYSTEMS INC CONVERTIBLE BOND
2,052,000NEWNew position this quarter
$1.9M
0.0%
SNAP INC CONVERTIBLE BOND
2,002,000NEWNew position this quarter
$1.8M
0.0%
ASCENDIS PHARMA A/S CONVERTIBLE BOND
1,304,000▼ −87%Shares decreased 87%
$1.6M
0.0%
AMERICAN AIRLINES GROUP INC CONVERTIBLE BOND
1,500,000NEWNew position this quarter
$1.5M
0.0%
POST HOLDINGS INC CONVERTIBLE BOND
1,300,000
$1.5M
0.0%
BRASKEM SA COMMON STOCK
453,167▼ −81%Shares decreased 81%
$1.5M
0.0%
ESPERION THERAPEUTICS INC CONVERTIBLE BOND
1,463,000▲ +89%Shares increased 89%
$1.4M
0.0%
BIOMARIN PHARMACEUTICAL INC CONVERTIBLE BOND
1,481,000NEWNew position this quarter
$1.4M
0.0%
TRAVERE THERAPEUTICS INC CONVERTIBLE BOND
1,377,000
$1.4M
0.0%
450056AB2IRHYTHM TECHNOLOGIES INC CONVERTIBLE BOND
1,050,000▼ −45%Shares decreased 45%
$1.3M
0.0%
86745KAF1SUNNOVA ENERGY INTERNATIONAL INC CONVERTIBLE BOND
106,199,000
$1.3M
0.0%
GROUPON INC CONVERTIBLE BOND
1,336,000▼ −47%Shares decreased 47%
$1.3M
0.0%
PAR TECHNOLOGY CORP CONVERTIBLE BOND
1,100,000
$1.3M
0.0%
TYLER TECHNOLOGIES INC CONVERTIBLE BOND
1,000,000NEWNew position this quarter
$1.2M
0.0%
UBER TECHNOLOGIES INC CONVERTIBLE BOND
1,000,000NEWNew position this quarter
$1.2M
0.0%
VENTAS INC CONVERTIBLE BOND
1,000,000▼ −20%Shares decreased 20%
$1.2M
0.0%
LANTHEUS HOLDINGS INC CONVERTIBLE BOND
900,000NEWNew position this quarter
$1.1M
0.0%
PAGERDUTY INC CONVERTIBLE BOND
1,033,000NEWNew position this quarter
$1.0M
0.0%
BLACKLINE INC CONVERTIBLE BOND
1,020,000NEWNew position this quarter
$1.0M
0.0%
ALNYLAM PHARMACEUTICALS INC CONVERTIBLE BOND
750,000▼ −25%Shares decreased 25%
$1.0M
0.0%
SEAGATE TECHNOLOGY HOLDINGS PLC CONVERTIBLE BOND
500,000▼ −77%Shares decreased 77%
$0.9M
0.0%
86745KAH7SUNNOVA ENERGY INTERNATIONAL INC CONVERTIBLE BOND
61,469,000
$0.8M
0.0%
BLOCK INC CONVERTIBLE BOND
514,000▼ −73%Shares decreased 73%
$0.5M
0.0%
BIOXCEL THERAPEUTICS INC COMMON STOCK
241,188NEWNew position this quarter
$0.4M
0.0%
LCI INDUSTRIES CONVERTIBLE BOND
161,000NEWNew position this quarter
$0.2M
0.0%
Sector allocation
How the book's sector weights moved
▲Added $200.0M to Health Care — 6% of book
▲Added $58.2M to Energy — 2% of book
▼Trimmed Information Technology by $197.5M
•$759.5M reshuffled across the book
Full read▾
Howard Marks's Oaktree Capital reshuffled approximately 21% of its disclosed equity book over the first quarter of 2026, with the most significant moves concentrated in Health Care and Information Technology. The investor added $200.0M to Health Care — representing 6% of book — and increased Energy exposure by $58.2M (2% of book), while simultaneously trimming Information Technology by $197.5M (5% of book) and paring Consumer Discretionary by $79.3M (2% of book). The quarter saw more than 25 new equity positions opened, headlined by Garrett Motion at $265.2M (4% of book) and Talen Energy at $153.6M (2% of book), alongside smaller initiations in healthcare names including CNMD, COGT, HAE, and CELC. Marks also reduced exposure to Utilities by $73.0M (2% of book) and added modestly to Financials by $24.9M. The broad reshuffling reflects a shift away from technology and discretionary holdings toward defensive and energy-linked equities, even as Marks separately warned in an April memo of bubble-like dynamics in direct-lending markets.
AI summary of filed 13F sector changes
Energy rose most (▲ +2pp) · Financials fell most (▼ −4pp)
42 of 177 holdings classified · Sectors derived from free SEC SIC codes + curated overrides.
Recent moves
Latest filed · 2026-03-31
Every entry below is an auto-generated factual summary of a public filing or disclosure. Not investment advice. Verify before acting.