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Institutional Investment Manager
MARK ASSET MANAGEMENT LP
MARK ASSET MANAGEMENT LP (CIK: 0000860176) incorporated in New York, located at 667 Madison Ave, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 54 holdings with a total value of $382,929,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 182,942 22,946,000 5.99%
2 FACEBOOK INC 266,180 22,829,000 5.96%
3 TOLL BROTHERS INC 484,769 18,513,000 4.83%
4 DISNEY WALT CO 159,188 18,170,000 4.75%
5 LENNAR 355,027 18,121,000 4.73%
6 CME GROUP INC 166,408 15,486,000 4.04%
7 VISA INC CL A COMMON STOCK 205,314 13,787,000 3.60%
8 STARBUCKS CORP 228,513 12,252,000 3.20%
9 SCHWAB CHARLES CORP 374,035 12,212,000 3.19%
10 BLACKSTONE GROUP L P 292,567 11,957,000 3.12%
11 GOOGLE INC CL A 22,030 11,897,000 3.11%
12 JD COM INC ADR 346,330 11,810,000 3.08%
13 LIBERTY TRIPADVISOR HLDGS INC COM SER A 360,678 11,621,000 3.03%
14 LIBERTY BROADBAND CORP COM SER A 214,814 10,949,000 2.86%
15 ELECTRONIC ARTS INC 159,810 10,627,000 2.78%
16 BOEING CO 74,107 10,280,000 2.68%
17 NIKE INC 94,793 10,240,000 2.67%
18 LinkedIn Corp 47,197 9,752,000 2.55%
19 MGIC INVT CORP WIS 854,692 9,726,000 2.54%
20 ALIBABA GROUP HLDG LTD 118,226 9,726,000 2.54%
21 ZILLOW GROUP INC 104,283 9,046,000 2.36%
22 CENTENE CORP DEL 108,000 8,683,000 2.27%
23 AMAZON COM INC 19,743 8,570,000 2.24%
24 ILLUMINA INC 38,484 8,403,000 2.19%
25 LIBERTY GLOBAL PLC 146,250 7,908,000 2.07%
26 CBOE HOLDINGS INC 129,750 7,424,000 1.94%
27 HILTON WORLDWIDE HLDGS 241,773 6,661,000 1.74%
28 MANCHESTER UTD PLC NEW ORD CL A 332,331 5,935,000 1.55%
29 NXP Semiconductors NV 58,616 5,756,000 1.50%
30 Allergan plc 18,000 5,462,000 1.43%
31 CUMMINS INC 39,210 5,144,000 1.34%
32 EBAY INC 84,256 5,076,000 1.33%
33 D.R. Horton 158,564 4,338,000 1.13%
34 RADIAN GROUP INC 205,698 3,859,000 1.01%
35 LIBERTY BROADBAND-C 69,268 3,544,000 0.93%
36 ALPHABET INC C NON VOTING SHAR 5,885 3,063,000 0.80%
37 ZYNGA INC 658,794 1,884,000 0.49%
38 LENNAR CORP 33,839 1,459,000 0.38%
39 MOBILEYE NV 24,000 1,276,000 0.33%
40 COMCAST CORP NEW 12,500 752,000 0.20%
41 ENTERPRISE PRODS PARTNERS L 21,000 628,000 0.16%
42 ENERGY TRANSFER L P 9,120 585,000 0.15%
43 KINDER MORGAN INC DEL 14,194 545,000 0.14%
44 AMERICAN TOWER CORP NEW 5,127 478,000 0.12%
45 HOME DEPOT INC 4,267 474,000 0.12%
46 Oaktree Cap Grp Llc 8,640 459,000 0.12%
47 HOST HOTELS & RESORTS INC COM 19,958 396,000 0.10%
48 BUCKEYE PARTNERS L P UNIT LTD PARTN 5,140 380,000 0.10%
49 BOSTON PROPERTIES 2,991 362,000 0.09%
50 NUSTAR ENERGY LP 5,843 347,000 0.09%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001214659-15-006082, filed 2015.08.14).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.