Jefferies Group

Jefferies Group

13F
Leucadia National
Last update 2024-11-14 1265 Stocks (358 new)
Value $13.60 Bil Turnover 18 %
Countries:
Portfolio Report

Jefferies Group Profile

Harvard graduates Ian Cummings and Joseph S. Steinberg gained control of Talcott National Corporation in 1980 and renamed it Leucadia National. In 2013, the company was acquired by Jefferies Group, and Richard Handler became chief executive officer. The company was renamed to Jefferies Financial Group (JEF) in 2018.
Through its subsidiaries, Jefferies engages in investment banking, banking and lending, telecommunications, healthcare services, manufacturing, real estate and winery businesses, among others. The Jefferies Group segment offers a full range of investment banking, equities, fixed income, asset and wealth management products and services.

Jefferies Group Investing Philosophy

Using a value investing approach, Jefferies buys distressed and out of favor companies at discount prices, revives them and sells them for a profit. The company’s strategy is as follows: don't overpay, buy companies that make products or provide services that people need or want, sheltered earnings are more valuable than taxed earnings, and once again, don't overpay.

Jefferies Group Portfolio and Latest Trades

Type:
Ticker
Company
Date
Action
Impact %
Price Range
Price
Price Change from Avrg%
Comment
Current Shares
Share Change
SPY
S&P 500 ETF TRUST ETF2023-12-31Add
+6.30%
410.68 ($445.46) 476.69
$598.83
34.43%
Add 264.11%
2,731,026
1,980,977
SPY
S&P 500 ETF TRUST ETF2024-03-31Reduce
-6.14%
467.28 ($497.86) 523.17
$598.83
20.28%
Reduce -70.77%
798,258
-1,932,768
SPY
S&P 500 ETF TRUST ETF2022-12-31New Buy
+5.33%
351.03 ($378.67) 401.36
$598.83
58.14%
New holding
1,961,347
1,961,347
WYNN
Wynn Resorts Ltd2022-12-31New Buy
+3.99%
54.48 ($73.18) 86.67
$91.67
25.27%
New holding
6,810,459
6,810,459
WYNN
Wynn Resorts Ltd2023-03-31Reduce
-3.98%
85.61 ($104.59) 115.83
$91.67
-12.35%
Reduce -99.67%
22,545
-6,787,914
TSLA
Tesla Inc2022-12-31New Buy
+2.76%
109.1 ($189.34) 249.44
$332.89
75.82%
New holding
3,156,207
3,156,207
TSLA
Tesla Inc2023-03-31Reduce
-2.75%
108.1 ($174.45) 214.24
$332.89
90.82%
Reduce -99.79%
6,576
-3,149,631
AAPL
Apple Inc2024-09-30Add
+2.70%
207.23 ($223.32) 234.82
$234.93
5.20%
Add 452.67%
1,923,632
1,575,568
ALL
Allstate Corp2023-06-30Add
+2.61%
107.53 ($113.39) 119
$208.20
83.61%
Add 22021.91%
2,586,715
2,575,022
ALL
Allstate Corp2023-09-30Reduce
-2.61%
101.18 ($109.12) 115.24
$208.20
90.80%
Reduce -99.5%
12,933
-2,573,782
SPY
S&P 500 ETF TRUST ETF2023-03-31Reduce
-2.41%
377.94 ($397.73) 415.2
$598.83
50.56%
Reduce -45.15%
1,075,850
-885,497
AAPL
Apple Inc2022-12-31New Buy
+1.85%
126.04 ($142.91) 155.74
$234.93
64.39%
New holding
2,000,651
2,000,651
SPY
S&P 500 ETF TRUST ETF2024-06-30Add
+1.73%
495.16 ($523.39) 548.49
$598.83
14.41%
Add 36.07%
1,086,225
287,967
GLNG
Golar LNG Ltd2024-09-30Sold Out
-1.70%
31.02 ($33.43) 37.5
$39.29
17.53%
Sold Out
0
-4,900,000
AAPL
Apple Inc2023-03-31Reduce
-1.64%
125.02 ($147.55) 164.9
$234.93
59.22%
Reduce -88.56%
228,778
-1,771,873
SPY
S&P 500 ETF TRUST ETF2023-06-30Reduce
-1.40%
402.86 ($418.22) 443.28
$598.83
43.19%
Reduce -38.04%
666,644
-409,206
QQQ
INVESCO QQQ Trust2022-12-31New Buy
+1.31%
259.11 ($275.15) 292.16
$505.30
83.65%
New holding
691,101
691,101
NVDA
NVIDIA Corp2024-09-30Add
+1.27%
98.91 ($118.12) 134.91
$135.34
14.58%
Add 514.52%
1,699,431
1,422,887
V
Visa Inc2024-03-31Add
+1.21%
257.98 ($276.09) 290.37
$314.70
13.98%
Add 4481.92%
465,294
455,139
GLNG
Golar LNG Ltd2024-06-30Add
+1.05%
24.13 ($26.44) 31.35
$39.29
48.60%
Add 161.72%
4,900,000
3,027,798
SGRY
Surgery Partners Inc2023-12-31Add
+0.98%
22.32 ($29.02) 35.51
$23.41
-19.33%
Add 28457.89%
4,563,265
4,547,286
SGRY
Surgery Partners Inc2024-03-31Sold Out
-0.98%
27.52 ($31.29) 35.07
$23.41
-25.18%
Sold Out
0
-4,563,265
QQQ
INVESCO QQQ Trust2023-09-30Add
+0.95%
354.21 ($370.83) 385.74
$505.30
36.26%
Add 114.64%
530,623
283,413
GERN
Geron Corp2024-06-30Add
+0.93%
3.1 ($3.9) 5.09
$4.17
6.92%
Add 10822.02%
20,030,000
19,846,609
NXPI
NXP Semiconductors NV2024-09-30Add
+0.93%
225.14 ($250.69) 290.78
$226.53
-9.64%
Add 5092.48%
540,018
529,618
AMGN
Amgen Inc2024-09-30Add
+0.77%
309.38 ($327.11) 337.38
$280.07
-14.38%
Add 403.1%
404,623
324,197
QQQ
INVESCO QQQ Trust2023-03-31Reduce
-0.77%
261.18 ($294.67) 320.93
$505.30
71.48%
Reduce -58.77%
284,953
-406,148
HYLB
Xtrackers USD High Yield Corporate Bond ETF2023-06-30Sold Out
-0.72%
33.77 ($34.28) 34.75
$36.69
7.03%
Sold Out
0
-2,497,097
IWM
iShares Russell 2000 ETF2022-12-31New Buy
+0.71%
164.98 ($176.06) 185.98
$240.95
36.86%
New holding
570,523
570,523
XBI
SPDR Biotech ETF2024-06-30Reduce
-0.70%
82.22 ($89.66) 94.12
$100.00
11.53%
Reduce -94.07%
47,931
-760,730
HYLB
Xtrackers USD High Yield Corporate Bond ETF2023-03-31Add
+0.66%
33.13 ($33.85) 34.82
$36.69
8.39%
Add 1153.71%
2,497,097
2,297,921
RSP
Invesco S&P 500 Equal Weight ETF2024-03-31Reduce
-0.66%
153.84 ($160.58) 169.37
$187.05
16.48%
Reduce -83.62%
122,009
-622,970
ARGX
argenx SE2024-09-30Add
+0.64%
434.22 ($505.35) 552.56
$614.59
21.62%
Add 319900%
160,000
159,950
HYG
iShares iBoxx USD High Yield Corporate Bond ETF2023-12-31Reduce
-0.64%
71.78 ($74.55) 77.94
$79.88
7.15%
Reduce -66.19%
474,665
-929,371
TGTX
TG Therapeutics Inc2023-06-30Sold Out
-0.64%
15.04 ($25.66) 35
$35.00
36.40%
Sold Out
0
-5,100,110
TGTX
TG Therapeutics Inc2023-03-31New Buy
+0.64%
10.23 ($15.19) 19.34
$35.00
130.41%
New holding
5,100,110
5,100,110
LQD
iShares iBoxx USD Investment Grade Corporate Bond ETF2023-06-30Reduce
-0.63%
104.98 ($107.09) 108.97
$109.88
2.61%
Reduce -85.37%
118,226
-689,789
FERG
Ferguson PLC2023-06-30Sold Out
-0.62%
124.52 ($142.29) 157.31
$213.27
49.88%
Sold Out
0
-561,033
RSP
Invesco S&P 500 Equal Weight ETF2023-12-31Add
+0.60%
133.66 ($145.27) 158.41
$187.05
28.76%
Add 319.21%
744,979
567,270
FERG
Ferguson PLC2023-03-31Add
+0.60%
128.37 ($139) 149.61
$213.27
53.43%
Add 3051.87%
561,033
543,233
QQQ
INVESCO QQQ Trust2024-03-31Reduce
-0.57%
396.28 ($428.75) 446.38
$505.30
17.85%
Reduce -40.58%
306,316
-209,217
FUN
Six Flags Entertainment Corp2024-09-30Sold Out
-0.57%
38.93 ($45.74) 57.63
$46.39
1.42%
Sold Out
0
-953,859
XBI
SPDR Biotech ETF2024-03-31Add
+0.56%
87.05 ($92.79) 102.89
$100.00
7.77%
Add 312.64%
808,661
612,688
XBI
SPDR Biotech ETF2023-12-31Reduce
-0.56%
64.12 ($74.26) 90.86
$100.00
34.66%
Reduce -80.55%
195,973
-811,816
BSX
Boston Scientific Corp2024-06-30Add
+0.55%
67.33 ($73.2) 77.71
$90.75
23.98%
Add 304.6%
860,380
647,731
V
Visa Inc2024-09-30Reduce
-0.55%
253.74 ($270.36) 291.56
$314.70
16.40%
Reduce -44.54%
237,059
-190,348
DAL
Delta Air Lines Inc2024-03-31Add
+0.53%
36.98 ($41.35) 47.87
$63.62
53.86%
Add 39777.32%
1,160,430
1,157,520
HYG
iShares iBoxx USD High Yield Corporate Bond ETF2024-09-30Add
+0.53%
76.72 ($78.67) 80.36
$79.88
1.54%
Add 313.84%
1,189,877
902,357
ARGX
argenx SE2024-06-30Reduce
-0.51%
356.01 ($382.76) 451.55
$614.59
60.57%
Reduce -99.96%
50
-135,049
LQD
iShares iBoxx USD Investment Grade Corporate Bond ETF2023-03-31Add
+0.51%
104.21 ($107.24) 110.7
$109.88
2.46%
Add 215.48%
808,015
551,889
DAL
Delta Air Lines Inc2024-06-30Reduce
-0.51%
45.88 ($49.76) 53.26
$63.62
27.85%
Reduce -97.06%
34,153
-1,126,277
HEI.A
Heico Corp2022-12-31New Buy
+0.50%
110.69 ($122.04) 128.34
$210.36
72.37%
New holding
590,127
590,127
ARGX
argenx SE2024-03-31Add
+0.50%
356.95 ($387.4) 413.29
$614.59
58.64%
Add 4372%
135,099
132,078
EWT
iShares MSCI Taiwan ETF2024-09-30New Buy
+0.50%
47.78 ($53.2) 56.88
$52.69
-0.96%
New holding
1,250,000
1,250,000
GERN
Geron Corp2024-09-30Reduce
-0.48%
4.17 ($4.55) 4.99
$4.17
-8.35%
Reduce -51.59%
9,696,535
-10,333,465
HYG
iShares iBoxx USD High Yield Corporate Bond ETF2023-09-30Add
+0.48%
73.48 ($74.66) 75.65
$79.88
6.99%
Add 99.54%
1,404,036
700,386
XBI
SPDR Biotech ETF2022-12-31New Buy
+0.44%
76.72 ($80.96) 85.66
$100.00
23.52%
New holding
745,217
745,217
EMB
iShares J.P. Morgan USD Emerging Markets Bond ETF2022-12-31New Buy
+0.44%
73.67 ($79.42) 84.65
$91.89
15.70%
New holding
732,587
732,587
SPIB
SPDR Portfolio Intermediate Term Corporate Bond ETF2023-09-30Sold Out
-0.44%
31.4 ($31.85) 32.25
$33.16
4.11%
Sold Out
0
-1,472,210
LCA
Landcadia Holdings IV Inc2023-12-31New Buy
+0.43%
10.37 ($10.4) 10.44
$10.54
1.35%
New holding
6,250,000
6,250,000
GLNG
Golar LNG Ltd2024-03-31New Buy
+0.43%
20.29 ($22.28) 24.56
$39.29
76.35%
New holding
1,872,202
1,872,202
HYG
iShares iBoxx USD High Yield Corporate Bond ETF2023-06-30Add
+0.43%
72.48 ($73.55) 74.36
$79.88
8.61%
Add 751.6%
703,650
621,023
LCA
Landcadia Holdings IV Inc2024-03-31Sold Out
-0.43%
10.4 ($10.5) 10.55
$10.54
0.38%
Sold Out
0
-6,250,000
KBR
KBR Inc2023-06-30Add
+0.42%
54.54 ($59.56) 65.57
$61.18
2.72%
Add 104.75%
1,359,793
695,685
JPM
JPMorgan Chase & Co2024-06-30Reduce
-0.42%
180.08 ($195.5) 204.79
$249.79
27.77%
Reduce -86.14%
35,353
-219,797
FRGI Fiesta Restaurant Group Inc2023-12-31Sold Out
-0.41%
8.45 ($8.48) 8.49
$8.49
0.12%
Sold Out
0
-5,262,189
ABBV
AbbVie Inc2024-06-30Add
+0.41%
154.79 ($165.65) 180.76
$183.08
10.52%
Add 340.13%
279,721
216,167
SHEL
Shell PLC2024-09-30Add
+0.41%
65.34 ($70.83) 73.28
$64.91
-8.36%
Add 6893.66%
874,208
861,708
BN
Brookfield Corp2022-12-31New Buy
+0.41%
30.75 ($33.83) 38.41
$61.37
81.41%
New holding
1,848,359
1,848,359
NVDA
NVIDIA Corp2024-06-30Reduce
-0.40%
76.2 ($101.1) 135.58
$135.34
33.87%
Reduce -62.39%
276,544
-458,666
KROS
Keros Therapeutics Inc2024-03-31Add
+0.39%
41.26 ($59.3) 70.48
$58.55
-1.26%
Add 3885.35%
633,671
617,771
MRNA
Moderna Inc2024-03-31Add
+0.39%
85.37 ($100.8) 115.44
$43.39
-56.95%
Add 657.92%
443,853
385,291
MRNA
Moderna Inc2024-06-30Reduce
-0.39%
101.21 ($126.55) 166.61
$43.39
-65.71%
Reduce -86.62%
59,406
-384,447
LSXMK
Liberty SiriusXM Group2022-12-31New Buy
+0.37%
29.81 ($31.98) 34.61
$22.29
-30.30%
New holding
1,340,237
1,340,237
EMB
iShares J.P. Morgan USD Emerging Markets Bond ETF2023-03-31Reduce
-0.36%
83.02 ($85.14) 88.42
$91.89
7.93%
Reduce -82.94%
125,000
-607,587
AAPL
Apple Inc2023-12-31Reduce
-0.36%
166.89 ($184.64) 198.11
$234.93
27.24%
Reduce -59.09%
157,349
-227,248
HEI.A
Heico Corp2023-03-31Reduce
-0.36%
117.99 ($132.55) 139.5
$210.36
58.70%
Reduce -71.38%
168,916
-421,211
FWONA
Liberty Formula One Group2023-09-30Sold Out
-0.36%
55.37 ($61.22) 68.02
$81.09
32.46%
Sold Out
0
-598,469
AAPL
Apple Inc2023-09-30Add
+0.36%
170.43 ($183.38) 196.45
$234.93
28.11%
Add 144.69%
384,597
227,421
AXSM
Axsome Therapeutics Inc2023-09-30New Buy
+0.36%
69.25 ($74.75) 82.21
$99.65
33.31%
New holding
553,195
553,195
SJNK
SPDR Bloomberg Short Term High Yield Bond ETF2022-12-31New Buy
+0.35%
22.2 ($22.91) 23.58
$25.62
11.83%
New holding
2,028,500
2,028,500
SPAB
SPDR Portfolio Aggregate Bond ETF2023-06-30New Buy
+0.35%
25.01 ($25.37) 25.73
$25.50
0.51%
New holding
1,482,135
1,482,135
CZA
Invesco Zacks Mid-Cap ETF2024-03-31Sold Out
-0.35%
91 ($95.2) 101.69
$113.08
18.78%
Sold Out
0
-560,000
ICPT Intercept Pharmaceuticals Inc2023-09-30New Buy
+0.35%
9.99 ($11.31) 18.71
$19.00
67.99%
New holding
2,000,000
2,000,000
CZA
Invesco Zacks Mid-Cap ETF2023-12-31New Buy
+0.35%
79.88 ($86.76) 94.25
$113.08
30.34%
New holding
560,000
560,000
SPAB
SPDR Portfolio Aggregate Bond ETF2023-09-30Sold Out
-0.35%
24.28 ($24.91) 25.47
$25.50
2.37%
Sold Out
0
-1,482,135
ICPT Intercept Pharmaceuticals Inc2023-12-31Sold Out
-0.35%
18.2 ($18.8) 19
$19.00
1.06%
Sold Out
0
-2,000,000
BCYC
Bicycle Therapeutics PLC2023-03-31New Buy
+0.35%
20.02 ($25.08) 31.37
$20.35
-18.86%
New holding
1,948,000
1,948,000
BN
Brookfield Corp2023-06-30Reduce
-0.34%
30.04 ($31.81) 33.65
$61.37
92.93%
Reduce -67.87%
593,579
-1,254,000
LQD
iShares iBoxx USD Investment Grade Corporate Bond ETF2024-03-31Add
+0.34%
106.98 ($108.66) 110.63
$109.88
1.12%
Add 254.11%
456,704
327,730
TMO
Thermo Fisher Scientific Inc2022-12-31New Buy
+0.34%
484.71 ($529.89) 571.38
$521.66
-1.55%
New holding
87,151
87,151
SPY
S&P 500 ETF TRUST ETF2023-09-30Add
+0.33%
425.88 ($444.77) 457.79
$598.83
34.64%
Add 12.51%
750,049
83,405
PTGX
Protagonist Therapeutics Inc2024-06-30Add
+0.33%
24.66 ($29.29) 34.8
$44.95
53.47%
Add 72.85%
2,040,561
860,000
ATMU
Atmus Filtration Technologies Inc2024-03-31New Buy
+0.33%
21.58 ($23.93) 32.25
$43.06
79.94%
New holding
1,056,303
1,056,303
FOX
Fox Corp2022-12-31New Buy
+0.33%
26.57 ($28.63) 30.61
$44.36
54.94%
New holding
1,621,168
1,621,168
USO
United States Oil Fund2022-12-31New Buy
+0.33%
62.71 ($69.94) 76.82
$71.72
2.55%
New holding
669,870
669,870
TLT
iShares 20+ Year Treasury Bond ETF2022-12-31New Buy
+0.32%
89.81 ($98.22) 106.92
$93.01
-5.30%
New holding
451,300
451,300
LBRDK
Liberty Broadband Corp2023-09-30Sold Out
-0.32%
80.38 ($89.2) 95.23
$84.38
-5.40%
Sold Out
0
-429,197
FUN
Cedar Fair LP2023-06-30Reduce
-0.32%
39.88 ($42.75) 45.69
$46.39
8.51%
Reduce -88.54%
106,849
-825,553
USO
United States Oil Fund2023-03-31Reduce
-0.32%
58.66 ($66.67) 71.55
$71.72
7.57%
Reduce -97.39%
17,500
-652,370
100/Page
Total 9819

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