Market Value1,878,851,000
Total Holdings121
File Date2018-05-04
Original Filing (Click here)

All hedge funds or institutions that manage over $100M are required by the SEC to file quarterly reports on their holdings. These reports are called 13F reports. However, the filings are required the following quarter from the reporting period, which means that by the time the filing is made (and we see them), the information could be five months old.

For funds with long term positions that make few trades, the holdings might closely resemble their current holdings, even after several months. However, for funds that have high turnover, the holdings data we see might differ significantly from their current holdings. Institutions are required to report CALL and PUT options, and those positions are identified in the table. However, they are not required to report short positions.

Click the link icon to see the full transaction history.

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Security Imputed
Share Price
Prev
Shares
Current
Shares
Change
(Percent)
Prev Value
(USD x1000)
Current Value
(USD x1000)
Change
(Percent)
PYPL / PayPal Holdings, Inc.
SCI / Service Corporation International
/ TD AmeriTrade Holding Corp.
KR / The Kroger Co.
00971TAG6 / Akamai Technologies, Inc. Bond
QRTEA / Qurate Retail Inc - Series A
LRCX / Lam Research Corporation
US98954MAB72 / Zillow Group Inc Bond
21925YAB9 / Cornerstone OnDemand, Inc. Bond 1.500% 7/0
US55024UAB52 / Lumentum Hldgs Inc Bond
31787AAM3 / Finisar Corporation Bond 0.5% Due 12/15/2033 Bond
US232806AM17 / Cypress Semiconductor Corp. Bond
697435AB1 / Palo Alto Networks, Inc. Bond
BAC / Bank of America Corporation
PLNT / Planet Fitness, Inc.
BVN / Compañía de Minas Buenaventura S.A.A. - Depositary Receipt (Common Stock)
BID / Sotheby's
US741503AX44 / The Priceline Group Inc. Bond
SMG / The Scotts Miracle-Gro Company
IT / Gartner, Inc.
WEN / The Wendy's Company
EBAY / eBay Inc.
AMZN / Amazon.com, Inc.
US29359WAB19 / Ensco Jersey Fin Ltd Bond
JDSU /
TRIP / Tripadvisor, Inc.
US09061GAF81 / BioMarin Pharmaceutical Inc. Bond 1.5% 10/15/2020
US25470MAB54 / DISH Network Corp. 3.375% Bond
RF / Regions Financial Corporation
LEN.B / Lennar Corporation
PFE / Pfizer Inc.
US74973WAB37 / Rti Intl Metals Inc Bond
PCAR / PACCAR Inc
EXP / Eagle Materials Inc.
DAL / Delta Air Lines, Inc.
SUPV / Grupo Supervielle S.A. - Depositary Receipt (Common Stock)
SSNC / SS&C Technologies Holdings, Inc.
US682189AK12 / ON Semiconductor Corporation 1% Bond due 2020-12-01
US741503AS58 / The Priceline Group Inc. Bond
EXPD / Expeditors International of Washington, Inc.
MSCI / MSCI Inc.
YHOO / Yahoo! Inc. Bond
458118AC0 / Integrated Device Technology, Inc. Bond
US98236JAB44 / Wright Medical Group N.V. Bond
CBRE / CBRE Group, Inc.
US531229AF93 / Fwonk 1 01/23 Bond
STZ / Constellation Brands, Inc.
171779AJ0 / Ciena Corp. Bond
US01988PAD06 / Allscripts Healthcare Solutions Inc. Bond
US531229AB89 / Liberty Media Corporation Bond
US2692464017 / E*TRADE Financial, Inc.
US880770AG70 / Teradyne Inc Bond
XPO / XPO, Inc. Call
177376AD2 / Citrix Systems, Inc. 0.5% Convertible Bond due 2019-04-15
LAZ / Lazard, Inc.
09061GAE1 / BioMarin Pharmaceutical Inc. Bond 0.75% 10/15/2018
298736AH2 / Euronet Worldwide, Inc. Bond
NCLH / Norwegian Cruise Line Holdings Ltd.
ANGI / Angi Inc.
LEN / Lennar Corporation
SIX / Six Flags Entertainment Corporation
CL / Colgate-Palmolive Company
LBRDA / Liberty Broadband Corporation
US472145AB79 / Jazz Pharmaceuticals, Inc. Bond
KSU / Kansas City Southern
85571BAB1 / Starwood Property Trust Inc Bond
AR / Antero Resources Corporation
04010LAM5 / Ares Capital Corp. 4.375% Bond Due 1/15/2019
X / United States Steel Corporation
AIG / American International Group, Inc.
CME / CME Group Inc.
ED / Consolidated Edison, Inc.
09238EAB0 / Blackhawk Network Holdings, Inc. Bond 1.500% 1/1
US28470R1023 / Eldorado Resorts, Inc.
US049164BJ49 / Atlasairworldwide1.875 01jun24 Bond
US595017AD62 / Microchip Technology Inc. 1.625% Convertible Bond due 2025-12-15
CVCO / Cavco Industries, Inc.
T / AT&T Inc.
88160RAB7 / Tesla Motors, Inc. Convertible Bond 0.250% Due 3/1/2019
452327AF6 / Illumina, Inc. Bond
EEM / iShares, Inc. - iShares MSCI Emerging Markets ETF
PAM / Pampa Energía S.A. - Depositary Receipt (Common Stock)
PANW / Palo Alto Networks, Inc.
WMT / Walmart Inc.
WMGIZ / Wright Medical Group N.V.
AAL / American Airlines Group Inc.
SKYW / SkyWest, Inc.
US670704AG01 / NuVasive, Inc. Bond
HBI / Hanesbrands Inc.
DOV / Dover Corporation
LOW / Lowe's Companies, Inc.
BKR / Baker Hughes Company
SGMS / Scientific Games Corporation
SHW / The Sherwin-Williams Company
US88160RAD35 / Tesla Motors, Inc. Bond 2.375% Due 3/15/2022
AGS / AGS LLC
US267475AB73 / Dycom Industries, Inc. Bond
TTWO / Take-Two Interactive Software, Inc.
61166W101 / Monsanto Co.
MSFT / Microsoft Corporation
LW / Lamb Weston Holdings, Inc.
AMCX / AMC Networks Inc.
CVS / CVS Health Corporation
COST / Costco Wholesale Corporation
XPO / XPO, Inc.
PG / The Procter & Gamble Company
CAAP / Corporación América Airports S.A.
CPA / Copa Holdings, S.A.
SO / The Southern Company
AENZ / Aenza S.A.A - ADR
PM / Philip Morris International Inc.
C / Citigroup Inc.
OMC / Omnicom Group Inc. Put
LLY / Eli Lilly and Company
JNJ / Johnson & Johnson
SYF / Synchrony Financial
HPQ / HP Inc.
BABA / Alibaba Group Holding Limited - Depositary Receipt (Common Stock)
LYV / Live Nation Entertainment, Inc.
MRK / Merck & Co., Inc.
VZ / Verizon Communications Inc.
GLOB / Globant S.A.
IPG / The Interpublic Group of Companies, Inc.
CSX / CSX Corporation
SE / Sea Limited - Depositary Receipt (Common Stock)
HBAN / Huntington Bancshares Incorporated