Market Value1,021,023,000
Total Holdings384
File Date2013-08-09
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)
ADT / ADT Inc.
T / AT&T Inc.
TMO / Thermo Fisher Scientific Inc.
018490100 / Allergan plc
AMG / Affiliated Managers Group, Inc.
AFFILIATED MANAGERS GROUP / NOTE 3.950% 8/1 (008252AL2)
A / Agilent Technologies, Inc.
00949PAD0 / Southwest Airlines Co. Bond
AKRX / Akorn, Inc.
009728AB2 / Akorn, Inc. Bond
013817AT8 / Alcoa Corp. Bond
01449J105 / Alere Inc.
US0153511094 / Alexion Pharmaceuticals, Inc.
01741RAD4 / Allegheny Technologies, Inc. Bond
018490100 / Allergan plc
018581AD0 / Alliance Data Systems Corp. Bond
ALLIANT TECHSYSTEMS INC / NOTE 3.000% 8/1 (018804AK0)
ALL / The Allstate Corporation
MO / Altria Group, Inc.
US02261WAB54 / Alza Corp Bond
APACHE CORP / PFD CONV SER D (037411808)
DVN / Devon Energy Corporation
AGNC / AGNC Investment Corp.
AEP / American Electric Power Company, Inc.
AEO / American Eagle Outfitters, Inc.
AMT / American Tower Corporation
AMWD / American Woodmark Corporation
SLB / Schlumberger Limited
032359AC5 / AmTrust Financial Services, Inc. 5.50% Bond due 2021-12-15
US0325111070 / Anadarko Petroleum Corp.
035710AB8 / Annaly Capital Management, Inc. 5% Bond due 2015-05-15
APA / APA Corporation
03761UAE6 / Apollo Investment Corp. Bond
AMCC / Applied Micro Circuits Corp.
ARCHER DANIELS MIDLAND CO / NOTE 0.875% 2/1 (039483AW2)
ARCC / Ares Capital Corporation
04010LAB9 / Ares Capital Corp. 5.75% Bond Due 2/1/2016
04010LAD5 / Ares Capital Corp. 5.125% Bond Due 6/1/2016
04010LAG8 / Ares Capital Corp. 4.875% Bond Due 3/15/2017
ARR / ARMOUR Residential REIT, Inc.
HON / Honeywell International Inc.
AHT / Ashford Hospitality Trust, Inc.
ADNC / Audience Inc
AUXL / Auxilium Pharmaceuticals Inc
AVEO / AVEO Pharmaceuticals Inc
053774AB1 / Avis Budget Group, Inc. Bond
AVT / Avnet, Inc.
BK / The Bank of New York Mellon Corporation
MDT / Medtronic plc
09061GAD3 / BioMarin Pharmaceutical Inc. Bond 1.875% 4/23/2017
BIIB / Biogen Inc.
BMR / Beamr Imaging Ltd.
BONTQ / The Bon-Ton Stores, Inc.
101388AA4 / Bottomline Technologies, Inc. Bond
BDN / Brandywine Realty Trust
BMY / Bristol-Myers Squibb Company
MRK / Merck & Co., Inc.
110394AC7 / Bristow Group, Inc. Bond
BRCM / Broadcom Corporation
112463AA2 / Brookdale Senior Living, Inc. Bond
COST / Costco Wholesale Corporation
MA / Mastercard Incorporated
CF / CF Industries Holdings, Inc.
CMS / CMS Energy Corporation
CSX / CSX Corporation
CVS / CVS Health Corporation
127190AD8 / CACI International, Inc. Convertible Bond
127387AJ7 / Cadence Design Systems, Inc. Bond
COF / Capital One Financial Corporation
CELG / Celgene Corp.
151290BC6 / Cemex S.A.B de C.V. Bond 3.750% 3/1
LUMN / Lumen Technologies, Inc.
165167BZ9 / Chesapeake Energy Corporation 2.50% Conv.sr.notes 5/15/37
170032AT3 / Chiquita Brands International Inc Bond
171779AK7 / Ciena Corp. 4% Bond
C / Citigroup Inc.
19075FAA4 / Cobalt International Energy, Inc., Bond 2.625% Due 12/1/2019
CTSH / Cognizant Technology Solutions Corporation
CL / Colgate-Palmolive Company
US19624RAA41 / Colony Capital, Inc. Bond
CAG / Conagra Brands, Inc.
COP / ConocoPhillips
CAL / Caleres, Inc.
VLO / Valero Energy Corporation
22282EAC6 / Covanta Holding Corp. Bond
CUBIST PHARMACEUTICALS INC / NOTE 2.500%11/0 (229678AD9)
23331ABB4 / D.r. Horton, Inc. 2.00% Senior Notes 05/15/14
DTE / DTE Energy Company
DAN / Dana Incorporated
US235851AF96 / Danaher Corp. Bond
DAL / Delta Air Lines, Inc.
251591AX1 / DDR Corp. Bond
DMND / Diamond Foods, Inc.
DFS / Discover Financial Services
DTV / DTE Energy Company
DOLLAR FINL CORP / NOTE 3.000% 4/0 (256664AC7)
DOMINION RES INC VA NEW / NOTE 2.125%12/1 (25746UAT6)
DOW / Dow Inc.
DUK / Duke Energy Corporation
DYAX / Dyax Corp.
EMC / Global X Funds - Global X Emerging Markets Great Consumer ETF
EMC / Global X Funds - Global X Emerging Markets Great Consumer ETF
EOG / EOG Resources, Inc.
US2692464017 / E*TRADE Financial, Inc.
EMN / Eastman Chemical Company
EBAY / eBay Inc.
ECL / Ecolab Inc.
285512AA7 / Electronic Arts Inc. Bond
ELLI / Ellie Mae, Inc.
ESC / Emeritus Corp
EMR / Emerson Electric Co.
ENCORE CAP GROUP INC / NOTE 3.000%11/2 (292554AC6)
ENDRQ / Endeavour International Corp.
29264FAB2 / Endo International plc Bond
29444UAG1 / Equinix, Inc. Bond
30161QAC8 / Exelixis, Inc. Bond
ESRX / Express Scripts Holding Co.
EXTERRAN HLDGS INC / NOTE 4.250% 6/1 (30225XAA1)
XOM / Exxon Mobil Corporation
UPS / United Parcel Service, Inc.
FDX / FedEx Corporation
FCH / FelCor Lodging Trust, Inc.
FOE / Ferro Corp.
31620RAE5 / Fidelity National Financial, Inc. Bond
FL / Foot Locker, Inc.
F / Ford Motor Company
345370CN8 / Ford Motor Co. Bond
345550AP2 / Forest City Enterprises Inc Bond
US346232AB79 / Forestar Group Inc
FTNT / Fortinet, Inc.
FCX / Freeport-McMoRan Inc.
RAIL / FreightCar America, Inc.
GTAT / GT Advanced Technologies Inc
GPS / The Gap, Inc.
368682AN0 / Ajrd 4.0625 12/31/2039 Bond
369300AL2 / General Cable Corp. Bond
GE / General Electric Company
GM / General Motors Company
GM / General Motors Company
GWR / Genesee & Wyoming, Inc.
375558AN3 / Gilead Sciences, Inc. Bond 1% 5/1/2014
375558AP8 / Gilead Sciences, Inc. Bond 1.625% 5/1/16
380956AB8 / Goldcorp, Inc. Bond
GS / The Goldman Sachs Group, Inc.
382410AC2 / Goodrich Petroleum Corporation Bond
GT / The Goodyear Tire & Rubber Company
GT / The Goodyear Tire & Rubber Company
DHI / D.R. Horton, Inc.
393657AH4 / Greenbrier Companies, Inc. (THE) Bond
HAL / Halliburton Company
HBI / Hanesbrands Inc.
419879AD3 / Hawaiian Holdings, Inc. Bond
HCN / Welltower Inc.
42217KAR7 / Welltower Inc. Bond 3% Due 12/1/2029
42330PAG2 / Helix Energy Solutions Group, Inc. 3.25% Convertible Bond due 2032-03-15
UNP / Union Pacific Corporation
ABBV / AbbVie Inc.
PG / The Procter & Gamble Company
MSFT / Microsoft Corporation
42805TAA3 / Hertz Global Holdings, Inc. 5.25% Convertible Bond
HPQ / HP Inc.
HIMX / Himax Technologies, Inc. - Depositary Receipt (Common Stock)
HOLX / Hologic, Inc.
436440AB7 / Hologic, Inc. 2% Bond Due 12/15/2037
PEP / PepsiCo, Inc.
HME / Home Properties, Inc.
JNJ / Johnson & Johnson
440543AE6 / Hornbeck Offshore Services, Inc. Bond
440694AB3 / Horsehead Holding Corp. Bond
HBANP / Huntington Bancshares Incorporated - Preferred Stock
HTCH / Hutchinson Technology, Inc.
45031UBR1 / iStar Inc. Bond
451055AE7 / Iconix Brand Group, Inc. 2.5% Bond due 2016-06-01
458140AD2 / Intel Corp. 2.95% Bond Due 12/15/2035
US458140AF79 / Intel Corp. 3.25% Bond Due 8/1/2039
IBM / International Business Machines Corporation
459902AQ5 / International Game Technology PLC 3.25% Bond Due 2014-05-01
IP / International Paper Company
IVR / Invesco Mortgage Capital Inc.
TIP / iShares Trust - iShares TIPS Bond ETF
IGSB / iShares Trust - iShares 1-5 Year Investment Grade Corporate Bond ETF
JBL / Jabil Inc.
472319AG7 / Jefferies Group Inc Bond
477143AF8 / JetBlue Airways Corp. Bond
48666KAS8 / KB Home Bond
KEY.PRG / KeyCorp 7.750% Non-Cumulative Perp Convertible Preferred Stock, Series A
KMI / Kinder Morgan, Inc.
KNIGHT CAP GROUP INC / NOTE 3.500% 3/1 (499005AE6)
KRFT /
LDKYQ / LDK Solar Co., Ltd.
502413AW7 / L-3 Communications Holdings, Inc. Convertible Bond 3%
50540RAG7 / Laboratory Corp. of America Holdings Bond
512807AJ7 / Lam Research Corp. Bond
512807AL2 / Lam Research Corp. Bond
521863AL4 / Leap Wireless Intl Inc Bond
LEVEL 3 COMMUNICATIONS INC / NOTE 6.500%10/0 (52729NBR0)
53219LAH2 / LifePoint Health, Inc. Bond
535678AC0 / Linear Technology Corp. Bond
538034AB5 / Live Nation Entertainment Inc Bond
WLH / Lyon William Homes
MTB / M&T Bank Corporation
MTG / MGIC Investment Corporation
552848AE3 / MGIC Investment Corp. Bond
MGM / MGM Resorts International
55303QAE0 / MGM Resorts International Bond
MHO / M/I Homes, Inc.
M / Macy's, Inc.
MRO / Marathon Oil Corporation
MTSN / Mattson Technology, Inc.
57772K101 / Maxim Integrated Products Inc.
MCK / McKesson Corporation
587200AK2 / Mentor Graphics Corp. SDCV 4.000% 4/0
MET / MetLife, Inc.
MET / MetLife, Inc.
MCHP / Microchip Technology Incorporated
595017AB0 / Microchip Technology Inc. 2.125% Convertible Bond due 2037-12-15
595112AK9 / Micron Technology, Inc. Bond
MICRON TECHNOLOGY INC / NOTE 1.500% 8/0 (595112AQ6)
MSPD / Mindspeed Technologies, Inc
MFG / Mizuho Financial Group, Inc. - Depositary Receipt (Common Stock)
60855RAA8 / Molina Healthcare, Inc. Bond 3.750%10/0
MOLSON COORS BREWING CO / NOTE 2.500% 7/3 (60871RAA8)
608753AA7 / Molycorp, Inc. Bond
MDLZ / Mondelez International, Inc.
61166W101 / Monsanto Co.
MOS / The Mosaic Company
US00C4U1L353 / Mylan N.V.
NIHD / NII Holdings, Inc.
NATIONAL FINL PARTNERS CORP / NOTE 4.000% 6/1 (63607PAC3)
NOV / NOV Inc.
US63934E1082 / Navistar International Corp
63934EAL2 / Navistar International Corp. Bond 3.00%
NWY / New York & Company, Inc.
651639AH9 / Newmont Mining Corp. Bond
651639AJ5 / Newmont Mining Corp. 1.625% Bond due 2017-07-15
651718AC2 / Newpark Resources, Inc., Bond 4%, Due 2017
NWSA / News Corporation
NEE / NextEra Energy, Inc.
NKE / NIKE, Inc.
GOOGL / Alphabet Inc.
JPM / JPMorgan Chase & Co.
INSG / Inseego Corp.
US670008AD31 / NOVELLUS SYS INC Bond
67020YAB6 / Nuance Communications, Inc. 2.750% Bond Due 8/1
VZ / Verizon Communications Inc.
ORCL / Oracle Corporation
OXY / Occidental Petroleum Corporation
OCLR / Oclaro, Inc
ODP / The ODP Corporation
680223AH7 / Old Republic International Corp. 3.75% Bond Due 3/15/2018
681904AN8 / Omnicare Inc Bond
OMNICARE CAP TR II / PFD B TR 4.00% (68214Q200)
682189AH8 / ON Semiconductor Corporation 2.625% Bond due 2026-12-15
ONYX PHARMACEUTICALS INC / NOTE 4.000% 8/1 (683399AB5)
693320AN3 / PHH Corp. Bond
693320AQ6 / PHH Corp. Bond
PNC / The PNC Financial Services Group, Inc.
PPG / PPG Industries, Inc.
PPL / PPL Corporation
PSUN / Pacific Sunwear of California, Inc.
PH / Parker-Hannifin Corporation
704549AG9 / Peabody Energy Corporation Bond
JCP / J.C. Penney Co., Inc.
CMCSA / Comcast Corporation
PM / Philip Morris International Inc.
PXD / Pioneer Natural Resources Company
CSCO / Cisco Systems, Inc.
POR / Portland General Electric Company
BKNG / Booking Holdings Inc.
PRICELINE COM INC / NOTE 1.250% 3/1 (741503AN6)
741503AQ9 / The Priceline Group Inc. Bond
74340XAT8 / Prologis, Inc. Bond
74348TAC6 / Prospect Capital Corp. 6.25% Bond
74348TAK8 / Prospect Capital Corp. 5.375% Bond due 2017-10-15
PEG / Public Service Enterprise Group Incorporated
QCOM / QUALCOMM Incorporated
TJX / The TJX Companies, Inc.
BA / The Boeing Company
BAC.PRL / Bank of America Corporation - Preferred Stock
WMT / Walmart Inc.
DIS / The Walt Disney Company
FLOT / iShares Trust - iShares Floating Rate Bond ETF
US74973WAB37 / Rti Intl Metals Inc Bond
750236AK7 / Radian Group, Inc. Bond
750236AN1 / Radian Group, Inc. Bond
RL / Ralph Lauren Corporation
RRC / Range Resources Corporation
RYN / Rayonier Inc.
RAYONIER TRS HLDGS INC / NOTE 4.500% 8/1 (75508AAC0)
758075AB1 / Redwood Tr Inc Bond
REGN / Regeneron Pharmaceuticals, Inc.
RAD / Rite Aid Corp.
AGG / iShares Trust - iShares Core U.S. Aggregate Bond ETF
ABT / Abbott Laboratories
KO / The Coca-Cola Company
783764AQ6 / CalAtlantic Group, Inc. Bond 1.625% 5/1
783764AS2 / CalAtlantic Group, Inc. Bond
78388JAM8 / SBA Communications Corp. Bond
SPY / SPDR S&P 500 ETF
STEC / Santech Holdings Limited - Depositary Receipt (Common Stock)
ACN / Accenture plc
79466LAB0 / Salesforce.com, Inc. 0.75% Bond due 2015-01-15
SALIX PHARMACEUTICALS INC / NOTE 2.750% 5/1 (795435AC0)
795435AE6 / Salix Pharmaceuticals Inc. Bond 1.5% 3/15/19
SNDK / Sandisk Corporation
80004CAD3 / SanDisk Corporation Bond
SRPT / Sarepta Therapeutics, Inc.
SPG / Simon Property Group, Inc.
SPRD / Spreadtrum Communications Inc
85375CBC4 / CalAtlantic Group, Inc. Bond
AIG / American International Group, Inc.
854502309 / Stanley Black & Decker, 4.75% Convertible Preferred Units
SBUX / Starbucks Corporation
85571BAA3 / Starwood Property Trust Inc Bond
STERLITE INDS INDIA LTD / NOTE 4.000%10/3 (859737AB4)
86074QAL6 / Stillwater Mining Company Bond
861642AN6 / Stone Energy Corp. Bond 1.75% Due 3/1/2017
SPWR / Complete Solaria, Inc.
867652AE9 / SunPower Corp. Bond
STI / Solidion Technology, Inc.
SPNV / Supernova Partners Acquisition Company Inc - Class A
NLOK / NortonLifeLock Inc
TAKE-TWO INTERACTIVE SOFTWAR / NOTE 4.375% 6/0 (874054AA7)
874054AC3 / Take-Two Interactive Software, Inc. Bond
TGT / Target Corporation
TER / Teradyne, Inc.
879369AA4 / Teleflex, Inc. Bond
88160RAA9 / Tesla Motors, Inc. Convertible Note 1.500% Due 6/1/2018
US88338TAB08 / Innoviva, Inc.
MMM / 3M Company
TIBCO SOFTWARE INC / NOTE 2.250% 5/0 (88632QAB9)
TWX / Warner Media LLC
88830RAB7 / Titan Machinery, Inc. Bond
TRV / The Travelers Companies, Inc.
896522AF6 / Trinity Industries, Inc. Bond
TSRX / Trius Therapeutics Inc
TUEM / Tuesday Morning Corp. - New
TSN / Tyson Foods, Inc.
TYSON FOODS INC / NOTE 3.250%10/1 (902494AP8)
USB / U.S. Bancorp
USG / USCF ETF Trust - USCF Gold Strategy Plus Income Fund
URI / United Rentals, Inc.
911363AL3 / United Rentals, Inc. Bond
X / United States Steel Corporation
912909AE8 / United States Steel Corp. Bond 4.00% Due 5/15/2014
RTX / RTX Corporation
RTX / RTX Corporation
91307CAF9 / United Therapeutics Corp. Bond
92343EAD4 / VeriSign, Inc. SDCV 3.250% 8/1
928645AB6 / Volcano Corp BOND
93317WAA0 / Walter Investment Management Corp. Bond
94770VAF9 / WebMD Health Corp. Bond 2.500% 1/3
WFC.PRL / Wells Fargo & Company - Preferred Stock
WELLS FARGO & CO / MTNF 0.125% 3/0 (94986RCZ2)
95082PAH8 / Wesco International, Inc. 6.0% Convertible Senior Debenturesentures Due 09/15/16
959319AC8 / Western Refining, Inc. Bond 5.750%
XLNX / Xilinx, Inc.
983919AF8 / Xilinx, Inc. Bond
XOMA / XOMA Royalty Corporation
YELL / Yellow Corporation
ZLC / Zale Corp
ESV / Ensco plc
IVZ / Invesco Ltd.
VELTF / Velti Plc.
L0302D178 / ArcelorMittal CVT PFD 6
LYB / LyondellBasell Industries N.V.
AMGN / Amgen Inc.
CVX / Chevron Corporation
INTC / Intel Corporation
UNH / UnitedHealth Group Incorporated
KMB / Kimberly-Clark Corporation
MS / Morgan Stanley
V / Visa Inc.
GILD / Gilead Sciences, Inc.
WFC / Wells Fargo & Company
HD / The Home Depot, Inc.
L / Loews Corporation
PFE / Pfizer Inc.
BRK.B / Berkshire Hathaway Inc.
AMZN / Amazon.com, Inc.
AAPL / Apple Inc.
BAC / Bank of America Corporation
LLY / Eli Lilly and Company
MCD / McDonald's Corporation