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) |
US73640QAB14 / PRA Group, Inc. - Convertible Bond 3%
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US03762UAB17 / Apollo Commercial Real Estate Finance, Inc. Bond 4.750% 8/2
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US674215AJ77 / Oasis Petroleum Inc. Bond
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US55608BAB18 / Macquarie Infrastructure Company LLC 2.0% Bond Due 10/1/2023
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US292554AH53 / Encore Capital Group, Inc. Bond
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US393222AF12 / Green Plains Inc 4.125 01sep22 Bond
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US70932AAB98 / Pennymac Corp Bond
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US427096AF94 / Hercules Capital Inc Bond
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US69327RAD35 / PDC Energy, Inc. Bond
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US925550AB17 / Viavi Solutions Inc Bond
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302941AN9 / Fcn Bond
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US049164BH82 / Atlas Air Worldwide Holdings, Inc. 2.25% Convertible Bond Due 6/1/2022
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US901109AD04 / Tutor Perini Corp. Bond
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US682189AP09 / On Semiconductor Corp Bond
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US758075AC90 / Redwood Tr Inc Bond
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US90184LAD47 / Twitter, Inc. Bond
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US00182CAA18 / ANI Pharmaceuticals, Inc. 3% Convertible Bond
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00773VAB2 / Aegean Marine Pete Network I Bond
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647551AB6 / New Mountain Finance Corporation Bond
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US092533AC25 / Blackrock Capital Investment Bond
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US472145AB79 / Jazz Pharmaceuticals, Inc. Bond
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US27875TAA97 / Echo Global Logistics, Inc. 2.50% Bond Due 5/1/2020
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458118AC0 / Integrated Device Technology, Inc. Bond
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US126349AF63 / CSG Systems International, Inc. Bond 4.250% 3/1
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48666KAS8 / KB Home Bond
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US44052WAA27 / Horizon Global Corp. Bond
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302301AD8 / Ezpw Bond
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00922RAA3 / Air Transport Services G (atsg Bond
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US90187BAA98 / Two Harbors Investment Corp. Fixed Income
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US98954MAC55 / Zillow Group Inc Bond
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US31787AAP66 / Finisar Corp Sr Convertible Regd 0.50000 12/15/20 Bond
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US50187TAB26 / LGI Homes, Inc. Bond
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US95790DAA37 / Western Asset Mtg Cap Corp Bond
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US87238QAD51 / Tcp Capital Corp 4.625 1mar22 Bond
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US267475AB73 / Dycom Industries, Inc. Bond
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US682189AK12 / ON Semiconductor Corporation 1% Bond due 2020-12-01
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US87265KAD46 / Tpg Specialty Lending Inc Bond
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US87157DAD12 / Synaptics Inc Bond
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US38147QMF09 / Goldman Sachs Group, Inc. (The) Bond
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US41068XAB64 / Hannon Armstrong Sustainable Infrastructure Capital, Inc. Bond 4.125% 9/0
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US09257WAB63 / Blackstone 4.375 05may22 Bond
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US87305RAD17 / TTM Technologies, Inc. Bond
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94986RQF1 / Wells Fargo & Co Bond
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780287AA6 / Royal Gold, Inc. 2.875% Bond Due 2019-06-15
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US472145AD36 / Jazz Investments I Ltd Bond
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302301AB2 / Ezcorp, Inc. Bond
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US649604AD74 / New York Mortgage Trust Bond
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US92849EAB74 / Vitamin Shoppe, Inc. Bond
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US42330PAJ66 / Helix Energy Solutions Grp I Bond
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US922417AD23 / Veeco Instruments, Inc. Bond 2.7% Due 1/15/2023
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00971TAH4 / Akamai Technologies Inc 0.125 05/01/2025 Bond
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032359AG6 / AmTrust Financial Services, Inc. 2.75% Bond due 2044-12-15
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US45772FAC14 / Inphi Corp Bond
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US40171VAA89 / Guidewire Software Inc Bond
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038923AB4 / Arbor Rlty Tr Inc Bond
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US779376AD42 / Rovi Corp. Bond
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286082AC6 / Electronics For Imaging, Inc. Bond
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US42330PAH01 / Helix Energy Solutions Group, Inc. 4.25% Convertible Bond due 2022-05-01
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40416EAB9 / HCI Group, Inc. Bond
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US78454LAM28 / SM Energy Co Bond
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US38741LAB36 / Granite Pt Mtg Tr Inc Bond
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US128126AB54 / CalAmp Corp. Bond
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US671044AD76 / Osi Systems Inc Bond
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US483548AF00 / Kaman Corp Bond
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US38147UAB35 / Goldman Sachs Bdc Inc Bond
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US00922RAB15 / Air Transport Services Grp I Bond
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US40416EAD58 / Hci Group Inc Bond
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US695127AD26 / Pacira Pharmaceuticals Inc Bond
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