Market Value1,289,521,275
Total Holdings110
File Date2024-11-12
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)
USHY / iShares Trust - iShares Broad USD High Yield Corporate Bond ETF
DO / Diamond Offshore Drilling, Inc.
HYG / iShares Trust - iShares iBoxx $ High Yield Corporate Bond ETF
US82452JAB52 / CONVERTIBLE ZERO
US00971TAL52 / CONV. NOTE
US55405YAB65 / MTSI 0 1/4 03/15/26
US08265TAB52 / Bentley Systems Inc
US393657AM33 / GBX 2 7/8 04/15/28
US163072AA98 / Cheesecake Factory Inc/The
US844741BG22 / Southwest Airlines Co
US10806XAB82 / Bridgebio Pharma, Inc.
US538034BA63 / CONV. NOTE
US94419LAP67 / CONV. NOTE
WW / WW International, Inc.
SMC / Summit Midstream Corporation
SJNK / SPDR Series Trust - SPDR Bloomberg Short Term High Yield Bond ETF
DEXCOM INC / NOTE 0.375% 5/1 (252131AM9)
FIRSTENERGY CORP / NOTE 4.000% 5/0 (337932AR8)
INTEGER HLDGS CORP / NOTE 2.125% 2/1 (45826HAB5)
IONIS PHARMACEUTICALS INC / NOTE 1.750% 6/1 (462222AF7)
TETRA TECH INC NEW / DBCV 2.250% 8/1 (88162GAB9)
ON SEMICONDUCTOR CORP / NOTE 0.500% 3/0 (682189AU9)
US465741AN69 / Itron, Inc.
US737446AT14 / CONV. NOTE
US67059NAH17 / NUTANIX INC SR UNSECURED 10/27 0.25
US803607AD25 / CONV. NOTE
US896945AD46 / TRIP 0 1/4 04/01/26
US682189AS48 / CONVERTIBLE ZERO
US26210CAD65 / Dropbox, Inc.
US530715AL56 / Liberty Media, Bond 3.75%, Due 2/15/2030
LIBERTY MEDIA CORP DEL / NOTE 3.750% 3/1 (531229AP7)
LUMENTUM HLDGS INC / NOTE 1.500%12/1 (55024UAH2)
NABORS INDS INC / NOTE 1.750% 6/1 (62957HAL9)
WORKIVA INC / NOTE 1.250% 8/1 (98139AAD7)
ENVISTA HOLDINGS CORPORATION / NOTE 1.750% 8/1 (29415FAD6)
BURLINGTON STORES INC / NOTE 1.250%12/1 (122017AD8)
CHEFS WHSE INC / NOTE 2.375%12/1 (163086AE1)
CMS ENERGY CORP / NOTE 3.375% 5/0 (125896BX7)
CSG SYS INTL INC / NOTE 3.875% 9/1 (126349AH2)
US55024UAF66 / Lumentum Holdings Inc
US92343XAC48 / Verint Systems, Inc.
US47074LAB18 / Jamf Holding Corp
RAPID7 INC / NOTE 1.250% 3/1 (753422AH7)
RIVIAN AUTOMOTIVE INC / NOTE 4.625% 3/1 (76954AAB9)
SABRE GLBL INC / NOTE 7.320% 8/0 (78573NAK8)
SEAGATE HDD CAYMAN / NOTE 3.500% 6/0 (81180WBL4)
VENTAS RLTY LTD PARTNERSHIP / NOTE 3.750% 6/0 (92277GAZ0)
ADVANCED ENERGY INDS / NOTE 2.500% 9/1 (007973AE0)
AKAMAI TECHNOLOGIES INC / NOTE 1.125% 2/1 (00971TAN1)
AMPHASTAR PHARMACEUTICALS IN / NOTE 2.000% 3/1 (03209RAB9)
BLOOM ENERGY CORP / NOTE 3.000% 6/0 (093712AK3)
US703343AG80 / Patrick Industries Inc
US40637HAD17 / CONV. NOTE
US345370CZ16 / CONVERTIBLE ZERO
US705573AB99 / CONV. NOTE
US40131MAB54 / CONVERTIBLE ZERO
US29786AAJ51 / ETSY INC 10/26 0.125
US48123VAE20 / CONV. NOTE
US86333MAA62 / Stride 1.125% Due 09-01-2027
US98954MAG69 / CONV. NOTE
US15677JAD00 / CONV. NOTE
US531229AQ58 / CONV. NOTE
US23282WAC47 / CONV. NOTE
US25402DAB82 / CONVERTIBLE ZERO
US23804LAB99 / CONV. NOTE
US87918AAF21 / CONV. NOTE
US501812AB77 / LCI INDUSTRIES CONV 1.125% 05/15/2026
US40637HAF64 / CONV. NOTE
US94419LAF85 / CONV. NOTE
US26142RAB06 / DraftKings, Inc.
US09857LAN82 / CONV. NOTE
US538034AU37 / Live Nation Entertainment Inc
US594972AE18 / CONVERTIBLE ZERO
US207410AH48 / CONV. NOTE
US09709UV704 / BofA Finance LLC
US98980GAB86 / CONV. NOTE
US57164YAD94 / MARRIOTT VACATIONS WRLDWD CORP CONV 0% 01/15/2026
US55024UAD19 / CONV. NOTE
US462222AD25 / Ionis Pharmaceuticals Inc
JAZZ / Jazz Pharmaceuticals plc
US71375UAF84 / CONV. NOTE
US629377CG50 / Nrg Energy Inc Bond
US00971TAJ07 / Akamai Technologies Inc Bond
US05464CAB72 / CONV. NOTE
US83304AAH95 / SNAP INC
US252131AK39 / CONV. NOTE
US02043QAB32 / CONV. NOTE
US902252AB17 / Tyler Technologies Inc
IMAX / IMAX Corporation
US819047AB70 / CONVERTIBLE ZERO
US02376RAF91 / American Airlines Group Inc
US30063PAB13 / Exas 3/8 3/15/27 Bond
US25470MAB54 / DISH Network Corp. 3.375% Bond
US29786AAN63 / CONV. NOTE
US45784PAK75 / CONV. NOTE
US25470MAF68 / DISH Network Corp
US45867GAD34 / InterDigital, Inc.
US530715AG61 / Liberty Media, Bond 4%, Due 11/15/2029
US707569AU31 / PENN NATIONAL GAMING INC CONV 2.75% 05/15/2026
US82452JAD19 / SHIFT4 PAYMENTS INC
US90353TAJ97 / CONVERTIBLE ZERO
US225447AD33 / CONV. NOTE
US021369AC72 / CONV. NOTE
US83304AAF30 / CONVERTIBLE ZERO
US78573NAE22 / CONV. NOTE
US62886HBD26 / NCL Corp Ltd
US298736AL30 / Euronet Worldwide Inc
ASND / Ascendis Pharma A/S - Depositary Receipt (Common Stock)
US29355AAK34 / CONVERTIBLE ZERO
TREE / LendingTree, Inc.
BKLN / Invesco Exchange-Traded Fund Trust II - Invesco Senior Loan ETF
CCO / Clear Channel Outdoor Holdings, Inc.
SMLP / Summit Midstream Partners, LP - Limited Partnership