ADVENT CAPITAL MANAGEMENT /DE/ Q1 2016 Filing

Filed May 13, 2016

Portfolio Value

$6.5B

Holdings

419

Report Date

Q1 2016

Filing Type

13F-HR

All Holdings (419 positions)

#StockSharesValue% PortfolioType
1
PRICELINE GROUP INC/THE
130,010,000$156.6B2390.89%
2
WFC 7.5 PERP LWELLS FARGO & COMPANY
124,036$149.5B2282.13%
3
CITRIX SYSTEMS INC
109,699,000$122.9B1875.98%
4
YAHOO INC
121,134,000$120.3B1836.57%
5
AMG 5.15 10/15/37AMG CAPITAL TRUST II
1,774,964$99.0B1512.32%
6
RED HAT INC
77,410,000$96.1B1467.52%
7
INTEL CORP
73,549,000$93.7B1430.16%
8
ILLUMINA INC
81,823,000$88.1B1344.80%
9
HOLOGIC INC
66,940,000$83.4B1272.93%
10
CTRIP.COM INTER LTD.
75,081,000$82.7B1262.66%
1163,542,000$80.6B1230.87%
12
TWITTER INC
90,785,000$76.5B1168.66%
13
IONIS PHARMACEUTICALS IN
81,578,000$74.5B1138.22%
14
CNP 3.36916 09/15/29CENTERPOINT ENERGY INC
1,171,752$74.1B1131.48%
15
NXP SEMICONDUCTOR NV
66,745,000$73.7B1125.80%
16
SANDISK CORP
68,424,000$71.3B1087.97%
17
WRIGHT MEDICAL GROUP INC
77,918,000$70.4B1075.03%
18
EURONET WORLDWIDE INC
58,595,000$69.9B1067.63%
19
MOLINA HEALTHCARE INC
55,122,000$69.5B1060.67%
20
TEVA PHARMACEUTICAL INDU
78,855$69.2B1057.05%
21
SERVICENOW INC
63,744,000$69.2B1055.89%
22
BAC 7.25 PERP LBANK OF AMERICA CORP
58,374$66.4B1014.31%
23
ALLERGAN PLC
71,646$65.7B1002.64%
24
EXTRA SPACE STORAGE LP
56,948,000$65.2B994.95%
25
MICRON TECHNOLOGY INC
92,523,000$63.4B967.51%
26
TWITTER INC
71,528,000$62.7B957.68%
2737,946,000$60.4B922.10%
28
LMCA 1.375 10/15/23LIBERTY MEDIA CORP
60,511,000$60.1B918.18%
29
ARES CAPITAL CORP
57,700,000$58.3B890.37%
30
MCHP 1.625 02/15/25MICROCHIP TECHNOLOGY INC
56,417,000$57.7B880.62%
31
COLONY CAPITAL INC
63,967,000$57.4B875.68%
32
WEBMD HEALTH CORP
48,602,000$55.5B847.96%
331,172,056$54.8B836.09%
34
SALESFORCE.COM INC
43,910,000$54.3B828.90%
35
LINKEDIN CORP
59,558,000$54.0B824.27%
36
ON SEMICONDUCTOR CORP
60,086,000$54.0B824.24%
37
BIOMARIN PHARMACEUTICAL
46,556,000$53.9B822.91%
38
LAM RESEARCH CORP
36,364,000$53.6B818.24%
39
AKAMAI TECHNOLOGIES INC
54,401,000$53.2B812.32%
40
FIDELITY NATL FINANCIAL
28,121,000$52.7B804.01%
41
HEALTHSOUTH CORP
46,109,000$51.6B787.64%
42
CIENA CORP
50,296,000$49.4B754.71%
43
LIBERTY INTERACTIVE LLC
55,507,000$48.4B739.27%
44
FIREEYE INC
56,659,000$48.2B736.07%
45
ALEXANDRIA REAL ESTATE E
1,599,560$46.8B714.38%
46
BROOKDALE SENIOR LIVING
48,588,000$46.6B712.17%
47
ILLUMINA INC
44,880,000$46.6B711.22%
48
JEF 3.875 11/01/29JEFFERIES GROUP LLC
46,895,000$46.2B704.72%
49
FRONTIER COMMUNICATIONS
440,804$46.0B702.67%
50
MACQUARIE INFRASTRUCTURE
40,745,000$45.0B686.41%
51
NUVASIVE INC
41,485,000$44.4B678.41%
52
AIR LEASE CORP
32,809,000$44.0B672.18%
53
ICONIX BRAND GROUP INC
44,326,000$44.0B671.17%
54
CALATLANTIC GROUP INC
41,333,000$43.7B667.28%
55
TOLL BROS FINANCE CORP
43,252,000$42.3B646.59%
56
LAM RESEARCH CORP
31,318,000$42.0B641.08%
57
CORNERSTONE ONDEMAND INC
42,350,000$41.9B639.92%
58
VERINT SYSTEMS INC
46,568,000$41.2B628.60%
59
JAZZ INVESTMENTS I LTD
38,970,000$39.9B609.21%
60
KEYCORP
298,058$38.9B594.36%
61
WEBMD HEALTH CORP
28,887,000$38.6B588.66%
62
LIVE NATION ENTERTAINMEN
38,260,000$37.9B579.10%
63
INTEGRATED DEVICE TECH
40,000,000$37.5B572.12%
64
GNC HOLDINGS INC
45,436,000$37.4B570.32%
65
RTI INTERNATIONAL METALS
35,068,000$36.8B562.55%
66
PRICELINE GROUP INC/THE
25,587,000$36.6B558.90%
67
BROCADE COMMUNICATIONS
36,058,000$35.8B547.17%
68
STARWOOD PROPERTY TRUST
35,314,000$35.5B542.65%
69
B2GOLD CORP
41,289,000$35.0B534.82%
70
NEXTERA ENERGY INC
578,638$35.0B534.64%
71
FINISAR CORP
35,187,000$34.6B528.01%
72
FIREEYE INC
42,500,000$34.6B527.84%
73
ROYAL GOLD INC
34,794,000$33.6B512.67%
74
VIAVI SOLUTIONS INC
33,636,000$32.8B501.55%
75
BIOMARIN PHARMACEUTICAL
27,058,000$32.1B490.69%
76
GILD 1.625 05/01/16 DGILEAD SCIENCES INC
7,724,000$31.6B482.74%
77
SNDK 1.5 08/15/17SANDISK CORP
20,000,000$31.6B481.96%
78
STANLEY BLACK & DECKER I
272,179$31.0B473.65%
79
TEVA PHARM FIN CO LLC
22,243,000$28.9B441.67%
80
LIBERTY INTERACTIVE LLC
52,927,000$28.3B432.52%
81
ARES CAPITAL CORP
27,701,000$28.2B430.14%
82
CEPHEID INC
31,386,000$28.0B427.82%
8321,599,000$27.9B426.12%
84
RADIAN GROUP INC
22,306,000$27.8B424.03%
85
MEDIDATA SOLUTIONS INC
27,116,000$27.5B420.21%
86
SYNCHRONOSS TECHNOLOGIES
28,147,000$27.2B414.56%
87
STWD 4.55 03/01/18STARWOOD PROPERTY TRUST
26,578,000$26.7B407.34%
88
NETSUITE INC
27,665,000$26.6B405.48%
89
XILINX INC
15,941,000$26.3B400.88%
90
CIENA CORP
20,807,000$26.0B397.40%
91
NRG YIELD INC
29,929,000$26.0B397.30%
92
PROOFPOINT INC
26,264,000$25.4B388.20%
93
NEWMONT MINING CORP
24,101,000$25.0B381.98%
94
BROADSOFT INC
20,904,000$25.0B381.61%
95
COLONY CAPITAL INC
27,862,000$25.0B380.99%
96
OLD REPUBLIC INTL CORP
20,011,000$24.8B378.47%
97
NVIDIA CORP
13,355,000$23.8B363.89%
98
CALATLANTIC GROUP INC
26,609,000$23.7B362.59%
99
BROADSOFT INC
20,753,000$23.7B362.22%
100
NHI 3.25 04/01/21NATIONAL HEALTH INVESTOR
23,204,000$23.7B361.23%
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