ADVENT CAPITAL MANAGEMENT /DE/ Q2 2017 Filing

Filed August 9, 2017

Portfolio Value

$5.2B

Holdings

302

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (302 positions)

#StockSharesValue% PortfolioType
1
Altaba Inc
130,604,000$148.1B2834.17%
2
Micron Technology Inc
120,068,000$135.0B2583.25%
3
Priceline Group Inc/The
83,960,000$123.4B2360.68%
4
Illumina Inc
96,730,000$103.3B1975.98%
5
Wright Medical Group NV
89,185,000$99.5B1903.49%
6
WFC 7.5 PERP LWells Fargo & Co
71,147$93.3B1784.72%
7
Ctrip.com International Ltd
77,603,000$89.6B1713.79%
8
Weatherford International PLC
85,002,000$85.9B1642.64%
9
Jazz Pharmaceuticals PLC
75,390,000$82.8B1584.17%
10
Twitter Inc
87,768,000$80.7B1543.04%
11
Intel Corp
60,763,000$79.4B1519.64%
12
BioMarin Pharmaceutical Inc
68,589,000$76.3B1459.90%
13
Colony NorthStar Inc
67,459,000$68.7B1314.86%
14
Allscripts Healthcare Solution
67,454,000$68.5B1310.73%
15
ON 1 12/01/20ON Semiconductor Corp
65,482,000$68.1B1303.06%
16
Nuance Communications Inc
69,966,000$67.4B1289.32%
17
Lam Research Corp
28,332,000$66.1B1264.27%
18
Red Hat Inc
47,063,000$65.2B1246.90%
19
Electronics For Imaging Inc
60,159,000$64.7B1237.55%
20
BAC 7.25 PERP LBank of America Corp
50,379$63.6B1216.41%
21
FireEye Inc
69,338,000$63.3B1210.63%
22
Integrated Device Technology I
58,252,000$61.8B1181.66%
23
Ares Capital Corp
58,967,000$60.8B1163.68%
24
LMCA 1.375 10/15/23#N/A Field Not Applicable
50,148,000$59.7B1141.41%
25
CSG Systems International Inc
54,762,000$59.1B1131.51%
26
Priceline Group Inc/The
49,413,000$56.7B1084.68%
27
Dycom Industries Inc
48,531,000$56.4B1078.94%
28
Becton Dickinson and Co
1,027,265$56.1B1074.27%
29
Allergan PLC
64,507$56.0B1070.54%
30
Finisar Corp
49,463,000$55.2B1056.69%
31
Verint Systems Inc
55,277,000$54.2B1036.66%
32
Charter Communications Inc
45,952,000$52.6B1007.06%
33
B2Gold Corp
49,527,000$52.0B994.16%
34
Hologic Inc
40,546,000$51.3B981.32%
35
Macquarie Infrastructure Corp
44,381,000$49.2B940.76%
36
Molina Healthcare Inc
37,663,000$48.2B922.07%
37
Twitter Inc
50,147,000$47.4B906.42%
38
Horizon Pharma Plc
54,652,000$47.3B905.35%
39
Forest City Realty Trust Inc
37,785,000$44.5B852.10%
40
Air Lease Corp
31,985,000$44.3B846.67%
41
Whiting Petroleum Corp
51,907,000$43.8B838.44%
42
Stanley Black & Decker Inc
398,370$43.0B822.49%
43
Ionis Pharmaceuticals Inc
40,312,000$42.9B821.24%
44
Macquarie Infrastructure Corp
42,687,000$42.6B815.89%
45
Fidelity National Financial, Inc.
16,892,000$42.3B808.58%
4624,114,000$39.8B762.14%
47
JEF 3.875 11/01/29Leucadia National Corp
38,837,000$39.2B750.80%
48
Royal Gold Inc
35,936,000$38.8B743.26%
49
Herbalife Ltd
36,520,000$38.0B726.71%
50
NextEra Energy Inc
707,667$38.0B726.33%
51
FireEye Inc
39,904,000$37.7B721.08%
52
ServiceNow Inc
25,625,000$37.5B717.95%
53
Motorola Solutions Inc
68,203,000$37.2B711.73%
54
PDC Energy Inc
40,371,000$36.6B700.82%
55
Teva Pharmaceutical Industries
32,751,000$35.2B673.39%
56
WebMD Health Corp
33,847,000$35.0B669.22%
5712,879,000$33.2B634.89%
58628,956$33.0B631.03%
59
BioMarin Pharmaceutical Inc
26,646,000$31.7B607.19%
60
Molina Healthcare Inc
18,000,000$31.5B602.75%
61
BroadSoft Inc
25,040,000$31.3B599.10%
62
Cornerstone OnDemand Inc
31,063,000$31.3B598.54%
63
Atlas Air Worldwide Holdings I
28,851,000$30.5B583.83%
64
WebMD Health Corp
30,959,000$30.4B582.07%
65
Starwood Property Trust Inc
26,593,000$30.2B578.20%
66
STWD 4.375 04/01/23Starwood Property Trust Inc
29,250,000$29.7B567.91%
67
Tesla Inc
25,359,000$29.0B555.32%
68
Cemex SAB de CV
25,121,000$29.0B554.98%
69
Arconic Inc
27,065,000$29.0B554.17%
70
CalAtlantic Group Inc
30,399,000$28.9B552.70%
71
Proofpoint Inc
23,071,000$28.7B548.38%
72
NXP Semiconductors NV
23,766,000$28.4B543.15%
73
Toll Brothers Inc
28,331,000$28.3B541.56%
74
Quidel Corp
25,278,000$28.1B536.78%
75
Impax Laboratories Inc
31,691,000$27.1B518.70%
76
Insulet Corp
22,172,000$27.0B516.21%
77
Euronet Worldwide Inc
20,527,000$26.3B502.23%
78
Blackstone Mortgage Trust Inc
25,398,000$25.9B496.18%
79
WebMD Health Corp
20,273,000$25.7B492.43%
80
Colony NorthStar Inc
24,317,000$25.6B489.72%
81
Live Nation Entertainment Inc
22,078,000$25.3B484.53%
82
Depomed Inc
27,933,000$24.6B470.93%
83
PRA Group Inc
25,123,000$24.0B458.93%
84
Spirit Realty Capital Inc
23,687,000$23.5B449.98%
85
Viavi Solutions Inc
20,807,000$23.0B439.57%
86
BroadSoft Inc
19,965,000$22.9B438.48%
87
Dominion Energy Inc
448,782$22.5B430.63%
88
NHI 3.25 04/01/21National Health Investors Inc
18,679,000$21.8B417.39%
89
QIAGEN NV
17,400,000$21.3B408.00%
90
NuVasive Inc
15,365,000$21.3B406.66%
91
AAWW 1.875 06/01/24Atlas Air Worldwide Holdings I
19,430,000$21.2B406.22%
92
Starwood Waypoint Homes
17,650,000$21.0B401.07%
93
MTOR 0 02/15/27Meritor Inc
19,876,000$20.8B397.32%
94
Nevro Corp
19,150,000$20.5B391.66%
95
Cardtronics PLC
21,105,000$20.2B386.09%
9613,630,000$20.1B383.99%
97
MCHP 1.625 02/15/25Microchip Technology Inc
13,349,000$20.0B382.73%
98
Brookdale Senior Living Inc
19,995,000$19.9B380.20%
99
CalAmp Corp
18,773,000$19.2B367.29%
100
salesforce.com Inc
14,263,000$18.9B361.76%
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