ADVENT CAPITAL MANAGEMENT /DE/ Q4 2017 Filing

Filed February 13, 2018

Portfolio Value

$5.2T

Holdings

259

Report Date

Q4 2017

Filing Type

13F-HR

All Holdings (259 positions)

#StockSharesValue% PortfolioType
1
ALTABA INC
152,754,000$206.3B3.95%
2
WFC 7.5 PERP LWELLS FARGO & COMPANY
81,310$106.9B2.05%
3
CITRIX SYSTEMS INC
75,684,000$98.1B1.88%
4
WRIGHT MEDICAL GROUP INC
95,489,000$98.0B1.88%
5
ILLUMINA INC
81,898,000$97.2B1.86%
6
LIBERTY MEDIA CORP
91,114,000$95.1B1.82%
7
WEATHERFORD BERMUDA
84,213,000$91.1B1.75%
8
PRICELINE GROUP INC/THE
65,093,000$89.9B1.72%
9
DISH 3.375 08/15/26DISH NETWORK CORP
81,959,000$89.4B1.71%
10
MICRON TECHNOLOGY INC
56,900,000$82.1B1.57%
11
CTRIP.COM INTL LTD
75,687,000$79.9B1.53%
12
TWITTER INC
85,379,000$79.7B1.53%
13
LAM RESEARCH CORP
24,194,000$73.9B1.42%
14
FINISAR CORP
78,933,000$73.6B1.41%
1533,042,000$73.4B1.41%
16
BAC 7.25 PERP LBANK OF AMERICA CORP
54,880$72.2B1.38%
17
FIREEYE INC
77,238,000$71.4B1.37%
18
NUANCE COMMUNICATIONS
73,809,000$70.7B1.35%
19
BIOMARIN PHARMACEUTICAL
63,930,000$69.3B1.33%
20
INTEGRATED DEVICE TECH
61,520,000$68.8B1.32%
21
PRICELINE GROUP INC/THE
58,999,000$68.1B1.30%
22
BECTON DICKINSON AND CO
1,141,541$66.4B1.27%
23
JAZZ INVESTMENTS I LTD
62,040,000$62.3B1.19%
24
ARES CAPITAL CORP
60,839,000$62.2B1.19%
25
DYCOM INDUSTRIES INC
47,362,000$61.8B1.18%
26
VERINT SYSTEMS INC
61,958,000$60.4B1.16%
27
ALLSCRIPTS HEALTHCARE SO
56,369,000$60.2B1.15%
28
CSG SYSTEMS INTERNATIONA
53,446,000$58.4B1.12%
29
COLONY NORTHSTAR INC
58,375,000$58.0B1.11%
30
INPHI CORP
51,664,000$51.3B0.98%
31
B2GOLD CORP
46,807,000$49.8B0.95%
3215,473,000$47.7B0.91%
33
WHITING PETROLEUM CORP
51,330,000$47.6B0.91%
34
JEF 3.875 11/01/29JEFFERIES GROUP LLC
47,256,000$47.4B0.91%
35
LMCA 1.375 10/15/23LIBERTY MEDIA CORP
40,884,000$46.9B0.90%
36
BLACKSTONE MORTGAGE TR
46,049,000$46.8B0.90%
37
MACQUARIE INFRASTRUCTURE
47,970,000$46.1B0.88%
38
ON 1 12/01/20ON SEMICONDUCTOR CORP
35,450,000$45.4B0.87%
39
VECO 2.7 01/15/23VEECO INSTRUMENTS INC
51,666,000$45.1B0.86%
40
STANLEY BLACK & DECKER I
363,302$44.6B0.85%
41
RED HAT INC
26,474,000$43.6B0.84%
42
NEXTERA ENERGY INC
748,550$42.4B0.81%
43
TERADYNE INC
29,166,000$41.7B0.80%
44
FOREST CITY REALTY TRUST
35,234,000$41.5B0.79%
45
MACQUARIE INFRASTRUCTURE
40,109,000$41.4B0.79%
46
FIDELITY NATL FINANCIAL
12,899,000$39.4B0.75%
47
CROWN CASTLE INTL CORP
34,495$39.1B0.75%
48
ALLERGAN PLC
65,448$38.4B0.73%
49
PRA GROUP INC
39,883,000$38.3B0.73%
50
PDC ENERGY INC
39,005,000$38.2B0.73%
51
TWITTER INC
39,798,000$38.1B0.73%
52
ELECTRONICS FOR IMAGING
39,303,000$38.0B0.73%
53
SERVICENOW INC
21,257,000$37.6B0.72%
54
RTI INTERNATIONAL METALS
32,767,000$37.5B0.72%
55
BMRN 0.599 08/01/24BIOMARIN PHARMACEUTICAL
37,456,000$37.5B0.72%
56
AIR LEASE CORP
22,306,000$37.3B0.71%
57
SPIRIT REALTY CAPITAL IN
37,083,000$37.2B0.71%
58
CTRIP.COM INTL LTD
36,148,000$37.0B0.71%
59
FINISAR CORP
36,565,000$36.9B0.71%
60
CARDTRONICS INC
39,473,000$35.2B0.68%
61
TESLA INC
32,278,000$34.9B0.67%
62
NXP SEMICONDUCTOR NV
27,643,000$34.3B0.66%
63
ROYAL GOLD INC
31,065,000$33.3B0.64%
64
FIREEYE INC
34,785,000$32.8B0.63%
65
STWD 4.375 04/01/23STARWOOD PROPERTY TRUST
32,020,000$32.6B0.62%
66
LIBERTY INTERACTIVE LLC
57,273,000$32.4B0.62%
67
CALATLANTIC GROUP INC
30,980,000$31.3B0.60%
68
CEMEX SAB DE CV
29,450,000$30.8B0.59%
69
ATLAS AIR WORLDWIDE HLDG
26,499,000$30.5B0.59%
70
IONIS PHARMACEUTICALS IN
28,544,000$30.2B0.58%
71
ENSCO JERSEY FINANCE LTD
33,324,000$29.6B0.57%
72
PROOFPOINT INC
23,191,000$29.1B0.56%
73
DOMINION ENERGY INC
554,922$28.7B0.55%
74
BIOMARIN PHARMACEUTICAL
24,045,000$28.5B0.55%
75
HORIZON PHARMA INV LTD
30,499,000$28.3B0.54%
76
VIAVI SOLUTIONS INC
27,338,000$28.2B0.54%
77
NUVASIVE INC
23,863,000$28.0B0.54%
78
IMPAX LABORATORIES INC
28,527,000$27.8B0.53%
79
TESLA INC
24,810,000$26.3B0.50%
80
STARWOOD PROPERTY TRUST
23,318,000$25.7B0.49%
81442,326$24.8B0.47%
82
AKAMAI TECHNOLOGIES INC
24,521,000$24.7B0.47%
83
NAVISTAR INTL CORP
22,500,000$24.5B0.47%
84
NEVRO CORP
22,936,000$24.0B0.46%
85
EURONET WORLDWIDE INC
19,230,000$23.7B0.45%
86
CAESARS ENTERTAIN CORP
11,778,000$22.9B0.44%
87
COLONY NORTHSTAR INC
21,881,000$22.5B0.43%
88
CYPRESS SEMICONDUCTOR CO
17,018,000$22.4B0.43%
89
FLG 6 11/01/51NY COMMUNITY CAP TRUST V
421,353$21.3B0.41%
90
BLACKROCK CAPITAL INVEST
19,810,000$20.5B0.39%
91
TCP CAPITAL CORP
19,640,000$20.2B0.39%
92
SM 1.5 07/01/21SM ENERGY CO
20,557,000$20.1B0.39%
93
WELLTOWER INC
326,000$19.6B0.38%
94
INTERCEPT PHARMAS
24,415,000$19.5B0.37%
95
CORNERSTONE ONDEMAND INC
19,117,000$19.0B0.36%
96
CEMEX SAB DE CV
18,016,000$18.7B0.36%
97
IH MERGER SUB LLC
13,626,000$17.5B0.34%
98
DEPOMED INC
20,534,000$17.4B0.33%
99
OLD REPUBLIC INTL CORP
12,379,000$17.2B0.33%
100
SALESFORCE.COM INC
11,145,000$17.1B0.33%
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