Magnetar Financial LLC Q1 2016 Filing

Filed May 16, 2016

Portfolio Value

$5.0T

Holdings

355

Report Date

Q1 2016

Filing Type

13F-HR

All Holdings (355 positions)

#StockSharesValue% PortfolioType
1
* ALLERGAN PLC
1,275,453$341.9B6.80%Put
2
SNDK* SANDISK CORP
3,526,759$268.3B5.34%Put
3
* STARWOOD HOTELS&RESORTS WRLD
3,318,301$264.6B5.27%
4
EEM* ISHARES TR
6,000,000$205.5B4.09%Put
5
CI* CIGNA CORPORATION
958,393$131.5B2.62%
6
* JARDEN CORP
2,206,146$130.1B2.59%
7
TRP* TRANSCANADA CORP
3,286,163$129.2B2.57%
869,202,000$110.2B2.19%
9
* ITC HLDGS CORP
2,459,748$107.2B2.13%
10
* AGL RES INC
1,612,859$105.1B2.09%
11
* QUESTAR CORP
4,211,229$104.4B2.08%
12
INGM* INGRAM MICRO INC
2,905,433$104.3B2.08%
13
* HEARTLAND PMT SYS INC
1,067,132$103.1B2.05%
14
* FIRSTMERIT CORP
4,778,717$100.6B2.00%
15
* PIEDMONT NAT GAS INC
1,667,738$99.8B1.99%
16
* BOARDWALK PIPELINE PARTNERS
6,747,829$99.5B1.98%
17
PXDEUR* PIONEER NAT RES CO
703,309$99.0B1.97%
18
* ATMEL CORP
12,051,964$97.9B1.95%
19
* TECO ENERGY INC
3,379,225$93.0B1.85%
20
* PROGRESSIVE WASTE SOLUTIONS
2,947,068$91.4B1.82%
21
* FIRST NIAGARA FINL GP INC
9,387,695$90.9B1.81%
22
* VALSPAR CORP
781,794$83.7B1.67%
23
ODPEUR* OFFICE DEPOT INC
11,091,086$78.7B1.57%Call
24
R6C2* ROYAL DUTCH SHELL PLC
1,597,626$78.6B1.56%
25
BKR* BAKER HUGHES INC
1,770,173$77.6B1.54%
26
* ENLINK MIDSTREAM PARTNERS LP
6,273,895$75.7B1.51%
27
* ALERE INC
1,442,368$73.0B1.45%
28
* TUMI HLDGS INC
2,681,925$71.9B1.43%
29
CAM* CAMERON INTERNATIONAL CORP
1,071,183$71.8B1.43%
30
* AIRGAS INC
479,941$68.0B1.35%
31
ENB* ENBRIDGE INC
1,660,000$64.5B1.28%
32
MPC* MARATHON PETE CORP
1,700,000$63.2B1.26%
33
* EMPIRE DIST ELEC CO
1,833,115$60.6B1.21%
34
FANG* DIAMONDBACK ENERGY INC
748,600$57.8B1.15%
35
CVCEUR* CABLEVISION SYS CORP
1,470,419$48.5B0.97%
36
* EXTERRAN CORP
3,066,488$47.4B0.94%
37
* FAIRCHILD SEMICONDUCTOR INTL
2,226,221$44.5B0.89%
38
* NEWPORT CORP
1,842,286$42.4B0.84%
39
SPY* SPDR S&P 500 ETF TR
200,000$41.1B0.82%Call
40
TAP* MOLSON COORS BREWING CO
426,559$41.0B0.82%
41
CMCSA* COMCAST CORP NEW
580,088$35.4B0.71%
42
* CARMIKE CINEMAS INC
1,147,766$34.5B0.69%
43
* PLAINS GP HLDGS L P
3,830,340$33.3B0.66%
44
* ROFIN SINAR TECHNOLOGIES INC
996,917$32.1B0.64%
45
PFE* PFIZER INC
1,000,000$29.6B0.59%Call
46
* WHITEWAVE FOODS CO
712,584$29.0B0.58%Call
47
* LAKE SHORE GOLD CORP
17,828,500$25.9B0.52%
48
AK STL CORP
28,466,000$25.9B0.52%
49
CNC* CENTENE CORP DEL
400,000$24.6B0.49%Call
50
MERITOR INC
20,275,000$23.8B0.47%
51
* ROUSE PPTYS INC
1,289,614$23.7B0.47%
52
HCA* HCA HOLDINGS INC
278,484$21.7B0.43%
53
WDC* WESTERN DIGITAL CORP
445,600$21.1B0.42%Call
54
TEX* TEREX CORP NEW
821,573$20.4B0.41%
55
MAR* MARRIOTT INTL INC NEW
300,000$20.3B0.40%Call
56
TWXCHF* TIME WARNER INC
279,800$20.3B0.40%
57
TK* TEEKAY CORPORATION
2,299,343$19.9B0.40%
58
* POWERSECURE INTL INC
1,056,255$19.7B0.39%
59
* ASTORIA FINL CORP
1,174,418$18.6B0.37%
60
MU* MICRON TECHNOLOGY INC
1,750,000$18.3B0.36%Call
61
STX* SEAGATE TECHNOLOGY PLC
486,800$16.8B0.33%Put
62
TESLA MTRS INC
17,500,000$15.9B0.32%
63
* MEDIA GEN INC NEW
952,573$15.5B0.31%
64
XLE* SELECT SECTOR SPDR TR
250,000$15.5B0.31%Put
65
* TEEKAY OFFSHORE PARTNERS L P
2,626,947$14.9B0.30%
66
* RICE MIDSTREAM PARTNERS LP
1,000,000$14.9B0.30%
67
FIDELITY & GTY LIFE
567,355$14.9B0.30%
68
USO* UNITED STATES OIL FUND LP
1,500,000$14.6B0.29%Call
69
* ARCHROCK PARTNERS L P
1,271,917$14.1B0.28%
70
TRVC* CITIGROUP INC
335,944$14.0B0.28%Call
71
DHR* DANAHER CORP DEL
141,083$13.4B0.27%
72
BAC* BANK AMER CORP
916,600$12.4B0.25%Call
73
WFC* WELLS FARGO & CO NEW
231,831$11.2B0.22%Call
74
TESLA MTRS INC
12,500,000$10.7B0.21%
75
ANCHOR BANCORP WIS INC DEL
227,986$10.3B0.20%
76
JPM* JPMORGAN CHASE & CO
166,112$9.8B0.20%Call
77
RYLAND GROUP INC
11,000,000$9.8B0.20%
78
AMLPUSD* ALPS ETF TR
750,000$8.2B0.16%Call
79
* JONES ENERGY INC
2,060,592$6.9B0.14%
80
* WILSHIRE BANCORP INC
659,573$6.8B0.14%
81
GPOR1EUR* GULFPORT ENERGY CORP
225,000$6.4B0.13%
82
* JOURNAL MEDIA GROUP INC
517,812$6.2B0.12%
83
ARC LOGISTICS PARTNERS LP
572,635$5.9B0.12%
84
PRAH* PRA HEALTH SCIENCES INC
126,135$5.4B0.11%
85
CHKP* CHECKPOINT SYS INC
532,262$5.4B0.11%
86
SMHUSD* MARKET VECTORS ETF TR
97,000$5.3B0.11%Put
87
ET* ENERGY TRANSFER EQUITY L P
700,000$5.0B0.10%Call
88
PPG* PPG INDS INC
40,000$4.5B0.09%Put
89
ZBH* ZIMMER BIOMET HLDGS INC
40,000$4.3B0.08%Put
90
CRI* CARTER INC
40,000$4.2B0.08%Put
91
RHT1EUR* RED HAT INC
51,200$3.8B0.08%
92
WORKDAY INC
3,000,000$3.5B0.07%
93
IP* INTL PAPER CO
80,000$3.3B0.07%Put
94
WY* WEYERHAEUSER CO
100,000$3.1B0.06%Put
95
* MYLAN N V
66,700$3.1B0.06%Call
96
NUE* NUCOR CORP
65,000$3.1B0.06%Put
97
MICRON TECHNOLOGY INC
2,500,000$3.0B0.06%
98
* CRESTWOOD EQUITY PARTNERS LP
253,874$3.0B0.06%
99
SYF* SYNCHRONY FINL
100,000$2.9B0.06%Call
100
FDC* FIRST DATA CORP NEW
218,768$2.8B0.06%
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