OCONNOR, A Distinct Business Unit of UBS ASSET MANAGEMENT AMERICAS (LLC) Q4 2018 Filing

Filed February 15, 2019

Portfolio Value

$1584.7T

Holdings

198

Report Date

Q4 2018

Filing Type

13F-HR

All Holdings (198 positions)

#StockSharesValue% PortfolioType
1
TESLA IN
103,000,000$107.3T6.77%
2
CICIGNA CO
460,000$87.4T5.51%
3
METAFACEBOOK
476,000$62.4T3.94%
4
WTWWILLIS T
370,000$56.2T3.55%
5
DISDISNEY W
507,889$55.7T3.51%
6
TESARO I
25,000,000$54.4T3.43%
7
APDAIR PROD
320,000$51.2T3.23%
8
QSRRESTAURA
810,000$42.4T2.67%
9
POSTPOST HLD
410,000$36.5T2.31%
10
RPMRPM INTL
550,000$32.3T2.04%
11
ASSERTIO
47,500,000$32.3T2.04%
12
QCOMQUALCOMM
550,000$31.3T1.98%
13
HLFHERBALIF
500,000$29.5T1.86%
14
EFXEQUIFAX
310,000$28.9T1.82%
15
RTI INTL
26,000,000$26.0T1.64%
16
MEDICINE
33,500,000$25.4T1.60%
17
DERMIRA
33,000,000$25.1T1.59%
18
GREENSKY
2,590,400$24.8T1.56%
19
ALLSCRIP
24,000,000$23.1T1.46%
20
ADPAUTOMATI
170,000$22.3T1.41%
21
CTSHCOGNIZAN
350,000$22.2T1.40%
22
BCOBRINKS C
320,000$20.7T1.31%
23
XLVSELECT S
230,000$19.9T1.26%
24
XLFSELECT S
800,000$19.1T1.20%
25
WEXWEX INC
130,000$18.2T1.15%
26
GOOSCANADA G
415,000$18.1T1.14%
27
SMHVANECK V
200,000$17.5T1.10%
28
AEGERION
22,000,000$17.3T1.09%
29
AMZNAMAZON C
11,340$17.0T1.07%
30
BACVERIZON
301,700$17.0T1.07%
31
CDKCDK GLOB
350,000$16.8T1.06%
32
DSW INC
1,050,000$16.2T1.02%Put
33
NEWREURNEW RELI
182,500$14.8T0.93%
34
BKNGBOOKING
8,500$14.6T0.92%
35
CRMSALESFOR
90,000$12.3T0.78%
36
PRKSSEAWORLD
550,000$12.2T0.77%
37
MSFTMICROSOF
119,143$12.1T0.76%
38
WWAYFAIR
127,500$11.5T0.72%
39
BDXBECTON D
50,000$11.3T0.71%
40
NABORS I
17,000,000$10.6T0.67%
419,500,000$10.3T0.65%
42
TDCTERADATA
230,000$8.8T0.56%
43
IACIEURIAC INTE
47,625$8.7T0.55%
44
TPG PACE
831,000$8.7T0.55%
45
PANWPALO ALT
45,000$8.5T0.53%
46
ACORDA T
10,000,000$8.4T0.53%
47
AWMSKYWORKS
115,000$7.7T0.49%
48
AMATAPPLIED
227,650$7.5T0.47%
49
PROTALIX
8,000,000$7.4T0.46%
50
GLPIGAMING &
221,300$7.2T0.45%
51
BABAALIBABA
50,000$6.9T0.43%
52
TELIGENT
9,000,000$6.7T0.42%
53
TSLATESLA IN
87,600$6.2T0.39%Put
54
CTRPUSDCTRIP CO
228,199$6.2T0.39%
55
EAELECTRON
78,215$6.2T0.39%
56
HALHALLIBUR
229,253$6.1T0.38%
57
CTRECARETRUS
323,500$6.0T0.38%
58
EAFEURGRAFTECH
479,070$5.5T0.35%
59
NHINATIONAL
70,700$5.3T0.34%
60
UNVREURUNIVAR I
300,000$5.3T0.34%
61
SUISUN CMNT
50,300$5.1T0.32%
62
FRFIRST IN
173,700$5.0T0.32%
63
NTESNETEASE
20,710$4.9T0.31%
64
HIWHIGHWOOD
123,000$4.8T0.30%
65
VICIVICI PPT
252,000$4.7T0.30%
66
TAT&T INC
163,774$4.7T0.29%
67
OXYOCCIDENT
75,000$4.6T0.29%
68
SPYSPDR S&P
1,210,000$4.6T0.29%Call
69
NVRNVR INC
1,870$4.6T0.29%
70
COUSINS
567,000$4.5T0.28%
71
PS BUSIN
33,700$4.4T0.28%
72
EXREXTRA SP
48,100$4.4T0.27%
73
EPRTESSENTIA
312,000$4.3T0.27%
74
LEISURE
420,365$4.3T0.27%
75
WEINGART
170,221$4.2T0.27%
76
GPROGOPRO IN
995,872$4.2T0.27%
77
GOODRICH
4,000,000$4.2T0.27%
78
ELSEQUITY L
43,100$4.2T0.26%
79
DREUSDDUKE REA
158,200$4.1T0.26%
805,000,000$4.1T0.26%
81
COLDAMERICOL
142,736$3.6T0.23%
825,000,000$3.5T0.22%
83
DEIDOUGLAS
102,600$3.5T0.22%
84
NFLXNETFLIX
20,750$3.5T0.22%Put
85
PSAPUBLIC S
17,100$3.5T0.22%
86
CPTCAMDEN P
38,700$3.4T0.22%
87
DOCUSDPHYSICIA
211,000$3.4T0.21%
88
GDDYGODADDY
51,465$3.4T0.21%
89
ENDO INT
2,575,500$3.3T0.21%Put
90
NOWSERVICEN
18,326$3.3T0.21%
91
TTWOTAKE-TWO
31,655$3.3T0.21%
92
PSTGPURE STO
200,000$3.2T0.20%
93
FCPTFOUR COR
122,300$3.2T0.20%
94
BIDUNBAIDU IN
20,000$3.2T0.20%
95
REGREGENCY
53,900$3.2T0.20%
96
SAILEURSAILPOIN
130,000$3.1T0.19%
97
CLBCORE LAB
50,000$3.0T0.19%
98
CHARAH S
340,083$2.8T0.18%
99
AMHAMERICAN
138,400$2.7T0.17%
100
STNESTONECO
142,715$2.6T0.17%
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