Market Value1,572,721,000
Total Holdings141
File Date2013-11-12
Original Filing (Click here)

All hedge funds or institutions that manage over $100M are required by the SEC to file quarterly reports on their holdings. These reports are called 13F reports. However, the filings are required the following quarter from the reporting period, which means that by the time the filing is made (and we see them), the information could be five months old.

For funds with long term positions that make few trades, the holdings might closely resemble their current holdings, even after several months. However, for funds that have high turnover, the holdings data we see might differ significantly from their current holdings. Institutions are required to report CALL and PUT options, and those positions are identified in the table. However, they are not required to report short positions.

Click the link icon to see the full transaction history.

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Security Imputed
Share Price
Prev
Shares
Current
Shares
Change
(Percent)
Prev Value
(USD x1000)
Current Value
(USD x1000)
Change
(Percent)
FI / Fiserv, Inc.
00826TAH1 / Affymetrix, Inc. Bond
ARNC / Arconic Corporation
US0153511094 / Alexion Pharmaceuticals, Inc.
ALLIANT TECHSYSTEMS INC / NOTE 3.000% 8/1 (018804AK0)
002144110 / Altera Corporation
MDLZ / Mondelez International, Inc.
WMT / Walmart Inc.
ARCHER DANIELS MIDLAND CO / NOTE 0.875% 2/1 (039483AW2)
COST / Costco Wholesale Corporation
GS / The Goldman Sachs Group, Inc.
05334DAA5 / Auxilium Pharmaceuticals Inc 1.5% Bond due 2018-07-15
BMC / Bmc Software Inc
BIDU / Baidu, Inc. - Depositary Receipt (Common Stock)
BBBY / Bed Bath & Beyond, Inc.
110394AC7 / Bristow Group, Inc. Bond
BRCM / Broadcom Corporation
TSLA / Tesla, Inc.
BKNG / Booking Holdings Inc.
CAIAF / CA Immobilien Anlagen AG
CTRX /
CELG / Celgene Corp.
CERN / Cerner Corp.
LBRDA / Liberty Broadband Corporation
CTXS / Citrix Systems, Inc.
BAC / Bank of America Corporation
MNST / Monster Beverage Corporation
IBM / International Business Machines Corporation
TXN / Texas Instruments Incorporated
T / AT&T Inc.
DELL / Dell Technologies Inc.
XRAY / DENTSPLY SIRONA Inc.
HSY / The Hershey Company
HD / The Home Depot, Inc.
DISCA / Discovery Inc - Class A
DTV / DTE Energy Company
FAST / Fastenal Company
ORCL / Oracle Corporation
HPQ / HP Inc.
ESRX / Express Scripts Holding Co.
CTSH / Cognizant Technology Solutions Corporation
FOSL / Fossil Group, Inc.
GENERAL CABLE CORP DEL NEW / NOTE 0.875%11/1 (369300AD0)
NKE / NIKE, Inc.
META / Meta Platforms, Inc.
GMCR / Keurig Green Mountain, Inc.
HOLOGIC INC / FRNT 2.000%12/1 (436440AA9)
ICAHN ENTERPRISES LP/CORP / FRNT 8/1 (451102AB3)
458140AD2 / Intel Corp. 2.95% Bond Due 12/15/2035
IRWD / Ironwood Pharmaceuticals, Inc.
UNH / UnitedHealth Group Incorporated
BIIB / Biogen Inc.
TLT / iShares Trust - iShares 20+ Year Treasury Bond ETF
US00C4U1L353 / Mylan N.V.
CVX / Chevron Corporation
KRFT /
521863AL4 / Leap Wireless Intl Inc Bond
QRTEA / Qurate Retail Inc - Series A
FWONA / Formula One Group
LIFE / aTyr Pharma, Inc.
LLTC / Linear Technology Corp.
55303QAE0 / MGM Resorts International Bond
MAT / Mattel, Inc.
57772K101 / Maxim Integrated Products Inc.
MCD / McDonald's Corporation
AXP / American Express Company
XOM / Exxon Mobil Corporation
631103AA6 / Nasdaq, Inc. Bond
63934EAL2 / Navistar International Corp. Bond 3.00%
NUAN / Nuance Communications Inc
US67020YAF79 / Nuance Communications, Inc. 2.75% Bond Due 11/1/2031
POWERSHARES QQQ TRUST / UNIT SER 1 (73935A104)
RGORF / Randgold Resources Ltd.
RMS / Rydex ETF Trust
DIA / SPDR Dow Jones Industrial Average ETF Trust
SNDK / Sandisk Corporation
SHLD / Global X Funds - Global X Defense Tech ETF
SIAL / Sigma-Aldrich Corporation
SIRI / Sirius XM Holdings Inc.
SPLS / Staples, Inc.
SRCL / Stericycle, Inc.
NLOK / NortonLifeLock Inc
92343EAD4 / VeriSign, Inc. SDCV 3.250% 8/1
VIAB / Viacom, Inc.
VODPF / Vodafone Group Public Limited Company
WFM / Whole Foods Market, Inc.
XLNX / Xilinx, Inc.
AABA / Altaba Inc
LBTYA / Liberty Global Ltd.
CHKP / Check Point Software Technologies Ltd.
GOOGL / Alphabet Inc.
PAYX / Paychex, Inc.
AMAT / Applied Materials, Inc.
PCAR / PACCAR Inc
REGN / Regeneron Pharmaceuticals, Inc.
KO / The Coca-Cola Company
EBAY / eBay Inc.
CHRW / C.H. Robinson Worldwide, Inc.
WDC / Western Digital Corporation
NWS / News Corporation
VRSK / Verisk Analytics, Inc.
QCOM / QUALCOMM Incorporated
FOX / Fox Corporation
INTC / Intel Corporation
JNJ / Johnson & Johnson
V / Visa Inc.
ADI / Analog Devices, Inc.
GRMN / Garmin Ltd.
DIS / The Walt Disney Company
FFIV / F5, Inc.
NFLX / Netflix, Inc.
AKAM / Akamai Technologies, Inc.
CSCO / Cisco Systems, Inc.
TRV / The Travelers Companies, Inc.
DLTR / Dollar Tree, Inc.
CAT / Caterpillar Inc.
EXPD / Expeditors International of Washington, Inc.
ADBE / Adobe Inc.
INTU / Intuit Inc.
MCHP / Microchip Technology Incorporated
SBUX / Starbucks Corporation
NTAP / NetApp, Inc.
ADP / Automatic Data Processing, Inc.
CMCSA / Comcast Corporation
EQIX / Equinix, Inc.
BA / The Boeing Company
ROST / Ross Stores, Inc.
SBAC / SBA Communications Corporation
NVDA / NVIDIA Corporation
AVGO / Broadcom Inc.
ADSK / Autodesk, Inc.
PG / The Procter & Gamble Company
ISRG / Intuitive Surgical, Inc.
ATVI / Activision Blizzard Inc
EXPE / Expedia Group, Inc.
WYNN / Wynn Resorts, Limited
HSIC / Henry Schein, Inc.
AMGN / Amgen Inc.
PFE / Pfizer Inc.
MU / Micron Technology, Inc.
ORLY / O'Reilly Automotive, Inc.
RTX / RTX Corporation
MRK / Merck & Co., Inc.
MSFT / Microsoft Corporation
WY / Weyerhaeuser Company
GILD / Gilead Sciences, Inc.
STX / Seagate Technology Holdings plc
AMZN / Amazon.com, Inc.
FTXP / Foothills Exploration, Inc.
MMM / 3M Company
VZ / Verizon Communications Inc.
JPM / JPMorgan Chase & Co.
SPY / SPDR S&P 500 ETF
DD / DuPont de Nemours, Inc.
VRTX / Vertex Pharmaceuticals Incorporated
AAPL / Apple Inc.