ADVENT CAPITAL MANAGEMENT /DE/ Q3 2016 Filing

Filed November 22, 2016

Portfolio Value

$6.9T

Holdings

496

Report Date

Q3 2016

Filing Type

13F-HR

All Holdings (496 positions)

#StockSharesValue% PortfolioType
1
WFC 7.5 PERP LWells Fargo & Company
117,444$153.8B2.22%
2
Yahoo Inc
115,706,000$118.8B1.72%
3
AMG 5.15 10/15/37Amg Capital Trust Ii
1,891,348$103.2B1.49%
4
Priceline Group Inc/The
77,049,000$98.5B1.42%
5
Ctrip.Com Intl Ltd
87,608,000$95.1B1.37%
6
Wright Medical Group Inc
88,891,000$95.0B1.37%
7
Intel Corp
68,576,000$94.5B1.37%
8
Micron Technology Inc
104,384,000$93.6B1.35%
9
Nxp Semiconductor Nv
75,980,000$90.4B1.31%
10
Twitter Inc
94,287,000$89.3B1.29%
11
Red Hat Inc
69,256,000$88.0B1.27%
12
Lam Research Corp
54,970,000$87.8B1.27%
13
Twitter Inc
83,681,000$80.4B1.16%
14
Illumina Inc
71,062,000$77.7B1.12%
15
CNP 3.36916 09/15/29Centerpoint Energy Inc
1,249,793$72.0B1.04%
16
Extra Space Storage Lp
66,056,000$71.1B1.03%
17
BAC 7.25 PERP LBank Of America Corp
57,824$70.6B1.02%
18
Fireeye Inc
76,214,000$70.5B1.02%
19
Hologic Inc
56,500,000$69.6B1.01%
20
Ionis Pharmaceuticals In
70,972,000$66.3B0.96%
21
Allscripts Healthcare So
63,812,000$65.6B0.95%
22
Molina Healthcare Inc
54,982,000$65.4B0.95%
23
ON 1 12/01/20On Semiconductor Corp
63,862,000$64.9B0.94%
24
Integrated Device Tech
63,282,000$64.2B0.93%
25
Fireeye Inc
69,861,000$63.9B0.92%
26
Weatherford Bermuda
56,308,000$63.4B0.92%
27
Webmd Health Corp
59,828,000$62.2B0.90%
28
Allergan Plc
73,748$60.6B0.88%
29
Priceline Group Inc/The
55,806,000$60.2B0.87%
3032,711,000$59.9B0.87%
311,371,242$59.8B0.86%
32
Servicenow Inc
48,916,000$59.6B0.86%
33
MCHP 1.625 02/15/25Microchip Technology Inc
44,383,000$56.8B0.82%
34
Dish Network Corp
50,819,000$55.6B0.80%
35
LMCA 1.375 10/15/23Liberty Media Corp
52,199,000$54.8B0.79%
36
Teva Pharmaceutical Indu
67,321$54.8B0.79%
37
Citrix Systems Inc
48,149,000$54.6B0.79%
38
Colony Capital Inc
55,721,000$54.5B0.79%
39
Jazz Investments I Ltd
51,548,000$52.3B0.76%
40
Biomarin Pharmaceutical
42,248,000$50.7B0.73%
41
Verint Systems Inc
53,038,000$50.5B0.73%
42
B2Gold Corp
48,967,000$50.2B0.73%
43
Euronet Worldwide Inc
39,685,000$50.1B0.72%
44
Alexandria Real Estate Equities, Inc.
1,421,834$50.1B0.72%
45
Calatlantic Group Inc
46,901,000$48.8B0.71%
46
Cypress Semiconductor Co
42,311,000$48.1B0.70%
47
Electronics For Imaging
43,464,000$48.1B0.70%
48
Ares Capital Corp
45,915,000$48.0B0.69%
49
JEF 3.875 11/01/29Jefferies Group Llc
46,665,000$47.5B0.69%
50
Healthsouth Corp
39,464,000$46.5B0.67%
51
Cornerstone Ondemand Inc
41,412,000$45.2B0.65%
52
STWD 4.55 03/01/18Starwood Property Trust
40,453,000$44.4B0.64%
53
Nuance Communications
50,009,000$43.7B0.63%
54
Brocade Communications
43,803,000$43.4B0.63%
55
Ciena Corp
43,066,000$42.9B0.62%
56
Liberty Media Corp
41,345,000$42.9B0.62%
57
Macquarie Infrastructure
36,377,000$42.9B0.62%
58
Fidelity Natl Financial
20,694,000$42.9B0.62%
59
Chesapeake Energy Corp
41,875,000$42.0B0.61%
60
Akamai Technologies Inc
42,589,000$41.8B0.60%
61
AMD 2.125 09/01/26Advanced Micro Devices
38,358,000$41.7B0.60%
62
Finisar Corp
34,478,000$40.7B0.59%
63
Gnc Holdings Inc
45,166,000$40.2B0.58%
64
Keycorp
292,339$39.9B0.58%
65
Air Lease Corp
31,844,000$39.5B0.57%
66
Frontier Communications
469,937$39.4B0.57%
67
Teva Pharm Fin Co Llc
33,022,000$39.4B0.57%
68
Royal Gold Inc
34,132,000$38.3B0.55%
69
Toll Bros Finance Corp
38,284,000$37.6B0.54%
70
Nextera Energy Inc
741,348$36.7B0.53%
71
Herbalife Ltd
37,047,000$36.7B0.53%
72
Dycom Industries Inc
32,488,000$35.5B0.51%
73
Nuvasive Inc
26,476,000$33.5B0.48%
74
Nrg Yield Inc
33,915,000$33.3B0.48%
75
Biomarin Pharmaceutical
26,599,000$33.2B0.48%
76
Liberty Interactive Llc
30,993,000$32.8B0.47%
77
Liberty Interactive Llc
62,145,000$32.6B0.47%
78
MTG 2 04/01/20Mgic Investment Corp
24,928,000$31.8B0.46%
79
Webmd Health Corp
32,615,000$31.7B0.46%
80
Tesla Motors Inc
34,916,000$31.6B0.46%
81
Live Nation Entertainmen
28,789,000$31.1B0.45%
82
Rti International Metals
29,009,000$31.0B0.45%
83
Illumina Inc
29,621,000$30.9B0.45%
84
Starwood Property Trust
27,216,000$30.8B0.45%
85
Whiting Petroleum Corp
37,390,000$30.7B0.44%
86
Cepheid
29,168,000$30.3B0.44%
87
Impax Laboratories Inc
34,090,000$30.0B0.43%
88
Great Plains Energy Inc
582,500$29.7B0.43%
89
Viavi Solutions Inc
29,577,000$29.6B0.43%
90
Nvidia Corp
8,559,000$29.2B0.42%
91
Linkedin Corp
29,246,000$29.0B0.42%
92
Calatlantic Group Inc
30,201,000$28.2B0.41%
93
Webmd Health Corp
24,253,000$28.0B0.40%
94
Spirit Realty Capital In
25,068,000$27.7B0.40%
9519,215,000$26.1B0.38%
96
Synchronoss Technologies
23,874,000$25.3B0.37%
97
Colony Capital Inc
24,860,000$24.7B0.36%
98
Cemex Sab De Cv
23,453,000$24.5B0.35%
99
Web.Com Group Inc
25,698,000$24.4B0.35%
100
Old Republic Intl Corp
20,033,000$24.2B0.35%
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