DAVIDSON KEMPNER CAPITAL MANAGEMENT LP

13F Portfolio Filings

  • Most recent 13F
    Q4 2024
  • Location
    new york, NY
  • CIK
    0001595082
  • Alternate names
    Davidson Kempner Capital Management LP
  • All SEC filings
Q4 2024
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

189

$4.36B
PDD 0 12/01/25, FRPT 3 04/01/28, ARKO, PLAYA HOTELS & RESORTS NV
13F-HR
Feb 14, 2025
000159508225000022

3

$275.62M
CTLT, ACI, USS
NEW HOLDINGS
Feb 14, 2025
000159508225000020

205

$3.70B
ARKO, PDD 0 12/01/25, FRPT 3 04/01/28, META
13F-HR
Nov 14, 2024
000159508224000051

1

$23.94M
NVEI
NEW HOLDINGS
Feb 14, 2025
000159508225000019

1

$22.44M
ACI
NEW HOLDINGS
Feb 14, 2025
000159508225000018

4

$469.89M
CTLT, SY9, AXNX, USS
NEW HOLDINGS
Feb 14, 2025
000159508225000017

241

$4.88B
WRK, EDR, PDD 0 12/01/25, ARKO
13F-HR
Aug 14, 2024
000159508224000047

3

$166.79M
CTLT, AXNX, ACI
NEW HOLDINGS
Feb 14, 2025
000159508225000016

1

$65.14M
ETRN
NEW HOLDINGS
Aug 14, 2024
000159508224000045

2

$396.61M
WRK, SWAV
NEW HOLDINGS
Aug 14, 2024
000159508224000044

251

$5.84B
PXD, SPY, YY 1.375 06/15/26, PDD 0 12/01/25
13F-HR
May 15, 2024
000159508224000032

1

$44.84M
ACI
NEW HOLDINGS
Feb 14, 2025
000159508225000015

1

$236.88M
WRK
NEW HOLDINGS
Aug 14, 2024
000159508224000043

1

$858.19M
PXD
NEW HOLDINGS
May 15, 2024
000159508224000035

2

$185.26M
IMGN, SPLK
NEW HOLDINGS
May 15, 2024
000159508224000034

236

$4.37B
SPY, ARKO, YY 1.375 06/15/26, PDD 0 12/01/25
13F-HR
Feb 14, 2024
000159508224000013

1

$94.53M
ACI
NEW HOLDINGS
Feb 14, 2025
000159508225000014

1

$41.36M
WRK
NEW HOLDINGS
Aug 14, 2024
000159508224000042

1

$5.88M
SPLK
NEW HOLDINGS
May 15, 2024
000159508224000033

4

$1.13B
SGEN, SGEN, VMW, ABCAM PLC
NEW HOLDINGS
Feb 14, 2024
000159508224000024

274

$6.31B
AIY, SPY, HORIZON THERAPEUTICS PUB L, ARKO
13F-HR
Nov 14, 2023
000159508223000076

1

$13.19M
ACI
NEW HOLDINGS
Feb 14, 2025
000159508225000013

1

$33.41M
NATI
NEW HOLDINGS
Feb 14, 2024
000159508224000023

1

$45.96M
SYNH
NEW HOLDINGS
Feb 14, 2024
000159508224000022

1

$323.66M
SGEN
NEW HOLDINGS
Feb 14, 2024
000159508224000021

1

$335.31M
HORIZON THERAPEUTICS PUB L
NEW HOLDINGS
Nov 14, 2023
000159508223000086

3

$547.03M
AIY, AIY, BKI
NEW HOLDINGS
Nov 14, 2023
000159508223000085

1

$14.34M
TOWER SEMICONDUCTOR LTD
NEW HOLDINGS
Nov 14, 2023
000159508223000084

299

$3.88B
ARKO, VST, YY 1.375 06/15/26, SPY
RESTATEMENT
Sep 12, 2023
000090266423004727

1

$13.56M
ACI
NEW HOLDINGS
Feb 14, 2025
000159508225000012

1

$57.73M
TXNM
NEW HOLDINGS
Feb 14, 2024
000159508224000020

1

$11.83M
SGEN
NEW HOLDINGS
Feb 14, 2024
000159508224000019

2

$36.70M
LSI, VMW
NEW HOLDINGS
Feb 14, 2024
000159508224000018

4

$722.83M
HORIZON THERAPEUTICS PUB L, AIY, AIY, TOWER SEMICONDUCTOR LTD
NEW HOLDINGS
Nov 14, 2023
000159508223000083

368

$5.16B
SPY, ARKO, SJR, VST
13F-HR
May 15, 2023
000090266423003110

1

$28.04M
TXNM
NEW HOLDINGS
Feb 14, 2024
000159508224000017

1

$91.20M
VMW
NEW HOLDINGS
Feb 14, 2024
000159508224000016

1

$35.95M
TOWER SEMICONDUCTOR LTD
NEW HOLDINGS
Nov 14, 2023
000159508223000082

4

$462.75M
HORIZON THERAPEUTICS PUB L, AIY, AIY, BKI
NEW HOLDINGS
Nov 14, 2023
000159508223000081

4

$275.21M
FHN, SJR, RCI/B, 1LIFE HEALTHCARE INC
NEW HOLDINGS
May 15, 2023
000159508223000037

2

$60.84M
COUP, AIMC
NEW HOLDINGS
May 15, 2023
000159508223000036

430

$4.32B
ARKO, VST, SPY, YY 1.375 06/15/26
13F-HR
Feb 14, 2023
000159508223000007

1

$15.00K
TXNM
NEW HOLDINGS
Feb 14, 2024
000159508224000015

1

$68.00K
VMW
NEW HOLDINGS
Feb 14, 2024
000159508224000014

2

$146.00K
AIY, TOWER SEMICONDUCTOR LTD
NEW HOLDINGS
Nov 14, 2023
000159508223000080

1

$11.00K
BKI
NEW HOLDINGS
Nov 14, 2023
000159508223000079

1

$103.00K
FHN
NEW HOLDINGS
May 15, 2023
000159508223000035

3

$172.00K
SJR, 1LIFE HEALTHCARE INC, SGFY
NEW HOLDINGS
May 15, 2023
000159508223000034

2

$133.00K
ZEN, SWCH
NEW HOLDINGS
Feb 14, 2023
000159508223000010

1

$2.00K
STORE CAP CORP
NEW HOLDINGS
Feb 14, 2023
000159508223000009

537

$5.02B
CHNG, ARKO, SPY, NDQ
13F-HR
Nov 14, 2022
000159508222000106

2

$109.00K
TOWER SEMICONDUCTOR LTD, AIY
NEW HOLDINGS
Nov 14, 2023
000159508223000078

2

$159.00K
SJR, FHN
NEW HOLDINGS
May 15, 2023
000159508223000033

2

$111.00K
ZEN, SWCH
NEW HOLDINGS
Feb 14, 2023
000159508223000008

6

$155.60M
CHNG, TWTR, SAIL, MNDT
NEW HOLDINGS
Nov 14, 2022
000159508222000110

2

$81.98M
CTXS, TMX
NEW HOLDINGS
Nov 14, 2022
000159508222000109

550

$5.27B
NDQ, ARKO, VST, RADI
13F-HR
Aug 15, 2022
000159508222000098

2

$192.00K
AIY, TOWER SEMICONDUCTOR LTD
NEW HOLDINGS
Nov 14, 2023
000159508223000077

1

$89.00K
SJR
NEW HOLDINGS
May 15, 2023
000159508223000032

3

$175.41M
NIELSEN HLDGS PLC, ATOTECH LTD, CHNG
NEW HOLDINGS
Nov 14, 2022
000159508222000108

2

$37.99M
TMX, CTXS
NEW HOLDINGS
Nov 14, 2022
000159508222000107

5

$549.48M
ZNGA, CERN, PLAN, 2150994D
NEW HOLDINGS
Aug 15, 2022
000159508222000097

3

$268.49M
HTA, VG, SAFM
NEW HOLDINGS
Aug 15, 2022
000159508222000096

584

$6.48B
SPY, ARKO, QIAGEN NV, VST
13F-HR
May 16, 2022
000159508222000064

1

$104.00K
SJR
NEW HOLDINGS
May 15, 2023
000159508223000031

1

$8.04M
SAFM
NEW HOLDINGS
Aug 15, 2022
000159508222000095

2

$105.12M
2150994D, CERN
NEW HOLDINGS
Aug 15, 2022
000159508222000094

3

$3.03M
ESTE, IMPX, ADS TEC ENERGY PLC
NEW HOLDINGS
May 16, 2022
000159508222000077

2

$28.98M
MNTV, ZEN
NEW HOLDINGS
May 16, 2022
000159508222000076

6

$889.30M
NUAN, IHS MARKIT LTD, XLNX, MSFT
NEW HOLDINGS
May 16, 2022
000159508222000075

534

$5.65B
VST, ARKO, QIAGEN NV, RADI
13F-HR
Feb 14, 2022
000159508222000019

1

$86.00K
SJR
NEW HOLDINGS
May 15, 2023
000159508223000030

1

$66.91M
2150994D
NEW HOLDINGS
Aug 15, 2022
000159508222000093

1

$10.44M
HRC
NEW HOLDINGS
May 16, 2022
000159508222000074

1

$301.63M
KSU
NEW HOLDINGS
May 16, 2022
000159508222000073

7

$920.40M
NUAN, XLNX, IHS MARKIT LTD, MSFT
NEW HOLDINGS
May 16, 2022
000159508222000072

490

$5.61B
ARKO, WTW, VST, QIAGEN NV
13F-HR
Nov 15, 2021
000159508221000087

1

$102.77M
2150994D
NEW HOLDINGS
Aug 15, 2022
000159508222000092

1

$398.23M
IHS MARKIT LTD
NEW HOLDINGS
May 16, 2022
000159508222000071

1

$95.46M
MSFT
NEW HOLDINGS
May 16, 2022
000159508222000070

1

$671.19M
NUAN
NEW HOLDINGS
May 16, 2022
000159508222000069

1

$832.51M
XLNX
NEW HOLDINGS
May 16, 2022
000159508222000068

2

$656.44M
KSU, ATHENE HLDG LTD
NEW HOLDINGS
Feb 14, 2022
000159508222000018

3

$210.23M
TXNM, AJRD, JOBS
NEW HOLDINGS
Feb 14, 2022
000159508222000017

4

$864.38M
MXIM, PFPT, QTS, USCR
NEW HOLDINGS
Nov 15, 2021
000159508221000086

552

$9.04B
ALXN, WTW, WORK, QIAGEN NV
13F-HR
Aug 16, 2021
000159508221000070

1

$152.32M
IHS MARKIT LTD
NEW HOLDINGS
May 16, 2022
000159508222000067

1

$452.23M
XLNX
NEW HOLDINGS
May 16, 2022
000159508222000066

1

$5.25M
ATHENE HLDG LTD
NEW HOLDINGS
Feb 14, 2022
000159508222000016

3

$186.09M
TXNM, KSU, AJRD
NEW HOLDINGS
Feb 14, 2022
000159508222000015

1

$497.62M
MXIM
NEW HOLDINGS
Nov 15, 2021
000159508221000085

1

$103.95M
CLGX
NEW HOLDINGS
Aug 16, 2021
000159508221000068

5

$1.55B
ALXN, WORK, WTW, PRAH
NEW HOLDINGS
Aug 16, 2021
000159508221000067

1

$64.32M
STZ
NEW HOLDINGS
May 27, 2021
000159508221000041

448

$7.03B
QIAGEN NV, ARKO, IPHI, VST
13F-HR
May 17, 2021
000159508221000039

1

$419.44M
XLNX
NEW HOLDINGS
May 16, 2022
000159508222000065

2

$27.21M
TXNM, AJRD
NEW HOLDINGS
Feb 14, 2022
000159508222000014

2

$363.97M
MXIM, DD
NEW HOLDINGS
Nov 15, 2021
000159508221000084

2

$464.93M
WORK, ALXN
NEW HOLDINGS
Aug 16, 2021
000159508221000066

3

$523.52M
WTW, STZ, AON
NEW HOLDINGS
Aug 16, 2021
000159508221000065

2

$66.56M
RP, NEE
NEW HOLDINGS
May 17, 2021
000159508221000038

268

$6.61B
QIAGEN NV, VST, ARKO, FE
13F-HR
Feb 16, 2021
000159508221000016

1

$51.65M
NETSTREIT CORP
NEW HOLDINGS
Feb 16, 2021
000159508221000020

1

$104.61M
MXIM
NEW HOLDINGS
Nov 15, 2021
000159508221000083

3

$337.04M
WTW, GRUBHUB INC, AON
NEW HOLDINGS
Aug 16, 2021
000159508221000064

1

$15.27M
NEE
NEW HOLDINGS
May 17, 2021
000159508221000037

1

$34.40M
VAR
NEW HOLDINGS
May 17, 2021
000159508221000036

3

$212.77M
TIFFANY & CO NEW, FIAT CHRYSLER AUTOMOBILES N, TCO
NEW HOLDINGS
May 17, 2021
000159508221000035

1

$36.43M
MYLAN N V
NEW HOLDINGS
May 17, 2021
000159508221000034

1

$45.21M
NETSTREIT CORP
NEW HOLDINGS
Feb 16, 2021
000159508221000019

251

$6.25B
QIAGEN NV, IMMU, VST, ATUS
13F-HR
Nov 16, 2020
000159508220000094

2

$4.94M
WTW, AON
NEW HOLDINGS
Aug 16, 2021
000159508221000063

1

$27.58M
GRUBHUB INC
NEW HOLDINGS
Aug 16, 2021
000159508221000062

2

$100.72M
TIFFANY & CO NEW, MYLAN N V
NEW HOLDINGS
Feb 16, 2021
000159508221000015

2

$19.92M
1981718D, WRIGHT MED GROUP N V
NEW HOLDINGS
Nov 16, 2020
000159508220000106

2

$19.83M
FSCT, ELAN
NEW HOLDINGS
Nov 16, 2020
000159508220000105

182

$3.97B
1812212D, QIAGEN NV, VST, TMUS
13F-HR
Aug 14, 2020
000159508220000085

1

$4.20M
WTW
NEW HOLDINGS
Aug 16, 2021
000159508221000061

2

$206.36M
TIFFANY & CO NEW, MYLAN N V
NEW HOLDINGS
Feb 16, 2021
000159508221000014

1

$16.09M
LOGM
NEW HOLDINGS
Nov 16, 2020
000159508220000104

2

$262.79M
1981718D, WRIGHT MED GROUP N V
NEW HOLDINGS
Nov 16, 2020
000159508220000103

1

$50.72M
QIAGEN NV
NEW HOLDINGS
Aug 14, 2020
000159508220000084

3

$34.97M
ATUS, LM, TERP
NEW HOLDINGS
Aug 14, 2020
000159508220000083

3

$147.25M
1812212D, WBC, 1816375D
NEW HOLDINGS
Aug 14, 2020
000159508220000082

150

$3.02B
ALLERGAN PLC, 7HP, VST, CY
13F-HR
May 15, 2020
000159508220000059

4

$212.76M
TIFFANY & CO NEW, TIFFANY & CO NEW, CI, HUM
NEW HOLDINGS
Feb 16, 2021
000159508221000013

1

$25.73M
LOGM
NEW HOLDINGS
Nov 16, 2020
000159508220000102

2

$322.32M
1981718D, WRIGHT MED GROUP N V
NEW HOLDINGS
Nov 16, 2020
000159508220000101

1

$8.04M
ERIEUR
NEW HOLDINGS
Aug 14, 2020
000159508220000081

4

$1.28B
ALLERGAN PLC, ZAYO, CY, TMUS
NEW HOLDINGS
May 15, 2020
000159508220000058

153

$2.59B
1812212D, VST, TSN, TSN
13F-HR
Feb 14, 2020
000159508220000029

1

$5.38M
ERIEUR
NEW HOLDINGS
Aug 14, 2020
000159508220000080

1

$808.59M
ALLERGAN PLC
NEW HOLDINGS
May 15, 2020
000159508220000057

3

$326.69M
ZAYO, CY, TMUS
NEW HOLDINGS
May 15, 2020
000159508220000056

1

$7.44M
LPT
NEW HOLDINGS
Feb 14, 2020
000159508220000028

2

$826.72M
CELG, ONCE
NEW HOLDINGS
Feb 14, 2020
000159508220000027

3

$67.10M
CNC, CNC, CNC
NEW HOLDINGS
Feb 14, 2020
000159508220000026

152

$3.05B
AABA, VST, TSN, THC
13F-HR
Nov 14, 2019
000159508219000081

1

$71.27M
1816375D
NEW HOLDINGS
Aug 14, 2020
000159508220000079

1

$178.31M
ALLERGAN PLC
NEW HOLDINGS
May 15, 2020
000159508220000055

3

$386.28M
ZAYO, CY, TMUS
NEW HOLDINGS
May 15, 2020
000159508220000054

1

$706.07M
CELG
NEW HOLDINGS
Feb 14, 2020
000159508220000025

1

$33.04M
CNC
NEW HOLDINGS
Feb 14, 2020
000159508220000024

2

$22.87M
VSM, IIVI
NEW HOLDINGS
Nov 14, 2019
000159508219000080

179

$7.82B
AABA, APC, FDC, RHT
13F-HR
Aug 14, 2019
000159508219000071

1

$26.82M
WBC
NEW HOLDINGS
Aug 14, 2020
000159508220000078

1

$51.36M
TMUS
NEW HOLDINGS
May 15, 2020
000159508220000053

1

$30.78M
ZAYO
NEW HOLDINGS
May 15, 2020
000159508220000052

3

$29.80M
CNC, WCG, CNC
NEW HOLDINGS
Feb 14, 2020
000159508220000023

4

$494.77M
CELG, BMY, CELG, BMY
NEW HOLDINGS
Feb 14, 2020
000159508220000022

1

$24.19M
VSM
NEW HOLDINGS
Nov 14, 2019
000159508219000079

3

$914.52M
RHT, FDC, WP
NEW HOLDINGS
Aug 14, 2019
000159508219000070

150

$3.64B
VST, ULTI, AVYAQ, IDTI
13F-HR
May 15, 2019
000159508219000058

1

$70.72M
TMUS
NEW HOLDINGS
May 15, 2020
000159508220000051

1

$412.54M
RHT
NEW HOLDINGS
Aug 14, 2019
000159508219000069

6

$805.31M
NWS/A, NWS, ORBOTECH LTD, DIS
NEW HOLDINGS
May 15, 2019
000159508219000057

149

$3.82B
AABA, VST, CI, AVYAQ
13F-HR
Feb 14, 2019
000159508219000031

1

$94.74M
TMUS
NEW HOLDINGS
May 15, 2020
000159508220000050

1

$10.39M
BMS
NEW HOLDINGS
Aug 14, 2019
000159508219000068

3

$242.37M
ORBOTECH LTD, IDTI, IDTI
NEW HOLDINGS
May 15, 2019
000159508219000056

3

$572.57M
NWS/A, NWS, DIS
NEW HOLDINGS
May 15, 2019
000159508219000055

2

$553.92M
ESRX, VVC
NEW HOLDINGS
Feb 14, 2019
000159508219000029

6

$2.75B
AETNA INC NEW, RWC, DVMT, CVS
NEW HOLDINGS
Feb 14, 2019
000159508219000028

155

$4.91B
AABA, VST, FTV, FTV
13F-HR
Nov 14, 2018
000159508218000134

2

$559.03M
NWS/A, NWS
NEW HOLDINGS
May 15, 2019
000159508219000054

1

$143.43M
ORBOTECH LTD
NEW HOLDINGS
May 15, 2019
000159508219000053

1

$101.00M
VVC
NEW HOLDINGS
Feb 14, 2019
000159508219000027

5

$1.64B
AETNA INC NEW, RWC, UTX, 9999945D
NEW HOLDINGS
Feb 14, 2019
000159508219000026

4

$908.79M
GGP, XL GROUP LTD, ILE, GGP
NEW HOLDINGS
Nov 14, 2018
000159508218000133

1

$52.69M
CMCSA
NEW HOLDINGS
Nov 14, 2018
000159508218000132

2

$54.26M
KLXI, AKRXQ
NEW HOLDINGS
Nov 14, 2018
000159508218000131

184

$5.06B
VST, AABA, NXPI, AVYAQ
RESTATEMENT
Aug 22, 2018
000159508218000110

1

$53.81M
NWS/A
NEW HOLDINGS
May 15, 2019
000159508219000052

1

$19.75M
ORBOTECH LTD
NEW HOLDINGS
May 15, 2019
000159508219000051

3

$558.11M
AETNA INC NEW, 9999945D, ESRX
NEW HOLDINGS
Feb 14, 2019
000159508219000025

2

$842.98M
RWC, UTX
NEW HOLDINGS
Feb 14, 2019
000159508219000024

1

$6.54M
AKRXQ
NEW HOLDINGS
Nov 14, 2018
000159508218000130

1

$304.70M
XL GROUP LTD
NEW HOLDINGS
Nov 14, 2018
000159508218000129

8

$2.51B
NXPI, TIME WARNER INC, TIME WARNER INC, TRIBUNE MEDIA CO
NEW HOLDINGS
Aug 14, 2018
000159508218000103

6

$1.26B
1856613D, MSCC, 1856613D, HAWK
NEW HOLDINGS
Aug 14, 2018
000159508218000102

2

$114.72M
ILE, ILE
NEW HOLDINGS
Jul 26, 2018
000159508218000048

145

$3.82B
VST, AABA, AVYAQ, INTC 3.25 08/01/39
13F-HR
May 15, 2018
000159508218000046

2

$592.76M
RWC, UTX
NEW HOLDINGS
Feb 14, 2019
000159508219000023

1

$129.49M
AETNA INC NEW
NEW HOLDINGS
Feb 14, 2019
000159508219000022

1

$3.05M
WR
NEW HOLDINGS
Aug 14, 2018
000159508218000101

3

$343.08M
TIME WARNER INC, T, TIME WARNER INC
NEW HOLDINGS
Aug 14, 2018
000159508218000100

5

$3.00B
NXPI, 1856613D, QCOM, TRIBUNE MEDIA CO
NEW HOLDINGS
Aug 14, 2018
000159508218000099

1

$15.32M
NUANCE COMMUNICATIONS INC
NEW HOLDINGS
May 15, 2018
000159508218000045

2

$166.07M
SNY, CJ3A
NEW HOLDINGS
May 15, 2018
000159508218000044

144

$3.12B
VST, INTC 3.25 08/01/39, 1812212D, DVMT
13F-HR
Feb 14, 2018
000159508218000025

1

$422.16M
RWC
NEW HOLDINGS
Feb 14, 2019
000159508219000021

1

$32.65M
AKRXQ
NEW HOLDINGS
Nov 14, 2018
000159508218000128

3

$343.00M
1856613D, TRIBUNE MEDIA CO, OA
NEW HOLDINGS
Aug 14, 2018
000159508218000098

6

$2.42B
NXPI, TIME WARNER INC, T, WR
NEW HOLDINGS
Aug 14, 2018
000159508218000097

1

$146.60M
SNY
NEW HOLDINGS
May 15, 2018
000159508218000043

2

$102.24M
CJ3A, NUANCE COMMUNICATIONS INC
NEW HOLDINGS
May 15, 2018
000159508218000042

1

$37.32M
CHTR
NEW HOLDINGS
Feb 14, 2018
000159508218000024

1

$17.44M
BOBE
NEW HOLDINGS
Feb 14, 2018
000159508218000023

2

$429.44M
EQT, BCR
NEW HOLDINGS
Feb 14, 2018
000159508218000022

1

$10.83M
BUNGE LIMITED
NEW HOLDINGS
Feb 14, 2018
000159508218000021

1

$179.04M
VST
NEW HOLDINGS
Nov 15, 2017
000159508217000105

163

$3.36B
AABA, ALR, 1812212D, INTC 3.25 08/01/39
13F-HR
Nov 14, 2017
000159508217000103

4

$1.51B
NXPI, 1856613D, T, QCOM
NEW HOLDINGS
Aug 14, 2018
000159508218000096

2

$43.91M
WR, GREAT PLAINS ENERGY INC
NEW HOLDINGS
Aug 14, 2018
000159508218000095

1

$484.81M
TIME WARNER INC
NEW HOLDINGS
Aug 14, 2018
000159508218000094

1

$48.92M
TRIBUNE MEDIA CO
NEW HOLDINGS
Aug 14, 2018
000159508218000093

1

$19.17M
NUANCE COMMUNICATIONS INC
NEW HOLDINGS
May 15, 2018
000159508218000041

1

$10.40M
CHTR
NEW HOLDINGS
Feb 14, 2018
000159508218000020

6

$504.72M
MOBILEYE N V AMSTELVEEN, BCR, VWR, 1850242D
NEW HOLDINGS
Feb 14, 2018
000159508218000019

2

$131.00M
ALR, PRXL
NEW HOLDINGS
Nov 14, 2017
000159508217000101

4

$184.26M
LVLT, WFM, SBC, LUMN
NEW HOLDINGS
Nov 14, 2017
000159508217000100

4

$102.32M
HRG GROUP INC, TMUS, ILE, CYHHZ
NEW HOLDINGS
Sep 15, 2017
000159508217000076

140

$4.23B
RAI, AABA, VST, ALLIED WRLD ASSUR COM HLDG A
13F-HR
Aug 14, 2017
000159508217000070

5

$2.03B
NXPI, TIME WARNER INC, 1856613D, T
NEW HOLDINGS
Aug 14, 2018
000159508218000092

2

$82.25M
WR, GREAT PLAINS ENERGY INC
NEW HOLDINGS
Aug 14, 2018
000159508218000091

1

$33.00K
CYHHZ
NEW HOLDINGS
May 15, 2018
000159508218000040

1

$11.92M
CHTR
NEW HOLDINGS
Feb 14, 2018
000159508218000018

2

$281.34M
MOBILEYE N V AMSTELVEEN, CBF
NEW HOLDINGS
Feb 14, 2018
000159508218000017

1

$47.86M
BRCD
NEW HOLDINGS
Feb 14, 2018
000159508218000016

5

$656.50M
VCA, LVLT, MDLZ, LUMN
NEW HOLDINGS
Nov 14, 2017
000159508217000099

1

$24.45M
ALR
NEW HOLDINGS
Nov 14, 2017
000159508217000098

7

$649.29M
PVTB, YHOO, VALSPAR CORP, ALLIED WRLD ASSUR COM HLDG A
NEW HOLDINGS
Aug 14, 2017
000159508217000069

2

$1.02B
RAI, ALXN
NEW HOLDINGS
Aug 14, 2017
000159508217000068

2

$1.02B
RAI, ALXN
NEW HOLDINGS
Aug 14, 2017
000159508217000071

138

$2.87B
NVDA 1 12/01/18, HUM, 1812212D, AWN
13F-HR
May 15, 2017
000159508217000043

7

$879.16M
NXPI, TIME WARNER INC, 1856613D, GREAT PLAINS ENERGY INC
NEW HOLDINGS
Aug 14, 2018
000159508218000090

1

$9.06M
BRCD
NEW HOLDINGS
Feb 14, 2018
000159508218000015

1

$18.00K
CYHHZ
NEW HOLDINGS
Nov 14, 2017
000159508217000097

3

$206.61M
LVLT, CAB, LUMN
NEW HOLDINGS
Nov 14, 2017
000159508217000096

2

$50.57M
ALR, ALR
NEW HOLDINGS
Nov 14, 2017
000159508217000095

2

$107.63M
YHOO, ALLIED WRLD ASSUR COM HLDG A
NEW HOLDINGS
Aug 14, 2017
000159508217000072

1

$5.37M
CSOD
NEW HOLDINGS
Aug 14, 2017
000159508217000067

8

$489.21M
RAI, PVTB, RADG, RADG
NEW HOLDINGS
Aug 14, 2017
000159508217000066

1

$13.65M
MSCC
NEW HOLDINGS
May 15, 2017
000159508217000040

4

$229.79M
WWAV, HUM, ENDURANCE SPECIALTY HLDGS LT, IMPV
NEW HOLDINGS
May 15, 2017
000159508217000039

2

$118.46M
HARMAN INTL INDS INC, BIIB
NEW HOLDINGS
May 15, 2017
000159508217000038

5

$145.86M
ISIL, BEAV, RWC, RWC
NEW HOLDINGS
May 15, 2017
000159508217000037

124

$2.68B
STJ, NVDA 1 12/01/18, BMCH, AEK
13F-HR
Feb 14, 2017
000159508217000003

5

$88.44M
1856613D, GREAT PLAINS ENERGY INC, QCOM, NXPI
NEW HOLDINGS
Aug 14, 2018
000159508218000089

1

$5.91M
CAB
NEW HOLDINGS
Nov 14, 2017
000159508217000094

3

$23.06M
ALR, LUMN, CYHHZ
NEW HOLDINGS
Nov 14, 2017
000159508217000093

1

$52.44M
YHOO
NEW HOLDINGS
Aug 14, 2017
000159508217000065

3

$56.77M
RADG, RADG, RADG
NEW HOLDINGS
Aug 14, 2017
000159508217000064

1

$72.38M
WWAV
NEW HOLDINGS
May 15, 2017
000159508217000035

2

$40.91M
LLTC, ISIL
NEW HOLDINGS
May 15, 2017
000159508217000034

3

$45.99M
BIIB, IMPV, IMPV
NEW HOLDINGS
May 15, 2017
000159508217000033

2

$31.94M
1539941D, AEK
NEW HOLDINGS
Feb 14, 2017
000159508217000014

5

$518.08M
LNKD, STJ, MEDIA GEN INC NEW, STRZA
NEW HOLDINGS
Feb 14, 2017
000159508217000013

1

$6.97M
JOY
NEW HOLDINGS
Feb 14, 2017
000159508217000012

132

$3.13B
ITC, PG, PG, NVDA 1 12/01/18
13F-HR
Nov 14, 2016
000159508216000152

1

$28.31M
1856613D
NEW HOLDINGS
Aug 14, 2018
000159508218000088

1

$7.67M
ALR
NEW HOLDINGS
Nov 14, 2017
000159508217000092

1

$37.16M
YHOO
NEW HOLDINGS
Aug 14, 2017
000159508217000063

2

$60.39M
RADG, RADG
NEW HOLDINGS
Aug 14, 2017
000159508217000062

4

$342.40M
LNKD, STJ, STRZA, IM
NEW HOLDINGS
Feb 14, 2017
000159508217000011

1

$31.50M
FEIC
NEW HOLDINGS
Nov 14, 2016
000159508216000150

1

$264.74M
HOT
NEW HOLDINGS
Nov 14, 2016
000159508216000149

5

$698.20M
2258717D, MKTO, VMW, VMW
NEW HOLDINGS
Nov 14, 2016
000159508216000148

3

$565.97M
ITC, KLAC, MEDIVATION INC
NEW HOLDINGS
Nov 14, 2016
000159508216000147

149

$2.23B
BMCH, NVDA 1 12/01/18, CPGX, AWN
13F-HR
Aug 15, 2016
000159508216000129

1

$84.99M
ALR
NEW HOLDINGS
Nov 14, 2017
000159508217000091

1

$26.95M
RADG
NEW HOLDINGS
Aug 14, 2017
000159508217000061

1

$170.90M
HUM
NEW HOLDINGS
May 15, 2017
000159508217000030

1

$43.98M
IM
NEW HOLDINGS
Feb 14, 2017
000159508217000010

1

$79.00M
HOT
NEW HOLDINGS
Nov 14, 2016
000159508216000146

3

$467.67M
2258717D, ITC, VMW
NEW HOLDINGS
Nov 14, 2016
000159508216000145

1

$72.14M
KLAC
NEW HOLDINGS
Nov 14, 2016
000159508216000144

1

$9.63M
VALSPAR CORP
NEW HOLDINGS
Aug 15, 2016
000159508216000126

3

$101.06M
CPGX, FCS, 1436513D
NEW HOLDINGS
Aug 15, 2016
000159508216000125

2

$451.91M
BXLT, ARG
NEW HOLDINGS
Aug 15, 2016
000159508216000124

4

$706.15M
TIME WARNER CABLE INC, SSK, 9995522D, SPLS
NEW HOLDINGS
Aug 15, 2016
000159508216000123

128

$2.50B
ALLERGAN PLC, BMCH, JAH, FTR 11.125 06/29/18 A
13F-HR
May 13, 2016
000159508216000095

1

$14.54M
RADG
NEW HOLDINGS
Aug 14, 2017
000159508217000060

1

$99.23M
HUM
NEW HOLDINGS
May 15, 2017
000159508217000045

1

$35.22M
KLAC
NEW HOLDINGS
Nov 14, 2016
000159508216000143

2

$104.13M
2258717D, VMW
NEW HOLDINGS
Nov 14, 2016
000159508216000142

1

$19.23M
HOT
NEW HOLDINGS
Nov 14, 2016
000159508216000141

2

$120.80M
ARG, SSK
NEW HOLDINGS
Aug 15, 2016
000159508216000122

1

$6.59M
FCS
NEW HOLDINGS
Aug 15, 2016
000159508216000121

2

$293.05M
TIME WARNER CABLE INC, 9995522D
NEW HOLDINGS
Aug 15, 2016
000159508216000120

3

$117.50M
CVC, JAH, WMB
NEW HOLDINGS
May 13, 2016
000159508216000102

2

$158.04M
ALLERGAN PLC, HNT
NEW HOLDINGS
May 13, 2016
000159508216000101

7

$437.99M
GMCR, SOLERA HOLDINGS INC, YOKU, POM
NEW HOLDINGS
May 13, 2016
000159508216000100

127

$4.19B
PCP, BDMA, BMCH, 9876566D
13F-HR
Feb 16, 2016
000159508216000069

1

$41.96M
HUM
NEW HOLDINGS
May 15, 2017
000159508217000032

1

$30.62M
9995522D
NEW HOLDINGS
Aug 15, 2016
000159508216000119

1

$262.16M
TIME WARNER CABLE INC
NEW HOLDINGS
Aug 15, 2016
000159508216000118

1

$104.94M
9999945D
NEW HOLDINGS
May 13, 2016
000159508216000099

1

$93.64M
CVC
NEW HOLDINGS
May 13, 2016
000159508216000098

3

$134.57M
SOLERA HOLDINGS INC, CAM, POM
NEW HOLDINGS
May 13, 2016
000159508216000097

2

$56.23M
LIBERTY GLOBAL PLC, SYA
NEW HOLDINGS
Feb 16, 2016
000159508216000083

9

$1.54B
PCP, BDMA, 9876566D, 1541931D
NEW HOLDINGS
Feb 16, 2016
000159508216000082

6

$390.65M
PERRIGO CO PLC, 1892122D, TOWERS WATSON & CO, WILLIS GROUP HOLDINGS PUBLIC
NEW HOLDINGS
Feb 16, 2016
000159508216000081

136

$2.99B
1697067D, 1697067D, SIAL, CYN
13F-HR
Nov 16, 2015
000159508215000060

1

$4.78M
HUM
NEW HOLDINGS
May 15, 2017
000159508217000031

1

$153.79M
TIME WARNER CABLE INC
NEW HOLDINGS
Aug 15, 2016
000159508216000117

1

$4.86M
9999945D
NEW HOLDINGS
May 13, 2016
000159508216000096

2

$109.43M
LIBERTY GLOBAL PLC, PERRIGO CO PLC
NEW HOLDINGS
Feb 16, 2016
000159508216000080

3

$275.38M
BDMA, 1541931D, PARTNERRE LTD
NEW HOLDINGS
Feb 16, 2016
000159508216000079

3

$92.76M
MYLAN N V, HOT, AETNA INC NEW
NEW HOLDINGS
Nov 16, 2015
000159508215000059

9

$685.06M
1684442D, CYN, 9876540D, 9876540D
NEW HOLDINGS
Nov 16, 2015
000159508215000058

5

$956.68M
HOS, OCR, SIAL, 2318580D
NEW HOLDINGS
Nov 16, 2015
000159508215000057

147

$3.82B
1448062D, CCT, DRC, ALXN
13F-HR
Aug 14, 2015
000159508215000046

1

$1.81M
GLPI
NEW HOLDINGS
Feb 16, 2016
000159508216000078

1

$10.66M
MYLAN N V
NEW HOLDINGS
Nov 16, 2015
000159508215000056

4

$476.74M
HOS, CYN, HCBK, BHI
NEW HOLDINGS
Nov 16, 2015
000159508215000055

1

$4.60M
INZ
NEW HOLDINGS
Nov 16, 2015
000159508215000054

1

$149.88M
SIAL
NEW HOLDINGS
Nov 16, 2015
000159508215000053

2

$67.23M
CCT, ORBITZ WORLDWIDE INC
NEW HOLDINGS
Aug 14, 2015
000159508215000045

5

$412.33M
FDO, DRC, 1508335D, CYBX
NEW HOLDINGS
Aug 14, 2015
000159508215000044

12

$1.53B
TRW AUTOMOTIVE HLDGS CORP, 1448062D, PCYC, T
NEW HOLDINGS
Aug 14, 2015
000159508215000043

121

$2.08B
SALIX PHARMACEUTICALS INC, TIME WARNER CABLE INC, UHH, SALLY BEAUTY HLDGS INC
13F-HR
May 15, 2015
000159508215000031

1

$7.01M
BHI
NEW HOLDINGS
Nov 16, 2015
000159508215000052

1

$79.25M
SIAL
NEW HOLDINGS
Nov 16, 2015
000159508215000051

2

$194.72M
DRC, LO
NEW HOLDINGS
Aug 14, 2015
000159508215000042

5

$569.79M
1448062D, T, TRW AUTOMOTIVE HLDGS CORP, FDO
NEW HOLDINGS
Aug 14, 2015
000159508215000041

2

$221.53M
TIME WARNER CABLE INC, CMCSA
NEW HOLDINGS
May 15, 2015
000159508215000029

5

$904.58M
1284849D, CFN, PETM, UHH
NEW HOLDINGS
May 15, 2015
000159508215000027

1

$234.99M
CVD
NEW HOLDINGS
May 15, 2015
000159508215000025

1

$6.29M
ELBIT IMAGING LTD
NEW HOLDINGS
May 15, 2015
000159508215000017

120

$3.13B
COVIDIEN PLC, CBST, ALLY, 1938828D
13F-HR
Feb 13, 2015
000159508215000009

1

$25.41M
SIAL
NEW HOLDINGS
Nov 16, 2015
000159508215000063

2

$252.03M
DRC, FDO
NEW HOLDINGS
Aug 14, 2015
000159508215000040

5

$618.98M
1448062D, TRW AUTOMOTIVE HLDGS CORP, T, LO
NEW HOLDINGS
Aug 14, 2015
000159508215000039

1

$125.64M
1284849D
NEW HOLDINGS
May 15, 2015
000159508215000022

2

$353.30M
TIME WARNER CABLE INC, 9876544D
NEW HOLDINGS
May 15, 2015
000159508215000021

1

$11.64M
ELBIT IMAGING LTD
NEW HOLDINGS
May 15, 2015
000159508215000016

2

$65.00M
DG, TIM HORTONS INC
NEW HOLDINGS
Feb 13, 2015
000159508215000008

3

$66.31M
1519128D, 1938828D, MGAM
NEW HOLDINGS
Feb 13, 2015
000159508215000007

3

$589.93M
COVIDIEN PLC, CNQR, PL
NEW HOLDINGS
Feb 13, 2015
000159508215000006

5

$162.45M
KMP, SAFEWAY INC, TIBCO SOFTWARE INC, EPB
NEW HOLDINGS
Feb 13, 2015
000159508215000005

137

$2.11B
ALLY, SHPG, ATHL, PFE
13F-HR
Nov 14, 2014
000159508214000032

4

$169.50M
1448062D, T, LO, RAI
NEW HOLDINGS
Aug 14, 2015
000159508215000038

1

$203.06M
TIME WARNER CABLE INC
NEW HOLDINGS
May 15, 2015
000159508215000020

1

$82.33M
1284849D
NEW HOLDINGS
May 15, 2015
000159508215000019

1

$14.48M
ELBIT IMAGING LTD
NEW HOLDINGS
May 15, 2015
000159508215000015

2

$260.21M
COVIDIEN PLC, PL
NEW HOLDINGS
Feb 13, 2015
000159508215000004

1

$82.87M
SAFEWAY INC
NEW HOLDINGS
Feb 13, 2015
000159508215000003

4

$128.57M
HCBK, MEAS, FOSTER WHEELER AG, TWTC
NEW HOLDINGS
Nov 14, 2014
000159508214000031

3

$212.46M
HSH, MCRS, QPH
NEW HOLDINGS
Nov 14, 2014
000159508214000030

124

$2.22B
1858968D, ALLY, ARCELORMITTAL SA LUXEMBOURG, AWN
13F-HR
Aug 14, 2014
000159508214000025

1

$118.24M
TIME WARNER CABLE INC
NEW HOLDINGS
May 15, 2015
000159508215000018

1

$18.64M
ELBIT IMAGING LTD
NEW HOLDINGS
May 15, 2015
000159508215000014

1

$101.08M
SAFEWAY INC
NEW HOLDINGS
Feb 13, 2015
000159508215000002

2

$77.41M
HCBK, FOSTER WHEELER AG
NEW HOLDINGS
Nov 14, 2014
000159508214000029

1

$13.21M
UNS
NEW HOLDINGS
Aug 14, 2014
000159508214000024

2

$213.41M
1858968D, BROOKFIELD PPTY PARTNERS L P
NEW HOLDINGS
Aug 14, 2014
000159508214000023

130

$2.21B
GILD 1 05/01/14 C, BJM, SIG, ARCELORMITTAL SA LUXEMBOURG
13F-HR
May 15, 2014
000159508214000017