13F.
SOROS FUND MANAGEMENT LLC
13F-HR

Q1 2017

Period Mar 31, 2017Filed May 15, 2017View on EDGAR ↗
Positions
260
Total value
$4.96B
Top 10 concentration
51.1%
New positions
162

Exited positionsvs. Q4 2016

  • SELECT SECTOR SPDR TR ($72.66M)
  • ISHARES TR ($63.02M)
  • NOVATEL WIRELESS INC ($49.08M)
  • UNITED RENTALS INC ($36.69M)
  • TRAVELPORT WORLDWIDE LTD ($33.84M)
  • GOLDMAN SACHS GROUP INC ($33.28M)
  • FACEBOOK INC ($32.9M)
  • KOHLS CORP ($29.67M)

Holdings · 260

#Class
1
LIBERTY BROADBAND CORP
530307305
COM SER C$683.48M13.78%7,910,662-5.0%
2
ISHARES TR
464287655 · Put
RUSSELL 2000 ETF$459.6M9.26%3,343,000+36.4%
3
SPDR S&P 500 ETF TR
78462F103 · Put
TR UNIT$304.72M6.14%1,292,600+162.2%
4
FIREEYE INC
31816QAB7
NOTE 1.000% 6/0$231.85M4.67%245,672,000+10.6%
5
NUANCE COMMUNICATIONS INC
67020YAF7
NOTE 2.750%11/0$191.81M3.87%190,259,000
6
JDS UNIPHASE CORP
46612JAF8
DBCV 0.625% 8/1$163.44M3.29%146,257,000-41.1%
7
ROVI CORP
779376AD4
NOTE 0.500% 3/0$158.9M3.20%160,807,000+90.7%
8
INVENSENSE INC
46123DAB2
NOTE 1.750%11/0$135.92M2.74%136,863,000+12.4%
9
ADECOAGRO S A
L00849106
COM$102.19M2.06%8,917,157-25.2%
10
SERVICESOURCE INTL INC
81763UAB6
NOTE 1.500% 8/0$101.34M2.04%103,938,000+126.7%
11
FACEBOOK INC
30303M102
CL A$90.64M1.83%638,086+80.4%
12
CAESARS ACQUISITION CO
12768T103
CL A$87.86M1.77%5,705,079
13
PROS HOLDINGS INC
74346YAB9
NOTE 2.000%12/0$87.56M1.77%86,102,000
14
WILLIAMS COS INC DEL
969457100
COM$80.41M1.62%2,717,421+15.6%
15
TIVO CORP
88870P106
COM$80M1.61%4,266,666+9.6%
16
HEWLETT PACKARD ENTERPRISE C
42824C109
COM$75.86M1.53%3,201,009+199.7%
17
TWITTER INC
90184LAB8
NOTE 0.250% 9/1$74.06M1.49%78,469,000
18
CALAMP CORP
128126AB5
NOTE 1.625% 5/1$72.99M1.47%73,172,000+31.9%
19
LAM RESEARCH CORP
512807108
COM$71.98M1.45%560,753New
20
CHURCHILL DOWNS INC
171484108
COM$61.54M1.24%387,381
21
MONDELEZ INTL INC
609207105
CL A$53.33M1.08%1,238,031+169.1%
22
INSEEGO CORP
45782BAA2
NOTE 5.500% 6/1$46.44M0.94%52,769,000New
23
TIME WARNER INC
887317303
COM NEW$45.6M0.92%466,727+7.5%
24
ZOETIS INC
98978V103
CL A$43.15M0.87%808,419
25
NUANCE COMMUNICATIONS INC
67020YAK6
DBCV 1.000%12/1$40.07M0.81%41,879,000+23.2%
26
SNAP INC
83304A106
CL A$37.18M0.75%1,650,000New
27
SYMANTEC CORP
871503108
COM$36.8M0.74%1,199,328+178.6%
28
REYNOLDS AMERICAN INC
761713106
COM$36.58M0.74%580,470+965.1%
29
PAYPAL HLDGS INC
70450Y103
COM$35.09M0.71%815,613+1.0%
30
C&J ENERGY SVCS INC NEW
12674R100
COM$34.05M0.69%1,000,000New
31
SELECT SECTOR SPDR TR
81369Y704 · Put
SBI INT-INDS$33.83M0.68%520,000-58.4%
32
NXP SEMICONDUCTORS N V
N6596X109
COM$33.48M0.67%323,500+79.3%
33
T MOBILE US INC
872590104
COM$31.2M0.63%483,000-29.6%
34
CALIFORNIA RES CORP
13057Q206
COM NEW$30.08M0.61%2,000,000
35
SBA COMMUNICATIONS CORP NEW
78410G104
CL A$29.21M0.59%242,700New
36
KEY ENERGY SVCS INC DEL
49309J103
COM$28.99M0.58%1,248,468-32.5%
37
MODEL N INC
607525102
COM$28.89M0.58%2,765,000
38
GRUPO SUPERVIELLE S A
40054A108
SPONSORED ADR$28.41M0.57%1,671,384-16.5%
39
CAESARS ENTMT CORP
127686103
COM$28.23M0.57%2,956,417
40
SPDR SERIES TRUST
78464A730 · Call
S&P OILGAS EXP$28.08M0.57%750,000New
41
TAKE-TWO INTERACTIVE SOFTWAR
874054109
COM$27.27M0.55%460,100New
42
CONDUENT INC
206787103
COM$26.68M0.54%1,590,174New
43
MAKEMYTRIP LIMITED MAURITIUS
V5633W109
SHS$26.62M0.54%769,358+12.6%
44
SIGMA DESIGNS INC
826565103
COM$23.13M0.47%3,700,000+136.2%
45
DELL TECHNOLOGIES INC
24703L103
COM CL V$22.12M0.45%345,200+70.0%
46
CORNERSTONE ONDEMAND INC
21925YAB9
NOTE 1.500% 7/0$22.02M0.44%21,500,000
47
KRAFT HEINZ CO
500754106
COM$21.41M0.43%235,733+2.2%
48
CONOCOPHILLIPS
20825C104
COM$20.07M0.40%402,500New
49
GOLDMAN SACHS GROUP INC
38141G104
COM$19.94M0.40%86,800+39.8%
50
NETFLIX INC
64110L106
COM$19.51M0.39%131,966-12.9%
51
TEVA PHARMACEUTICAL INDS LTD
881624209 · Put
SPONSORED ADR$19.25M0.39%600,000New
52
VMWARE INC
928563402
CL A COM$18.7M0.38%202,900+331.7%
53
EDGEWELL PERS CARE CO
28035Q102
COM$18.56M0.37%253,720+56.4%
54
MEAD JOHNSON NUTRITION CO
582839106
COM$18.33M0.37%205,750+32.3%
55
EXA CORP
300614500
COM$18.01M0.36%1,418,369+3.0%
56
DEVRY ED GROUP INC
251893103
COM$16.75M0.34%472,549-5.5%
57
ALLOT COMMUNICATIONS LTD
M0854Q105
SHS$16.22M0.33%3,406,666+2.4%
58
NOMAD HLDGS LTD
G6564A105
USD ORD SHS$15.24M0.31%1,330,789+544.9%
59
FIREEYE INC
31816QAD3
NOTE 1.625% 6/0$14.41M0.29%16,000,000+33.3%
60
WEB COM GROUP INC
94733AAA2
NOTE 1.000% 8/1$14.11M0.28%14,437,000New
61
LIBERTY MEDIA CORP DELAWARE
531229870
COM SER A FRMLA$13.91M0.28%425,376New
62
INTERXION HOLDING N.V
N47279109
SHS$13.85M0.28%350,000New
63
CITRIX SYS INC
177376100
COM$13.76M0.28%165,000New
64
LAMB WESTON HLDGS INC
513272104
COM$13.75M0.28%326,999+11.7%
65
ROYAL BK SCOTLAND GROUP PLC
780097BB6
NOTE 8.625%12/3$13.59M0.27%13,000,000
66
PIONEER NAT RES CO
723787107
COM$13.54M0.27%72,700New
67
ISHARES
464286400 · Put
MSCI BRZ CAP ETF$13.39M0.27%357,500New
68
MAXLINEAR INC
57776J100
COM$12.69M0.26%452,306New
69
SPDR S&P 500 ETF TR
78462F103
TR UNIT$12.26M0.25%52,000+0.4%
70
GIGAMON INC
37518B102
COM$11.97M0.24%336,666New
71
NEWSTAR FINANCIAL INC
65251F105
COM$11.72M0.24%1,107,683
72
ACTIVISION BLIZZARD INC
00507V109
COM$11.64M0.23%233,500New
73
ALIBABA GROUP HLDG LTD
01609W102
SPONSORED ADS$11.56M0.23%107,200New
74
TRIPADVISOR INC
896945201
COM$10.76M0.22%249,280+1269.2%
75
KINDER MORGAN INC DEL
49456B101
COM$10.59M0.21%486,978New
76
LEVEL 3 COMMUNICATIONS INC
52729N308
COM NEW$10.37M0.21%181,250+92.9%
77
STANDARD CHARTERED PLC
G84228CQ9
DEBT 7.500%12/3$10.36M0.21%10,000,000
78
STANDARD CHARTERED PLC
G84228CX4
DEBT 7.750%12/3$10.33M0.21%10,000,000New
79
CYBERARK SOFTWARE LTD
M2682V108
SHS$9.49M0.19%186,565-32.2%
80
CREDIT ACCEP CORP MICH
225310101
COM$9.27M0.19%46,500
81
ORACLE CORP
68389X105
COM$8.7M0.18%195,000New
82
KINDER MORGAN INC DEL
49456B101 · Call
COM$8.7M0.18%400,000New
83
YANDEX N V
N97284108
SHS CLASS A$8.65M0.17%394,370New
84
QUANTUM CORP
747906204
COM DSSG$8.27M0.17%9,508,773-5.6%
85
SYNGENTA AG
87160A100
SPONSORED ADR$8.08M0.16%91,334New
86
COMMSCOPE HLDG CO INC
20337X109
COM$7.93M0.16%190,000New
87
WAYFAIR INC
94419L101
CL A$7.65M0.15%189,000+39.5%
88
AMAYA INC
02314M108
COM$7.65M0.15%450,000New
89
WHOLE FOODS MKT INC
966837106
COM$7.53M0.15%253,400-22.7%
90
BAZAARVOICE INC
073271108
COM$7.17M0.14%1,666,666+135.8%
91
WHIRLPOOL CORP
963320106
COM$7.06M0.14%41,200-29.8%
92
CITIGROUP INC
172967424
COM NEW$6.57M0.13%109,800New
93
EXFO INC
302046107
SUB VTG SHS$6.47M0.13%1,245,074-5.2%
94
T MOBILE US INC
872590104 · Call
COM$6.41M0.13%99,300New
95
SELECT SECTOR SPDR TR
81369Y886 · Put
SBI INT-UTILS$5.77M0.12%112,500New
96
LIBERTY MEDIA CORP DELAWARE
531229854
COM SER C FRMLA$5.26M0.11%153,929New
97
TELECOM ARGENTINA S A
879273209
SPON ADR REP B$5.18M0.10%233,442New
98
PHILIP MORRIS INTL INC
718172109
COM$5.13M0.10%45,413New
99
AMERICAN AIRLS GROUP INC
02376R102
COM$4.95M0.10%116,950+462.3%
100
SCRIPPS NETWORKS INTERACT IN
811065101
CL A COM$4.95M0.10%63,100New
101
MONSANTO CO NEW
61166W101
COM$4.91M0.10%43,344New
102
INVENSENSE INC
46123D205
COM$4.81M0.10%380,622-70.9%
103
AIRGAIN INC
00938A104
COM$4.8M0.10%316,666+90.0%
104
DISH NETWORK CORP
25470M109
CL A$4.55M0.09%71,602
105
NORTHROP GRUMMAN CORP
666807102
COM$4.52M0.09%18,988+216.5%
106
ABEONA THERAPEUTICS INC
00289Y107
COM$4.48M0.09%896,642
107
MOBILEYE N V AMSTELVEEN
N51488117
ORD SHS$4.02M0.08%65,500New
108
VIAVI SOLUTIONS INC
925550105
COM$4M0.08%372,666-70.6%
109
INC RESH HLDGS INC
45329R109
CL A$3.88M0.08%84,700New
110
SERVICESOURCE INTL INC
81763U100
COM$3.87M0.08%998,125+128.6%
111
CME GROUP INC
12572Q105
COM$3.56M0.07%30,000
112
ENERGEN CORP
29265N108
COM$3.55M0.07%65,200New
113
UNITED CONTL HLDGS INC
910047109
COM$3.54M0.07%50,100New
114
CONTROLADORA VUELA CIA DE AV
21240E105
SPON ADR RP 10$3.53M0.07%253,000New
115
MELLANOX TECHNOLOGIES LTD
M51363113
SHS$3.4M0.07%66,666-54.5%
116
PLATFORM SPECIALTY PRODS COR
72766Q105
COM$3.22M0.06%247,076New
117
DELUXE CORP
248019101
COM$3.18M0.06%44,124New
118
CABOT OIL & GAS CORP
127097103
COM$3.1M0.06%129,700New
119
PJT PARTNERS INC
69343T107
COM CL A$2.86M0.06%81,400New
120
TESLA INC
88160RAD3
NOTE 2.375% 3/1$2.62M0.05%2,500,000New
121
FIREEYE INC
31816Q101
COM$2.61M0.05%206,666New
122
CHARTER COMMUNICATIONS INC N
16119P108
CL A$2.58M0.05%7,875-3.2%
123
UBIQUITI NETWORKS INC
90347A100
COM$2.34M0.05%46,499-72.3%
124
GRANA Y MONTERO S A A
38500P208
SPONSORED ADR$2.28M0.05%727,932New
125
SELECT SECTOR SPDR TR
81369Y506
SBI INT-ENERGY$2.09M0.04%29,900-59.6%
126
MOLSON COORS BREWING CO
60871R209
CL B$2.04M0.04%21,300
127
DSP GROUP INC
23332B106
COM$2M0.04%166,666+92.3%
128
TESLA INC
88160RAC5
NOTE 1.250% 3/0$1.97M0.04%2,000,000
129
TRACTOR SUPPLY CO
892356106
COM$1.81M0.04%26,300New
130
DIGIMARC CORP NEW
25381B101
COM$1.8M0.04%66,666
131
RICE ENERGY INC
762760106
COM$1.78M0.04%75,000New
132
GOODYEAR TIRE & RUBR CO
382550101
COM$1.67M0.03%46,500New
133
CONCHO RES INC
20605P101
COM$1.48M0.03%11,500New
134
CALIX INC
13100M509
COM$1.45M0.03%199,600New
135
PAMPA ENERGIA S A
697660207
SPONS ADR LVL I$1.37M0.03%25,338New
136
VISA INC
92826C839
COM CL A$1.27M0.03%14,300New
137
RUBICON PROJ INC
78112V102
COM$1.18M0.02%200,666New
138
ALPHABET INC
02079K305
CAP STK CL A$1.1M0.02%1,300New
139
INTERNATIONAL BUSINESS MACHS
459200101
COM$1.08M0.02%6,200New
140
STANLEY BLACK & DECKER INC
854502101
COM$1.08M0.02%8,100New
141
CISCO SYS INC
17275R102
COM$1.08M0.02%31,800New
142
CENTERPOINT ENERGY INC
15189T107
COM$1.07M0.02%38,900New
143
HARRIS CORP DEL
413875105
COM$1.07M0.02%9,600New
144
MASTERCARD INCORPORATED
57636Q104
CL A$1.07M0.02%9,500New
145
PFIZER INC
717081103
COM$1.07M0.02%31,200New
146
ECOLAB INC
278865100
COM$1.07M0.02%8,500New
147
CHEVRON CORP NEW
166764100
COM$1.06M0.02%9,900New
148
DOW CHEM CO
260543103
COM$1.06M0.02%16,700New
149
US BANCORP DEL
902973304
COM NEW$1.06M0.02%20,600New
150
LIONS GATE ENTMNT CORP
535919401
CL A VTG$1.03M0.02%38,590-5.4%
151
KATE SPADE & CO
485865109
COM$985K0.02%42,400New
152
GENCO SHIPPING & TRADING LTD
Y2685T131
SHS$935K0.02%74,783
153
MICROSOFT CORP
594918104
COM$843K0.02%12,800+220.0%
154
GLOBALSTAR INC
378973408
COM$800K0.02%500,000
155
BUFFALO WILD WINGS INC
119848109
COM$794K0.02%5,200New
156
ABEONA THERAPEUTICS INC
00289Y115
*W EXP 12/22/201$733K0.01%250,000
157
ADOBE SYS INC
00724F101
COM$729K0.01%5,600New
158
RYMAN HOSPITALITY PPTYS INC
78377T107
COM$686K0.01%11,100New
159
IAC INTERACTIVECORP
44919P508
COM$663K0.01%9,000New
160
COGENT COMMUNICATIONS HLDGS
19239V302
COM NEW$629K0.01%14,600New
161
MATCH GROUP INC
57665R106
COM$598K0.01%36,600+144.0%
162
SPIRIT AIRLS INC
848577102
COM$584K0.01%11,000New
163
CONSTELLATION BRANDS INC
21036P108
CL A$583K0.01%3,600New
164
PAPA JOHNS INTL INC
698813102
COM$576K0.01%7,200New
165
ABERCROMBIE & FITCH CO
002896207
CL A$563K0.01%47,200New
166
CONAGRA BRANDS INC
205887102
COM$561K0.01%13,900New
167
AMERICAN EAGLE OUTFITTERS NE
02553E106
COM$556K0.01%39,600New
168
AUTODESK INC
052769106
COM$536K0.01%6,200New
169
CABELAS INC
126804301
COM$510K0.01%9,600New
170
ETSY INC
29786A106
COM$510K0.01%48,000New
171
GODADDY INC
380237107
CL A$493K0.01%13,000New
172
NEW RELIC INC
64829B100
COM$493K0.01%13,300New
173
CBS CORP NEW
124857202
CL B$465K0.01%6,700New
174
ALLIANCE ONE INTL INC
018772301
COM NEW$464K0.01%36,099
175
NEOPHOTONICS CORP
64051T100
COM$458K0.01%50,870New
176
TWITTER INC
90184L102
COM$443K0.01%29,600New
177
ISHARES TR
464287556
NASDQ BIOTEC ETF$440K0.01%1,500-46.4%
178
AMERICAN TOWER CORP NEW
03027X100
COM$413K0.01%3,400New
179
DISNEY WALT CO
254687106
COM DISNEY$408K0.01%3,600New
180
WYNN RESORTS LTD
983134107
COM$401K0.01%3,500New
181
VERTEX PHARMACEUTICALS INC
92532F100
COM$394K0.01%3,600New
182
MICHAEL KORS HLDGS LTD
G60754101
SHS$389K0.01%10,200New
183
F5 NETWORKS INC
315616102
COM$385K0.01%2,700New
184
HOST HOTELS & RESORTS INC
44107P104
COM$379K0.01%20,300New
185
WEBMD HEALTH CORP
94770V102
COM$374K0.01%7,100-18.4%
186
PRICELINE GRP INC
741503403
COM NEW$356K0.01%200New
187
SONIC CORP
835451105
COM$353K0.01%13,900New
188
PENTAIR PLC
G7S00T104
SHS$333K0.01%5,300New
189
AMGEN INC
031162100
COM$328K0.01%2,000New
190
LILLY ELI & CO
532457108
COM$328K0.01%3,900New
191
TENET HEALTHCARE CORP
88033G407
COM NEW$326K0.01%18,400+36.3%
192
HERC HLDGS INC
42704L104
COM$323K0.01%6,600New
193
ALLEGION PUB LTD CO
G0176J109
ORD SHS$318K0.01%4,200New
194
JOHNSON CTLS INTL PLC
G51502105
SHS$312K0.01%7,400New
195
ULTIMATE SOFTWARE GROUP INC
90385D107
COM$312K0.01%1,600New
196
CINEMARK HOLDINGS INC
17243V102
COM$310K0.01%7,000New
197
ROPER TECHNOLOGIES INC
776696106
COM$310K0.01%1,500New
198
TRANSDIGM GROUP INC
893641100
COM$308K0.01%1,400New
199
INTUITIVE SURGICAL INC
46120E602
COM NEW$307K0.01%400New
200
ACADIA PHARMACEUTICALS INC
004225108
COM$306K0.01%8,900New
201
INTERNATIONAL FLAVORS&FRAGRA
459506101
COM$305K0.01%2,300New
202
NVIDIA CORP
67066G104
COM$305K0.01%2,800New
203
BALL CORP
058498106
COM$304K0.01%4,100New
204
ABIOMED INC
003654100
COM$300K0.01%2,400New
205
DILLARDS INC
254067101
COM$298K0.01%5,700New
206
HERBALIFE LTD
42703MAB9
COM USD SHS$297K0.01%5,100New
207
WAL-MART STORES INC
931142103
COM$296K0.01%4,100New
208
DR PEPPER SNAPPLE GROUP INC
26138E109
COM$294K0.01%3,000New
209
COACH INC
189754104
COM$293K0.01%7,100New
210
ARES CAP CORP
04010L103
COM$289K0.01%16,600New
211
AUTOZONE INC
053332102
COM$289K0.01%400New
212
LAS VEGAS SANDS CORP
517834107
COM$285K0.01%5,000New
213
SVB FINL GROUP
78486Q101
COM$279K0.01%1,500New
214
EASTMAN KODAK CO
277461406
COM NEW$277K0.01%24,123
215
WELBILT INC
949090104
COM$277K0.01%14,100New
216
EMERSON ELEC CO
291011104
COM$275K0.01%4,600New
217
HONEYWELL INTL INC
438516106
COM$275K0.01%2,200New
218
S&P GLOBAL INC
78409V104
COM$275K0.01%2,100New
219
MCCORMICK & CO INC
579780206
COM NON VTG$273K0.01%2,800New
220
FLIR SYS INC
302445101
COM$272K0.01%7,500New
221
MSCI INC
55354G100
COM$272K0.01%2,800New
222
IDEX CORP
45167R104
COM$271K0.01%2,900New
223
GLOBAL PMTS INC
37940X102
COM$266K0.01%3,300New
224
QUALITY CARE PPTYS INC
747545101
COM$266K0.01%14,100New
225
COMPUTER SCIENCES CORP
205363104
COM$262K0.01%3,800New
226
LOEWS CORP
540424108
COM$262K0.01%5,600+1.8%
227
TESARO INC
881569107
COM$262K0.01%1,700New
228
MCDONALDS CORP
580135101
COM$259K0.01%2,000New
229
SALESFORCE COM INC
79466L302
COM$256K0.01%3,100New
230
SIGNET JEWELERS LIMITED
G81276100
SHS$256K0.01%3,700New
231
SPLUNK INC
848637104
COM$255K0.01%4,100New
232
MAXIM INTEGRATED PRODS INC
57772K101
COM$247K0.00%5,500New
233
ILLUMINA INC
452327109
COM$239K0.00%1,402New
234
DEXCOM INC
252131107
COM$237K0.00%2,800-47.2%
235
NORDSTROM INC
655664100
COM$233K0.00%5,000New
236
AGIOS PHARMACEUTICALS INC
00847X104
COM$228K0.00%3,900New
237
CBOE HLDGS INC
12503M108
COM$227K0.00%2,800New
238
ARISTA NETWORKS INC
040413106
COM$225K0.00%1,700New
239
CIRRUS LOGIC INC
172755100
COM$225K0.00%3,700New
240
CERNER CORP
156782104
COM$224K0.00%3,800New
241
SPRINT CORP
85207U105
COM SER 1$222K0.00%25,600New
242
FIRST INDUSTRIAL REALTY TRUS
32054K103
COM$218K0.00%8,200New
243
TEXAS ROADHOUSE INC
882681109
COM$218K0.00%4,900New
244
CYRUSONE INC
23283R100
COM$211K0.00%4,100New
245
MCKESSON CORP
58155Q103
COM$208K0.00%1,400New
246
EQUIFAX INC
294429105
COM$205K0.00%1,500New
247
SHOPIFY INC
82509L107
CL A$204K0.00%3,000New
248
IRON MTN INC NEW
46284V101
COM$203K0.00%5,700New
249
APPLE INC
037833100
COM$201K0.00%1,400New
250
HCP INC
40414L109
COM$200K0.00%6,400New
251
JETBLUE AIRWAYS CORP
477143101
COM$200K0.00%9,700New
252
WPX ENERGY INC
98212B103
COM$198K0.00%14,800New
253
CHESAPEAKE ENERGY CORP
165167107
COM$191K0.00%32,100New
254
CONSOL ENERGY INC
20854P109
COM$188K0.00%11,200New
255
FINISH LINE INC
317923100
CL A$169K0.00%11,900New
256
TESLA INC
88160R101
COM$111K0.00%400New
257
REX ENERGY CORPORATION
761565100
COM$77K0.00%165,000
258
EASTMAN KODAK CO
277461133
*W EXP 09/03/201$12K0.00%8,383
259
BIOAMBER INC
09072Q114
*W EXP 05/09/201$8K0.00%194,000
260
EASTMAN KODAK CO
277461141
*W EXP 09/03/201$8K0.00%8,383
Total filing value: $4.96B