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Institutional Investment Manager
GUARDIAN LIFE INSURANCE CO OF AMERICA
GUARDIAN LIFE INSURANCE CO OF AMERICA (CIK: 0000901849) incorporated in New York, located at 10 Hudson Yards, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Original 13F HR (0001640801-15-000003) filed in 2015.08.13
#
Name
Shares
Value ($)
%
Options
Notes
501 BLACKROCK INC 554 192 0.02%
502 BIOMARIN PHARMACEUTICAL INC SR SB CONV NT 20 8,000,000 12,740 1.10% PRN
503 BIOGEN INC 1,029 416 0.04%
504 BEST BUY INC 1,273 42 0.00%
505 BERKSHIRE HATHAWAY INC DEL 7,991 1,088 0.09%
506 BED BATH & BEYOND INC 751 52 0.00%
507 BECTON DICKINSON & CO 913 129 0.01%
508 BB&T CORP 3,202 129 0.01%
509 BAXTER INTL INC 2,384 167 0.01%
510 BARD C R INC 324 55 0.00%
511 BANK NEW YORK MELLON CORP 4,914 206 0.02%
512 BANK AMER CORP 46,010 783 0.07%
513 BALL CORP 601 42 0.00%
514 BAKER HUGHES INC 1,900 117 0.01%
515 Anthem Inc 395,000 20,813 1.80% PRN
516 Alcoa 5,356 60 0.01%
517 Agnico Eagle 8,510 225 0.02%
518 Adt Corp 757 25 0.00%
519 AVERY DENNISON CORP 397 24 0.00%
520 AVALONBAY COMM 577 92 0.01%
521 AVAGO TECHNOLOGIES LTD SHS 1,122 149 0.01%
522 AUTOZONE INC 140 93 0.01%
523 AUTONATION INC 325 20 0.00%
524 AUTOMATIC DATA PROCESSING IN 2,058 165 0.01%
525 AUTODESK INC 989 50 0.00%
526 AT&T INC 22,754 808 0.07%
527 ASSURANT INC 302 20 0.00%
528 ARES CAP CORP 15,300,000 15,606 1.35% PRN
529 ARCHER DANIELS MIDLAND CO 2,719 131 0.01%
530 APPLIED MATLS INC 5,396 104 0.01%
531 APPLE INC 25,244 3,166 0.27%
532 APARTMENT INVT & MGMT CO 683 25 0.00%
533 APACHE CORP 1,648 95 0.01%
534 AON PLC 1,226 122 0.01%
535 ANTHEM INC 1,160 190 0.02%
536 ANI PHARMACEUTICALS INC 8,000,000 9,120 0.79% PRN
537 ANALOG DEVICES INC 1,373 88 0.01%
538 ANADARKO PETR 2,225 174 0.02%
539 AMPHENOL CORP NEW 1,356 79 0.01%
540 AMGEN INC 3,331 511 0.04%
541 AMETEK INC NEW 1,064 58 0.01%
542 AMERISOURCEBERGEN CORP 914 97 0.01%
543 AMERIPRISE FINL INC 802 100 0.01%
544 AMERICAN TOWER CORP NEW 1,848 172 0.01%
545 AMERICAN INTL GROUP INC 5,843 361 0.03%
546 AMERICAN EXPRESS CO 3,834 298 0.03%
547 AMERICAN ELEC PWR INC 2,141 113 0.01%
548 AMERICAN AIRLS GROUP INC 3,036 121 0.01%
549 AMEREN CORP 1,063 40 0.00%
550 AMAZON COM INC 1,673 726 0.06%
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Restatement filing (0001640801-15-000005) filed in 2015.08.14
#
Name
Shares
Value ($)
%
Options
Notes
1 JARDEN CORP 10,500,000 122,259 10.60% PRN
2 ISHARES TR 331,853 41,435 3.59%
3 ISHARES TR 235,307 40,075 3.47%
4 GILEAD SCIENCES 6,200,000 31,969 2.77% PRN
5 SPDR GOLD TR 262,159 29,459 2.55%
6 POWERSHS DB MULTI SECT COMM 1,080,815 25,237 2.19%
7 Macquarie Infrastructure Corp 20,600,000 24,269 2.10% PRN
8 PRICELINE GRP INC SR CONV NT 1 18 18,200,000 24,229 2.10% PRN
9 LAM RESEARCH CORP 16,000,000 21,220 1.84% PRN
10 Anthem Inc 395,000 20,813 1.80% PRN
11 ISHARES TR 326,488 20,729 1.80%
12 Intel Corp 13,000,000 19,776 1.71% PRN
13 Stanley Black & Decker Inc Corp Unit 137,000 19,769 1.71% PRN
14 MYLAN INC 3,800,000 19,311 1.67% PRN
15 UNITED TECHNOLOGIES CORP 300,000 17,190 1.49% PRN
16 RPM INTL INC SR GLBL CV NT 20 14,000,000 16,293 1.41% PRN
17 ENERSYS 9,250,000 15,962 1.38% PRN
18 GREEN PLAINS INC 10,900,000 15,825 1.37% PRN
19 ARES CAP CORP 15,300,000 15,606 1.35% PRN
20 ROPER TECHNOLOGIES INC 7,100,000 15,518 1.34% PRN
21 Mentor Graphics Corp 11,350,000 15,351 1.33% PRN
22 LABORATORY CORP AMER HLDGS NOTE 9/1 9,350,000 15,176 1.32% PRN
23 NXP SEMICONDUCTOR NV 1.000% 12/01/19 SR:144A CVT 12,000,000 13,988 1.21% PRN
24 XILINX INC SR NT CV2.625 17 9,000,000 13,911 1.21% PRN
25 DOMINION ENERGY INC 285,000 13,580 1.18% PRN
26 WESCO INTL INC 5,496,000 13,307 1.15% PRN
27 MGIC INVT CORP WIS SR CONV NT 2 20 7,900,000 13,154 1.14% PRN
28 J2 GLOBAL INC SR CV NT 3.25 29 11,000,000 12,753 1.11% PRN
29 BIOMARIN PHARMACEUTICAL INC SR SB CONV NT 20 8,000,000 12,740 1.10% PRN
30 ISHARES SILVER TR 842,919 12,669 1.10%
31 ALLERGAN PLC 12,000 12,511 1.08% PRN
32 CHART INDS INC SR SB GLBL CV 18 12,700,000 12,271 1.06% PRN
33 KeyCorp NEW 92,000 12,052 1.04% PRN
34 VECTOR GROUP LTD 11,000,000 12,045 1.04% PRN
35 SANDISK CORP FIXED RT SR NT CONV 1.500 percent 08/15/17 B/E DTD 08/25/10 9,300,000 12,026 1.04% PRN
36 TPG Specialty Lending Inc 12,000,000 11,888 1.03% PRN
37 ISHARES TR 288,955 11,448 0.99%
38 FRONTIER COMMUNICATIONS CORPORTION PFD CONV SER-A 115,000 11,435 0.99% PRN
39 TAKE-TWO INTERACTIVE SOFTWARE INC FIXED RT CONVERTIBLE SR NT 1.000 percent 07/01/18 B/E DTD 06/18/13 8,000,000 11,080 0.96% PRN
40 TESLA INC 11,000,000 10,759 0.93% PRN
41 VERINT SYS INC 1.5 06/01/2021 9,500,000 10,747 0.93% PRN
42 SEACOR HOLDINGS INC 11,900,000 10,591 0.92% PRN
43 BOTTOMLINE TECH DEL INC SR CONV NT1.5 17 9,500,000 10,557 0.91% PRN
44 Chesapeake Energy Corp 10,400,000 10,296 0.89% PRN
45 DEPOMED INC 8,000,000 10,250 0.89% PRN
46 STARWOOD PPTY TR INC SR CV NT 3.75 17 10,000,000 10,069 0.87% PRN
47 EQUINIX INC 39,359 9,997 0.87%
48 EMERGENT BIOSOLUTIONS 2.875000 01/15/202 8,000,000 9,910 0.86% PRN
49 SPECTRANETICS CORP 9,500,000 9,785 0.85% PRN
50 WABASH NATL CORP SR NT CV3.375 18 7,700,000 9,673 0.84% PRN
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