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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
1 JARDEN CORP 10,500,000 122,259 10.60% PRN
2 GILEAD SCIENCES 6,200,000 31,969 2.77% PRN
3 Macquarie Infrastructure Corp 20,600,000 24,269 2.10% PRN
4 PRICELINE GRP INC SR CONV NT 1 18 18,200,000 24,229 2.10% PRN
5 LAM RESEARCH CORP 16,000,000 21,220 1.84% PRN
6 Anthem Inc 395,000 20,813 1.80% PRN
7 INTEL CORP JR SB CONV DB 39 13,000,000 19,776 1.71% PRN
8 Stanley Black & Decker Inc Corp Unit 137,000 19,769 1.71% PRN
9 MYLAN INC 3,800,000 19,311 1.67% PRN
10 UNITED TECHNOLOGIES CORP 300,000 17,190 1.49% PRN
11 RPM INTL INC SR GLBL CV NT 20 14,000,000 16,293 1.41% PRN
12 ENERSYS 9,250,000 15,962 1.38% PRN
13 GREEN PLAINS INC 10,900,000 15,825 1.37% PRN
14 ARES CAP CORP 15,300,000 15,606 1.35% PRN
15 ROPER TECHNOLOGIES INC 7,100,000 15,518 1.34% PRN
16 Mentor Graphics Corp 11,350,000 15,351 1.33% PRN
17 LABORATORY CORP AMER HLDGS NOTE 9/1 9,350,000 15,176 1.32% PRN
18 NXP SEMICONDUCTOR NV 1.000% 12/01/19 SR:144A CVT 12,000,000 13,988 1.21% PRN
19 XILINX INC SR NT CV2.625 17 9,000,000 13,911 1.21% PRN
20 Dominion Resources Inc/VA 285,000 13,580 1.18% PRN
21 WESCO INTL INC 5,496,000 13,307 1.15% PRN
22 MGIC INVT CORP WIS SR CONV NT 2 20 7,900,000 13,154 1.14% PRN
23 J2 GLOBAL INC SR CV NT 3.25 29 11,000,000 12,753 1.11% PRN
24 BIOMARIN PHARMACEUTICAL INC SR SB CONV NT 20 8,000,000 12,740 1.10% PRN
25 ALLERGAN PLC 12,000 12,511 1.08% PRN
26 CHART INDS INC SR SB GLBL CV 18 12,700,000 12,271 1.06% PRN
27 KeyCorp NEW 92,000 12,052 1.04% PRN
28 VECTOR GROUP LTD 11,000,000 12,045 1.04% PRN
29 SANDISK CORP 9,300,000 12,026 1.04% PRN
30 TPG Specialty Lending Inc 12,000,000 11,888 1.03% PRN
31 FRONTIER COMMUNICATIONS CORPORTION PFD CONV SER-A 115,000 11,435 0.99% PRN
32 TAKE-TWO INTERACTIVE SOFTWARE SR GLBL CV NT 18 8,000,000 11,080 0.96% PRN
33 TESLA INC 11,000,000 10,759 0.93% PRN
34 VERINT SYS INC 1.5 06/01/2021 9,500,000 10,747 0.93% PRN
35 SEACOR HOLDINGS INC 11,900,000 10,591 0.92% PRN
36 BOTTOMLINE TECH DEL INC SR CONV NT1.5 17 9,500,000 10,557 0.91% PRN
37 CHESAPEAKE ENERGY CORP 10,400,000 10,296 0.89% PRN
38 DEPOMED INC NOTE 2.500 9/0 8,000,000 10,250 0.89% PRN
39 STARWOOD PPTY TR INC SR CV NT 3.75 17 10,000,000 10,069 0.87% PRN
40 EMERGENT BIOSOLUTIONS INC NOTE 2.875 1/1 8,000,000 9,910 0.86% PRN
41 SPECTRANETICS CORP 9,500,000 9,785 0.85% PRN
42 WABASH NATL CORP SR NT CV3.375 18 7,700,000 9,673 0.84% PRN
43 AIRTRAN HLDGS INC NOTE 5.250%11/0 4,250,000 9,563 0.83% PRN
44 NVIDIA CORP SR CONV NT 1 18 8,000,000 9,165 0.79% PRN
45 ANI PHARMACEUTICALS INC 8,000,000 9,120 0.79% PRN
46 BROOKDALE SR LIVING INC 6,900,000 9,000 0.78% PRN
47 NEW YORK CMNTY CAP TR V BIFURCATED OPT NT UNIT SECS BONUSES 175,000 8,838 0.77% PRN
48 ECHO GLOBAL LOGISTICS INC SR CONV NT2.5 20 8,000,000 8,590 0.74% PRN
49 PDL BIOPHARMA INC 8,960,000 8,495 0.74% PRN
50 FIDELITY NATIONAL FINANCIAL IN SR CV NT 4.25 18 4,124,000 8,439 0.73% PRN
Page 1 of 12
Restatement filing (0001640801-15-000005) filed in 2015.08.14
#
Name
Shares
Value ($)
%
Options
Notes
51 AIRTRAN HLDGS INC NOTE 5.250%11/0 4,250,000 9,563 0.83% PRN
52 NVIDIA CORP SR CONV NT 1 18 8,000,000 9,165 0.79% PRN
53 ANI PHARMACEUTICALS INC 8,000,000 9,120 0.79% PRN
54 BROOKDALE SR LIVING INC 6,900,000 9,000 0.78% PRN
55 NEW YORK CMNTY CAP TR V BIFURCATED OPT NT UNIT SECS BONUSES 175,000 8,838 0.77% PRN
56 ECHO GLOBAL LOGISTICS INC SR CONV NT2.5 20 8,000,000 8,590 0.74% PRN
57 PDL BIOPHARMA INC 8,960,000 8,495 0.74% PRN
58 FIDELITY NATIONAL FINANCIAL IN SR CV NT 4.25 18 4,124,000 8,439 0.73% PRN
59 HORNBECK OFFSHORE SVCS INC NEW SR CONV NT1.5 19 10,300,000 8,407 0.73% PRN
60 NEWPARK RES INC SR NT CV 4 17 8,000,000 8,390 0.73% PRN
61 IRIDIUM COMMUNICATIONS INC 24,000 7,998 0.69% PRN
62 QUIDEL CORP 8,000,000 7,985 0.69% PRN
63 RAYONIER TRS HLDGS INC 7,000,000 7,884 0.68% PRN
64 POWERSHS DB MULTI SECT COMM 534,003 7,796 0.68%
65 STILLWATER MNG CO 7,200,000 7,700 0.67% PRN
66 LIBERTY MEDIA CORP DELAWARE 8,000,000 7,600 0.66% PRN
67 ENCORE CAP GROUP INC 8,000,000 7,430 0.64% PRN
68 GENESEE & WYOMING INC 5.000% 1 73,000 7,264 0.63% PRN
69 POWERSHS DB MULTI SECT COMM 283,659 4,890 0.42%
70 UNITED STATES NATL GAS FUND 243,851 3,307 0.29%
71 APPLE INC 25,244 3,166 0.27%
72 MICROSOFT CORP 35,447 1,565 0.14%
73 EXXON MOBIL CORP 18,321 1,524 0.13%
74 IDERA PHARMACEUTICALS INCORPORATED COM NEW 371,759 1,379 0.12%
75 JOHNSON & JOHNSON 12,151 1,184 0.10%
76 GENERAL ELECTRIC CO 44,150 1,173 0.10%
77 WELLS FARGO & CO NEW 20,532 1,155 0.10%
78 JPMORGAN CHASE & CO 16,262 1,102 0.10%
79 BERKSHIRE HATHAWAY INC DEL 7,991 1,088 0.09%
80 MERITAGE HOMES CORP 900,000 953 0.08% PRN
81 PROCTER AND GAMBLE CO 11,887 930 0.08%
82 PFIZER INC 26,981 905 0.08%
83 VERIZON COMMUNICATIONS INC 17,872 833 0.07%
84 UNITED STS 12 MONTH OIL FD L 30,652 821 0.07%
85 AT&T INC 22,754 808 0.07%
86 CHEVRON CORP NEW 8,239 795 0.07%
87 FACEBOOK INC 9,228 791 0.07%
88 BANK AMER CORP 46,010 783 0.07%
89 DISNEY WALT CO 6,838 780 0.07%
90 GILEAD SCIENCES INC 6,440 754 0.07%
91 CITIGROUPINC 13,294 734 0.06%
92 AMAZON COM INC 1,673 726 0.06%
93 MERCK & CO INC 12,380 705 0.06%
94 ISHARES NASDAQ BIOTECHNOLOGY ETF 1,254 677 0.06%
95 COCA COLA CO 17,187 674 0.06%
96 COMCAST CORP NEW 11,014 662 0.06%
97 GOOGLE INC 1,257 654 0.06%
98 INTERNATIONAL BUSINESS MACHS 4,020 654 0.06%
99 HOME DEPOT INC 5,692 633 0.05%
100 INTEL CORP 20,787 632 0.05%
Page 2 of 12