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Institutional Investment Manager
CAMDEN ASSET MANAGEMENT L P /CA
CAMDEN ASSET MANAGEMENT L P /CA (CIK: 0000903944) incorporated in California, located at 11111 Santa Monica Blvd., Los Angeles, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 85 holdings with a total value of $2,910,956,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 WELLS FARGO & CO NEW 120,719 147,277,000 5.06%
2 TYSON FOODS INC TANG EQ UNIT 2,743,543 132,760,000 4.56%
3 Fiat Chrysler Automobiles N V Man Cov Sec 16 910,000 125,352,000 4.31%
4 ARCELORMITTAL SA LUXEMBOURG 8,094,944 121,550,000 4.18%
5 CIENA CORP 82,918,000 105,358,000 3.62% PRN
6 Huntington Bancshares Inc 68,369 91,350,000 3.14%
7 CROWN CASTLE INTL CORP NEW 840,987 87,988,000 3.02%
8 SANDISK CORP 62,656,000 85,330,000 2.93% PRN
9 SOUTHWESTERN ENERGY CO 1,649,725 83,105,000 2.85%
10 GENESEE & WYOMING INC 5.000% 1 680,679 82,614,000 2.84%
11 CONVERGYS CORP 39,093,000 81,729,000 2.81% PRN
12 KeyCorp NEW 537,701 69,565,000 2.39%
13 MICRON TECHNOLOGY 26,511,000 66,311,000 2.28% PRN
14 TELEFLEX INC 32,713,000 64,281,000 2.21% PRN
15 BANK AMER CORP 53,840 61,748,000 2.12%
16 STILLWATER MNG CO 53,783,000 61,313,000 2.11% PRN
17 CALLAWAY GOLF CO 46,034,000 58,952,000 2.03% PRN
18 MOLINA HEALTHCARE INC 33,273,000 55,982,000 1.92% PRN
19 INTEL CORP 43,545,000 54,159,000 1.86% PRN
20 TESLA MTRS INC 63,725,000 53,370,000 1.83% PRN
21 Dominion Resources Inc/VA 1,041,137 51,141,000 1.76%
22 LIBERTY MEDIA CORP 81,144,000 50,918,000 1.75% PRN
23 T MOBILE US INC 822,100 48,224,000 1.66%
24 ENDO HEALTH SOLUTIONS INC 15,583,000 47,207,000 1.62% PRN
25 FINISAR CORP 44,843,000 45,964,000 1.58% PRN
26 EMULEX CORP 1.75% CB 11/15/2018-REGISTERED 44,243,000 44,768,000 1.54% PRN
27 DOMINION RES INC VA NEW 785,000 44,109,000 1.52%
28 DOMINION RES INC VA NEW 733,000 41,349,000 1.42%
29 MEDICINES CO 34,835,000 41,301,000 1.42% PRN
30 TAKE-TWO INTERACTIVE SOFTWAR 28,046,000 39,405,000 1.35% PRN
31 GENERAL CABLE CORP DEL NEW FRNT 49,408,000 39,187,000 1.35% PRN
32 TRW AUTOMOTIVE HLDGS CORP 371,516 38,953,000 1.34%
33 CARDTRONICS INC 37,780,000 37,379,000 1.28% PRN
34 Workday Inc 29,575,000 36,728,000 1.26% PRN
35 BOTTOMLINE TECH DEL INC 33,035,000 36,483,000 1.25% PRN
36 EPR PPTYS 1,488,001 36,014,000 1.24%
37 LIBERTY MEDIA CORP 52,699,000 34,188,000 1.17% PRN
38 CEPHEID 29,360,000 32,608,000 1.12% PRN
39 MENTOR GRAPHICS CORP 25,312,000 31,577,000 1.08% PRN
40 J2 GLOBAL INC 26,750,000 30,796,000 1.06% PRN
41 TTM TECHNOLOGIES INC 24,311,000 26,605,000 0.91% PRN
42 SHUTTERFLY INC NOTE 24,962,000 24,634,000 0.85% PRN
43 EMERGENT BIOSOLUTIONS INC NOTE 21,250,000 24,557,000 0.84% PRN
44 WEB COM GROUP INC 26,044,000 23,993,000 0.82% PRN
45 COWEN GROUP INC NEW 19,578,000 22,258,000 0.76% PRN
46 COBALT INTL ENERGY INC 29,872,000 21,713,000 0.75% PRN
47 Electronic Arts, Inc. 10,683,000 19,804,000 0.68% PRN
48 DEPOMED INC 14,925,000 19,729,000 0.68% PRN
49 Royal Gold Inc 19,064,000 19,600,000 0.67% PRN
50 WORKDAY INC 15,700,000 18,811,000 0.65% PRN
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Restatement filing (0001164691-17-000081, filed 2017.05.03).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.