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Institutional Investment Manager
OAKTREE CAPITAL MANAGEMENT LP
OAKTREE CAPITAL MANAGEMENT LP (CIK: 0000949509) incorporated in Delaware, located at 333 S Grand Avenue 28th FL, Los Angeles, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Portfolio Summary: 192 holdings with a total value of $5,565,174,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 TRIBUNE MEDIA CO 14,176,353 543,663,000 9.77%
2 ALLY FINANCIAL 9,630,530 180,284,000 3.24%
3 DYNEGY INCORPORATED NEW DEL 9,524,322 136,864,000 2.46%
4 FIRST BANCORP P R COM NEW 41,843,581 122,183,000 2.20%
5 CITRIX SYS INC 98,521,000 110,004,000 1.98% PRN
6 BANNER CORP COM NEW 2,598,988 109,262,000 1.96%
7 TAIWAN SEMICONDUCTOR MFG LTD 4,460,356 101,473,000 1.82%
8 JARDEN CORP SR 74,961,000 95,115,000 1.71% PRN
9 CEMEX SAB DE CV 99,645,000 92,662,000 1.67% PRN
10 GENER8 MARITIME INC 13,052,534 92,151,000 1.66%
11 Star Bulk Carriers Corp. 114,304,005 85,729,000 1.54%
12 HERBALIFE LTD 88,521,000 85,673,000 1.54% PRN
13 JAZZ INVESTMENTS I LTD 81,496,000 84,550,000 1.52% PRN
14 NXP SEMICONDUCTORS N V 73,686,000 81,390,000 1.46% PRN
15 Priceline Group Inc/The 66,052,000 79,774,000 1.43% PRN
16 LIBERTY MEDIA CORP DELAWARE 75,958,000 75,727,000 1.36% PRN
17 Red Hat Inc 56,700,000 70,575,000 1.27% PRN
18 MGIC INVT CORP WIS 9,030,000 69,261,000 1.24%
19 J2 GLOBAL INC 62,917,000 68,678,000 1.23% PRN
20 ROVI CORP 68,576,000 65,852,000 1.18% PRN
21 Microchip Technology Inc 56,765,000 58,001,000 1.04% PRN
22 ALLERGAN PLC 61,900 56,894,000 1.02%
23 ELECTRONICS FOR IMAGING INC 52,026,000 54,409,000 0.98% PRN
24 HOLOGIC INC 41,635,000 51,988,000 0.93% PRN
25 RTI INTL METALS INC 46,753,000 49,259,000 0.89% PRN
26 SANDISK CORP 46,490,000 48,626,000 0.87% PRN
27 BIOMARIN PHARMACEUTICAL INC 40,810,000 47,468,000 0.85% PRN
28 NUANCE COMMUNICATIONS INC 45,828,000 46,815,000 0.84% PRN
29 JD COM INC ADR 1,443,660 46,580,000 0.84%
30 CARDTRONICS INC 47,483,000 45,928,000 0.83% PRN
31 EURONET WORLDWIDE INC 38,230,000 45,616,000 0.82% PRN
32 EXCO RESOURCES INC 45,173,682 44,681,000 0.80%
33 WEBMD HEALTH CORP NOTE 32,885,000 44,080,000 0.79% PRN
34 BROOKDALE SR LIVING INC 45,537,000 44,005,000 0.79% PRN
35 HURON CONSULTING GROUP INC NOTE 1.25010/0 44,630,000 43,932,000 0.79% PRN
36 WEB COM GROUP INC 45,438,000 43,317,000 0.78% PRN
37 VECTOR GROUP LTD 39,000,000 43,258,000 0.78% PRN
38 WRIGHT MED GROUP INC 45,755,000 40,918,000 0.74% PRN
39 WEBMD HEALTH CORP NOTE 35,620,000 40,815,000 0.73% PRN
40 ITAU UNIBANCO HLDG SA 6,215,175 40,461,000 0.73%
41 TRINA SOLAR LIMITED 3,668,722 40,429,000 0.73%
42 SYNCHRONOSS TECHNOLOGIES INC NOTE 0.750 8/1 40,632,000 39,523,000 0.71% PRN
43 BROCADE COMMUNICATIONS SYS I 39,610,000 39,426,000 0.71% PRN
44 BRF SA 2,825,199 39,044,000 0.70%
45 MEDIDATA SOLUTIONS INC 38,193,000 38,772,000 0.70% PRN
46 LIBERTY INTERACTIVE CORP LBT VENT COM A DELETED 990,450 38,746,000 0.70%
47 Snyders-Lance Inc 1,223,965 38,530,000 0.69%
48 TTM TECHNOLOGIES INC 41,770,000 37,648,000 0.68% PRN
49 CEMEX SAB DE CV 6,570,759 37,377,000 0.67%
50 Tribune Publishing Co 4,691,371 36,217,000 0.65%
Page 1 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000949509-16-000011, filed 2016.05.16).

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.