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Institutional Investment Manager
HBK INVESTMENTS L P
HBK INVESTMENTS L P (CIK: 0001011443) incorporated in Delaware, located at 2300 North Field Street, Dallas, TX. Institutional holdings reported to the SEC.

Institutional Holdings (2017Q1)
Portfolio Summary: 649 holdings with a total value of $12,472,406,000.
#
Name
Shares
Value ($)
%
Options
Notes
601 CHEVRON CORP NEW 461,900 49,594,000 0.40%
602 AMERICAN INTL GROUP INC 803,222 50,145,000 0.40%
603 AIR PRODS & CHEMS INC 376,567 50,946,000 0.41%
604 SELECT SECTOR SPDR TR 1,000,000 51,310,000 0.41% Put
605 MCKESSON CORP 347,800 51,565,000 0.41%
606 ISHARES TR 385,390 52,983,000 0.42%
607 PATTERN ENERGY GROUP INC NOTE 4.000 7/1 53,596,000 53,277,000 0.43% PRN
608 T MOBILE US INC 825,416 53,314,000 0.43%
609 ZOETIS INC 1,000,103 53,375,000 0.43%
610 NETFLIX INC 363,500 53,729,000 0.43%
611 NORFOLK SOUTHERN CORP 480,400 53,790,000 0.43%
612 GENERAL ELECTRIC CO 1,805,400 53,801,000 0.43%
613 MCDONALDS CORP 415,900 53,905,000 0.43%
614 J2 GLOBAL INC SR CV NT 3.25 29 40,000,000 54,123,000 0.43% PRN
615 DISH NETWORK A 861,000 54,665,000 0.44%
616 ANADARKO PETE CORP 883,010 54,747,000 0.44%
617 WHITING PETE CORP NEW 62,500,000 54,760,000 0.44% PRN
618 TJX COS INC NEW 698,237 55,217,000 0.44%
619 VANECK ETF TRUST 2,426,623 55,351,000 0.44%
620 CITIGROUPINC 950,400 56,853,000 0.46%
621 UNITED CONTL HLDGS INC 815,600 57,614,000 0.46%
622 JOHNSON & JOHNSON 483,100 60,170,000 0.48%
623 TTM TECHNOLOGIES INC 34,750,000 61,382,000 0.49% PRN
624 AMGEN INC 380,700 62,461,000 0.50%
625 PETROLEO BRASILEIRO SA PETROBR SPONSORED ADR 6,889,028 63,517,000 0.51%
626 KCG HLDGS INC 3,625,000 64,634,000 0.52% Put
627 AMGEN INC 400,000 65,628,000 0.53% Put
628 SHERWIN WILLIAMS CO 221,400 68,676,000 0.55% Call
629 HUMANA INC 350,000 72,149,000 0.58% Call
630 ISHARES TR 545,000 74,927,000 0.60% Call
631 NRG ENERGY INC 4,149,000 77,586,000 0.62% Call
632 CHEVRON CORP NEW 800,000 85,896,000 0.69% Put
633 BRITISH AMERN TOB PLC 1,445,029 95,834,000 0.77%
634 VERISIGN INC JR SB CONV DB 37 39,750,000 101,518,000 0.81% PRN
635 TESLA INC SR CV NT 0.25 19 116,100,000 116,076,000 0.93% PRN
636 MOBILEYE N V AMSTELVEEN 2,200,705 135,123,000 1.08%
637 ISHARES TR 2,725,000 213,885,000 1.71% Put
638 SPDR S&P 500 ETF TR 999,815 235,696,000 1.89%
639 TIME WARNER INC 2,561,954 250,329,000 2.01%
640 BROCADE COMMUNICATIONS SYS I 20,076,158 250,550,000 2.01%
641 TESLA INC 1,093,700 304,377,000 2.44% Put
642 VCA INCORPORATED 3,683,452 337,036,000 2.70%
643 WHITEWAVE FOODS CO 7,183,258 403,340,000 3.23%
644 SPDR S&P 500 ETF TR 2,000,000 471,480,000 3.78% Put
645 SPDR S&P 500 ETF TR 2,015,100 475,040,000 3.81% Call
646 YAHOO INC 16,474,111 764,563,000 6.13%
647 MEAD JOHNSON NUTRITI 9,083,740 809,180,000 6.49%
648 REYNOLDS AMERICAN INC 14,863,878 936,722,000 7.51%
649 NXP SEMICONDUCTORS N V 13,000,030 1,345,503,000 10.79%
Page 13 of 13

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001011443-17-000011, filed 2017.05.15), New Holdings filing (0001011443-18-000018, filed 2018.11.14), New Holdings filing (0001011443-18-000003, filed 2018.02.14), New Holdings filing (0001011443-17-000020, filed 2017.11.14). and New Holdings filing (0001011443-17-000015, filed 2017.08.14).

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.