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Institutional Investment Manager
SYMPHONY ASSET MANAGEMENT LLC
SYMPHONY ASSET MANAGEMENT LLC (CIK: 0001030815) incorporated in California, located at 555 California Street, San Francisco, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q1)
Original 13F HR (0000909012-14-000261) filed in 2014.05.15
#
Name
Shares
Value ($)
%
Options
Notes
1 SALIX PHARMACEUTICALS INC 19,340,000 32,697 3.10% PRN
2 RYLAND GROUP INC 22,500,000 32,169 3.05% PRN
3 MEDICINES CO 25,330,000 30,950 2.93% PRN
4 Salix Pharmaceuticals Inc 05/15/2015 2.750% 11,727,000 26,290 2.49% PRN
5 DEALERTRACK TECHNOLOGIES INC 17,000,000 24,119 2.29% PRN
6 DRYSHIPS INC. 5%14F DUE 12/01/14 DRYSHIPS INC. 21,329,000 21,089 2.00% PRN
7 WEB COM GROUP INC 16,180,000 19,042 1.81% PRN
8 TESLA INC 19,000,000 17,195 1.63% PRN
9 Medivation Inc 04/01/2017 2.625% 11,500,000 16,395 1.55% PRN
10 REGIS CORP 15,800,000 16,096 1.53% PRN
11 HOLOGIC INC 13,807,000 14,670 1.39% PRN
12 ISHARES NASDAQ BIOTECHNOLOGY ETF 13,048 14,542 1.38%
13 SANDISK CORP 8,710,000 14,323 1.36% PRN
14 PRICELINE GRP INC SR CONV NT 1 18 9,620,000 13,618 1.29% PRN
15 APPLE INC 24,172 12,974 1.23%
16 RAMBUS INC DEL 12,321,000 12,429 1.18% PRN
17 TAKE-TWO INTERACTIVE SOFTWARE SR GLBL CV NT 18 10,000,000 12,250 1.16% PRN
18 AMERICAN RLTY CAP PPTYS INC SR CONV NT 3 18 10,750,000 11,435 1.08% PRN
19 MICROSOFT CORP 260,636 10,684 1.01%
20 ALLERGAN PLC 48,758 10,037 0.95%
21 INTERMUNE INC 7,000,000 8,999 0.85% PRN
22 UNION PAC CORP 47,037 8,826 0.84%
23 VEREIT Inc 8,000,000 8,700 0.82% PRN
24 MORGANS HOTEL GROUP CO 8,718,000 8,631 0.82% PRN
25 HEALTHWAYS INC 7,875,000 8,461 0.80% PRN
26 HEADWATERS INC 7,825,000 8,461 0.80% PRN
27 AK STL CORP 5,500,000 8,369 0.79% PRN
28 AMAZON COM INC 22,962 7,724 0.73%
29 MOLINA HEALTHCARE(SR) - CV SR NTS 6,000,000 7,418 0.70% PRN
30 HOME DEPOT INC 92,674 7,333 0.70%
31 MASTERCARD INCORPORATED 97,145 7,257 0.69%
32 FLUIDIGM CORP DEL 6,325,000 7,214 0.68% PRN
33 WHIRLPOOL CORP 48,091 7,187 0.68%
34 ORACLE CORP 171,057 6,998 0.66%
35 RAIT Financial 7,000,000 6,825 0.65% PRN
36 EATON VANCE SR INCOME TR 968,586 6,819 0.65%
37 BRISTOW GROUP INC 5,172,000 6,404 0.61% PRN
38 LYONDELLBASELL INDUSTRIES N 70,835 6,300 0.60%
39 DISCOVER FINL SVCS 105,643 6,147 0.58%
40 VIPSHOP HLDGS LTD 6,000,000 6,090 0.58% PRN
41 BAXTER INTL INC 82,219 6,050 0.57%
42 CADENCE DESIGN SYSTEM INC 376,905 5,857 0.56%
43 AMETEK INC NEW 111,253 5,728 0.54%
44 EATON VANCE FLTING RATE INC 353,668 5,553 0.53%
45 COMCAST CORP NEW 109,438 5,477 0.52%
46 GOODRICH PETE CORP 5,258,000 5,409 0.51% PRN
47 WHITEWAVE FOODS CO 180,524 5,153 0.49%
48 VIACOM INC NEW 60,454 5,138 0.49%
49 STARBUCKS CORP 68,106 4,997 0.47%
50 MCKESSON CORP 28,256 4,989 0.47%
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