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Institutional Investment Manager
CSS LLC/IL
CSS LLC/IL (CIK: 0001103646) incorporated in Illinois, located at 1 North Wacker Drive, Chicago, IL. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Portfolio Summary: 675 holdings with a total value of $1,684,304,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 AMERICAN AIRLS GROUP INC 2,510,568 106,323,000 6.31%
2 TYSON FOODS INC TANG EQ UNIT 1,056,456 64,052,000 3.80%
3 SANDISK CORP 30,929,000 48,561,000 2.88% PRN
4 GENERAL MTRS CO 1,275,000 43,363,000 2.57% Put
5 JARDEN CORP SR 35,112,000 43,084,000 2.56% PRN
6 HARTFORD FINL SVCS GROUP INC WT EXP 062619 1,056,734 36,770,000 2.18%
7 Exelexis 30,884,000 36,151,000 2.15% PRN
8 MEDICINES CO 24,735,000 35,399,000 2.10% PRN
9 YAHOO INC 1,059,314 35,232,000 2.09%
10 GENERAL MTRS CO 1,023,586 34,813,000 2.07%
11 EQUINIX INC 7,710,000 30,446,000 1.81% PRN
12 BIOMARIN PHARMACEUTICAL INC 23,110,000 29,745,000 1.77% PRN
13 TESARO INC 14,425,000 24,276,000 1.44% PRN
14 ANACOR PHARMACEUTICALS INC 6,560,000 23,871,000 1.42% PRN
15 SUNTRUST BKS INC 3,464,604 19,055,000 1.13%
16 TESLA MTRS INC 9,500,000 18,646,000 1.11% PRN
17 CTRIP COM INTL LTD 13,700,000 18,164,000 1.08% PRN
18 ZIONS BANCORPORATION 5,000,112 16,716,000 0.99%
19 TOWERS WATSON & CO 125,579 16,132,000 0.96%
20 ALBANY MOLECULAR RESH INC 11,700,000 15,759,000 0.94% PRN
21 Palo Alto Networks Inc 9,308,000 15,399,000 0.91% PRN
22 JINKOSOLAR HLDG CO LTD 544,600 15,066,000 0.89% Put
23 Nvidia Corp 8,750,000 14,545,000 0.86% PRN
24 GENERAL ELECTRIC CO 459,100 14,301,000 0.85% Put
25 LINCOLN NATL CORP IND 339,008 13,600,000 0.81%
26 SELECT SECTOR SPDR TR 565,000 13,464,000 0.80% Call
27 DOMINION RES INC VA NEW 243,199 12,911,000 0.77%
28 ISIS PHARMACEUTICALS INC DEL 11,210,000 12,623,000 0.75% PRN
29 SOLARCITY CORP 245,500 12,525,000 0.74% Put
30 GENERAL ELECTRIC CO 373,085 11,621,000 0.69%
31 TESLA INC 48,100 11,544,000 0.69% Put
32 SINA CORP 232,300 11,475,000 0.68% Put
33 ANTHEM INC 5,369,000 10,233,000 0.61% PRN
34 NEXTERA ENERGY INC 177,456 9,750,000 0.58%
35 GENERAL MTRS CO 281,600 9,577,000 0.57% Call
36 TIME WARNER INC NEW 50,974 9,460,000 0.56%
37 CTRIP COM INTL LTD 198,800 9,211,000 0.55% Put
38 SUNEDISON INC 17,044,000 8,720,000 0.52% PRN
39 HARTFORD FINL SVCS GROUP INC 200,000 8,692,000 0.52% Call
40 UTI WORLDWIDE INC 8,370,000 8,271,000 0.49% PRN
41 AMAG PHARMACEUTICALS INC 6,500,000 8,187,000 0.49% PRN
42 EXXON MOBIL CORP 104,076 8,113,000 0.48%
43 EMC 310,407 7,971,000 0.47%
44 DEPOMED INC 6,903,000 7,871,000 0.47% PRN
45 ISTAR FINL INC 7,105,000 7,692,000 0.46% PRN
46 ALON USA ENERGY INC 6,500,000 7,691,000 0.46% PRN
47 BROADCOM CORP CL A 131,955 7,630,000 0.45%
48 WINTRUST FINL CORP 295,329 7,581,000 0.45%
49 GREEN PLAINS INC 5,975,000 7,565,000 0.45% PRN
50 TRINA SOLAR LIMITED 7,500,000 7,350,000 0.44% PRN
Page 1 of 14

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001103646-16-000010, filed 2016.02.16).

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.