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Institutional Investment Manager
WATER ISLAND CAPITAL LLC
WATER ISLAND CAPITAL LLC (CIK: 0001222765) incorporated in Delaware, located at 104 5th Avenue, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 100 holdings with a total value of $2,481,061,096.
#
Name
Shares
Value ($)
%
Options
Notes
1 DirectTV Com 2,351,474 218,193,272 8.79%
2 HOSPIRA INC. 1,929,050 171,126,026 6.90%
3 MEADWESTVACO CORP 3,575,959 168,749,505 6.80%
4 CATAMARAN CORP COM 2,286,642 139,668,093 5.63%
5 WILLIAMS PARTNERS L P NEW 2,043,983 98,990,097 3.99%
6 INFORMATICA CORP 1,991,203 96,513,609 3.89%
7 SIGMA ALDRICH 691,836 96,407,347 3.89%
8 PALL CORP 768,612 95,653,763 3.86%
9 PARTNERRE LTD 731,303 93,972,436 3.79%
10 ROSETTA RESOURCES INC 3,901,519 90,281,150 3.64%
11 ANN INC 1,809,565 87,383,894 3.52%
12 DEALERTRACK TECHNOLOGIES INC 1,358,503 85,300,403 3.44%
13 OMNICARE INC 860,797 81,130,117 3.27%
14 Polypore International 1,153,476 69,070,143 2.78%
15 KYTHERA BIOPHARMACEUTICALS I 834,384 62,837,459 2.53%
16 RTI INTERNATIONAL 1,816,290 57,249,461 2.31%
17 ALTERA CORPORATION 1,047,655 53,639,936 2.16%
18 EXCEL TR INC 3,397,806 53,583,401 2.16%
19 BROADCOM CORP CL A 782,791 40,305,909 1.62%
20 ASSOCIATED ESTATES 1,337,149 38,282,576 1.54%
21 MICREL INC 2,466,655 34,286,505 1.38%
22 HCC INSURANCE HOLDINGS INC 412,300 31,681,132 1.28%
23 ALLERGAN PLC 78,184 23,725,717 0.96%
24 SPX CORP COM 303,358 21,960,086 0.89%
25 SUSQUEHANNA BANCSHARES INC 1,522,213 21,493,648 0.87%
26 RALLY SOFTWARE DEV CORP 1,094,623 21,290,417 0.86%
27 CLICKSOFTWARE TECHNOLOGIES LTD 1,622,421 20,393,832 0.82%
28 Hewlett Packard Co 656,879 19,712,939 0.79%
29 TEVA PHARMACEUTICAL INDS LTD 311,678 18,420,170 0.74%
30 BE AEROSPACE INC 322,512 17,705,909 0.71%
31 HARRIS CORP 230,213 17,705,682 0.71%
32 VISTEON CORP COM NEW 158,871 16,678,278 0.67%
33 WILLIAMS COS INC DEL 281,829 16,174,166 0.65%
34 EMC 606,373 16,002,183 0.64%
35 Infrareit Inc Com 551,507 15,640,739 0.63%
36 MGM RESORTS INTERNATIONAL 837,841 15,290,598 0.62%
37 CONSOL ENERGY INC 641,768 13,952,036 0.56%
38 DYNEGY INCORPORATED NEW DEL 455,909 13,335,338 0.54%
39 FRONTIER COMM 2,630,289 13,019,931 0.52%
40 HUDSON VALLEY HOLDING CORP 425,942 12,015,824 0.48%
41 MACERICH CO 153,143 11,424,468 0.46%
42 KLX INC COM 247,621 10,927,515 0.44%
43 STAPLES INC 711,743 10,896,785 0.44%
44 STARWOOD HOTELS & RESORTS WLDWDE ORD 125,486 10,175,660 0.41%
45 DISH NETWORK A 145,270 9,836,232 0.40%
46 Exterran Holdings Inc 285,415 9,318,800 0.38%
47 PERRIGO CO PLC 49,506 9,150,194 0.37%
48 XPO LOGISTICS INC 199,577 9,016,889 0.36%
49 MEDIA GENERAL INC NEW 538,914 8,902,859 0.36%
50 MOLSON COORS BREWING CO 121,319 8,469,279 0.34%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-15-032013, filed 2015.08.14).

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.