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Institutional Investment Manager
Visium Asset Management, LP
Visium Asset Management, LP (CIK: 0001377452) incorporated in Delaware, located at 888 Seventh Avenue - 22nd Floor, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Original 13F HR (0000950123-15-009408) filed in 2015.08.14
#
Name
Shares
Value ($)
%
Options
Notes
1 TESLA INC 5,000,000 10,905 0.17% PRN
2 DEPOMED INC NOTE 2.500 9/0 8,000,000 10,277 0.16% PRN
3 FLUIDIGM CORP DEL 9,000,000 7,991 0.12% PRN
4 ANI PHARMACEUTICALS INC 6,500,000 7,471 0.11% PRN
5 TELEFLEX INC 3,000,000 6,624 0.10% PRN
6 HEALTHWAYS INC 6,500,000 6,054 0.09% PRN
7 ACCURAY INC 5,150,000 5,279 0.08% PRN
8 MYLAN INC 1,000,000 5,082 0.08% PRN
9 TESLA INC 5,000,000 4,916 0.08% PRN
10 WRIGHT MEDICAL GROUP INC 4,000,000 4,723 0.07% PRN
11 MOLINA HEALTHCARE INC 2,500,000 4,425 0.07% PRN
12 SEQUENOM INC 4,500,000 4,360 0.07% PRN
13 PACIRA PHARMACEUTICALS INC 1,500,000 4,281 0.07% PRN
14 BROOKDALE SR LIVING INC 3,000,000 3,927 0.06% PRN
15 VECTOR GROUP LTD 3,000,000 3,300 0.05% PRN
16 Albany Molecular Research Conv 2,000,000 2,789 0.04% PRN
17 COBALT INTL ENERGY INC 3,500,000 2,566 0.04% PRN
18 ALPHA NAT RES INC NOTE 4.875%12/1 DELETED 20,000,000 1,383 0.02% PRN
19 HEARTWARE INTL INC 1,140,000 1,215 0.02% PRN
20 LABORATORY CORP AMER HLDGS 3,348,589 405,916 6.22%
21 PERRIGO CO PLC 2,069,533 382,512 5.86%
22 ENDO INTL PLC 3,674,194 292,650 4.49%
23 VALEANT PHARMACEUTICALS INTL 825,280 183,336 2.81%
24 AETNA INC NEW 1,218,258 155,279 2.38%
25 CONMED CORP 2,320,004 135,187 2.07%
26 ZIMMER BIOMET HLDGS INC 977,507 106,773 1.64%
27 NEUROCRINE BIOSCIE COM USD0.001 1,977,442 94,443 1.45%
28 MOMENTA PHARMACEUTICALS INC 4,113,425 93,827 1.44%
29 BROOKDALE SR LIVING INC 2,354,168 81,690 1.25%
30 HEALTHCARE TR AMER INC 2,857,482 68,437 1.05%
31 ULTRAGENYX PHARMACEUTICAL INC COM 659,013 67,476 1.03%
32 CLOVIS ONCOLOGY INC 739,474 64,985 1.00%
33 Albany Molecular 3,200,000 64,704 0.99%
34 Esperion Therapeutics Inc 778,627 63,661 0.98%
35 ALIGN TECHNOLOGY INC 1,003,828 62,950 0.96%
36 HORIZON PHARMA PLC 1,666,645 57,899 0.89%
37 BARD C R INC 326,802 55,785 0.85%
38 EDWARDS LIFESCIENCES CORP 373,723 53,229 0.82%
39 PROTHENA CORP PLC 987,559 52,015 0.80%
40 Receptos Inc 257,558 48,949 0.75%
41 Atara Biotherapeutics Inc 887,268 46,812 0.72%
42 MEDIFAST INC COM 1,350,000 43,632 0.67%
43 SIENTRA INC 1,475,000 37,214 0.57%
44 SKECHERS U S A INC 335,825 36,870 0.57%
45 INTRA-CELLULAR THERAPIES INC 1,051,479 33,595 0.51%
46 XL Group plc 899,304 33,454 0.51%
47 DirectTV Com 322,627 29,937 0.46%
48 ASSEMBLY BIOSCIENCES INC 1,500,000 28,890 0.44%
49 YAHOO INC 711,068 27,938 0.43%
50 SIGMA ALDRICH 194,716 27,134 0.42%
Page 1 of 36
Restatement filing (0000950123-15-009536) filed in 2015.08.18
#
Name
Shares
Value ($)
%
Options
Notes
301 CROWN CASTLE INTL CORP NEW 51,972 4,173 0.06%
302 FelCor Lodging Trust Inc 418,550 4,135 0.06%
303 MACQUARIE INFRASTRUCTURE COR 50,000 4,132 0.06%
304 QUALCOMM INC 64,831 4,060 0.06%
305 RADWARE LTD 182,775 4,058 0.06%
306 GRUPO TELEVISA SA 102,355 3,973 0.06%
307 ARCELORMITTAL SA LUXEMBOURG 407,300 3,959 0.06%
308 WASTE MGMT INC DEL 84,756 3,928 0.06%
309 BROOKDALE SR LIVING INC 3,000,000 3,927 0.06% PRN
310 AFFILIATED MANAGERS GROUP 17,558 3,838 0.05%
311 ISHARES TR 30,705 3,834 0.05%
312 OCATA THERAPEUTICS INC 725,000 3,821 0.05%
313 CONOCOPHILLIPS 61,911 3,802 0.05%
314 SANDISK CORP 65,156 3,793 0.05%
315 AGRIUM INC 35,506 3,762 0.05%
316 ALLEGION PUB LTD CO 62,395 3,752 0.05%
317 AMC NETWORKS INC CL A 45,727 3,743 0.05%
318 AERCAP HOLDINGS NV 80,946 3,707 0.05%
319 PROOFPOINT INC 58,180 3,704 0.05%
320 SEAGATE TECHNOLOGY PLC 77,375 3,675 0.05%
321 CROWN HOLDINGS INC 69,436 3,674 0.05%
322 Axovant Sciences LTD 179,627 3,660 0.05%
323 Heartware International, Inc. 50,000 3,635 0.05%
324 RITE AID CORP 431,195 3,600 0.05%
325 PINNACLE WEST 63,103 3,590 0.05%
326 SVB FINANCIAL GROUP 24,658 3,550 0.05%
327 KEYCORP 235,853 3,543 0.05%
328 GENMARK DIAGNOSTICS INC. 384,266 3,481 0.05%
329 BOISE CASCADE CO DEL COM 94,578 3,469 0.05%
330 LIBERTY BROADBAND CORP COM SER A 67,990 3,465 0.05%
331 FIRST REP BK SAN FRANCISCO C 54,563 3,439 0.05%
332 COCA COLA CO 87,435 3,430 0.05%
333 ARCHER DANIELS MIDLAND CO 70,641 3,406 0.05%
334 MASTERCARD INCORPORATED 36,388 3,402 0.05%
335 DOMINION ENERGY INC 50,336 3,366 0.05%
336 NEXTERA ENERGY INC 34,023 3,335 0.05%
337 SKECHERS U S A INC 30,337 3,331 0.05%
338 DirectTV Com 35,667 3,310 0.05%
339 VECTOR GROUP LTD 3,000,000 3,300 0.05% PRN
340 LIBERTY BROADBAND-C 64,199 3,284 0.05%
341 RED HAT INC 43,200 3,280 0.05%
342 TRAVELERS COMPANIES INC 40,171 3,279 0.05%
343 COMCAST CORP NEW 54,709 3,279 0.05%
344 PPL CORP 110,998 3,271 0.05%
345 YAHOO INC 83,098 3,265 0.05%
346 RAYTHEON CO 34,027 3,256 0.05%
347 QIHOO 360 TECHNOLOGY CO LTD 47,900 3,242 0.05%
348 DU PONT E I DE NEMOURS & CO 50,596 3,236 0.05%
349 XL Group plc 86,756 3,227 0.05%
350 KANSAS CITY SOUTHERN 34,808 3,174 0.04%
Page 7 of 40