Dark
Light
System
Institutional Investment Manager
Park West Asset Management LLC
Park West Asset Management LLC (CIK: 0001386928) incorporated in Delaware, located at 1 Letterman Drive, Suite C5-900, San Francisco, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q4)
Portfolio Summary: 63 holdings with a total value of $926,316,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 EAGLE PHARMACEUTICALS INC COM 690,000 61,182,000 6.60%
2 NATIONAL GEN HLDGS CORP COM 2,717,005 59,394,000 6.41%
3 GRAND CANYON ED INC 1,413,159 56,696,000 6.12%
4 Servicemaster Global Hldgs I 1,277,538 50,131,000 5.41%
5 SHORETEL INC 5,548,852 49,107,000 5.30%
6 MACQUARIE INFRASTRUCTURE COR 623,229 45,246,000 4.88%
7 SHUTTERFLY INC 1,007,670 44,902,000 4.85%
8 LITHIA MTRS INC COM 420,000 44,801,000 4.84%
9 COOPER STD HLDGS INC COM 390,870 30,328,000 3.27%
10 AMGEN INC 174,716 28,362,000 3.06%
11 ELDORADO RESORTS INC COM 2,533,650 27,870,000 3.01%
12 SERVICE CORP INTL COM 958,405 24,938,000 2.69%
13 INTRALINKS HLDGS INC 2,642,227 23,965,000 2.59%
14 TOPGOLF CALLAWAY BRANDS CORP COM 2,497,678 23,528,000 2.54%
15 PDL BIOPHARMA INC 28,535,000 22,846,000 2.47%
16 ELLIE MAE INCORPORATED 350,631 21,119,000 2.28%
17 GREEN DOT CORP CL A 1,225,200 20,118,000 2.17%
18 TIVO INC 2,300,000 19,849,000 2.14%
19 BERRY PLASTICS GROUP INC 492,576 17,821,000 1.92%
20 DOLBY LABORATORIES INC 500,000 16,825,000 1.82%
21 CENCORA 117,844 12,222,000 1.32%
22 BOINGO WIRELESS INC COM 1,824,300 12,077,000 1.30%
23 NORTHSTAR ASSET MGMT GROUP INCORPORATED 965,509 11,721,000 1.27%
24 Heska Corp 281,529 10,890,000 1.18%
25 ENSIGN GROUP INC COM 475,940 10,771,000 1.16%
26 AMN HEALTHCARE SERVICES INC 300,000 9,315,000 1.01%
27 CF INDS HLDGS INC 195,939 7,996,000 0.86%
28 REALNETWORKS INC 1,800,010 7,650,000 0.83%
29 PAYCHEX INC 209,268 7,647,000 0.83%
30 LIGHT & WONDER INC COM 834,986 7,490,000 0.81% Call
31 MANNKIND CORPORATION 5,082,565 7,370,000 0.80% Put
32 INTERACTIVE BROKERS GROUP INC COM CL A 167,500 7,303,000 0.79%
33 CKEC 2017-01-20 33.000 C A OPQ 311,944 7,156,000 0.77%
34 SOLARCITY CORP 140,194 7,153,000 0.77%
35 PAYCHEX INC 191,972 7,015,000 0.76% Call
36 CARBONITE INC 714,665 7,004,000 0.76%
37 SMITH & WESSON HLDG CORP 315,219 6,929,000 0.75%
38 RETROPHIN INC COM 350,000 6,752,000 0.73%
39 NORTHSTAR RLTY FIN CORP 390,942 6,658,000 0.72%
40 TRINITY BIOTECH PLC ADR SPONSORED 551,632 6,487,000 0.70%
41 COTT CORP QUE 584,216 6,421,000 0.69%
42 TRINET GROUP INC 317,450 6,143,000 0.66%
43 KINDRED BIOSCIENCES INC 1,753,700 5,963,000 0.64%
44 FENIX PTS INC 869,984 5,907,000 0.64%
45 MULTI PACKAGING SOLUTIONS 290,859 5,046,000 0.54%
46 FERROGLOBE PLC SHS 441,532 4,746,000 0.51%
47 BAZAARVOICE INC COM 1,000,000 4,380,000 0.47%
48 OOMA INC 680,830 4,323,000 0.47%
49 CONTINENTAL BLDG PRODS INC 228,730 3,994,000 0.43%
50 ENPHASE ENERGY INC 1,075,991 3,777,000 0.41%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001214659-16-009611, 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.