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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 (2016Q3)
Portfolio Summary: 63 holdings with a total value of $1,099,551,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 SHUTTERFLY INC 1,590,448 70,998,000 6.46%
2 LITHIA MTRS INC COM 720,744 68,845,000 6.26%
3 BLACKHAWK NETWORK COM USD0.001 2,250,000 67,883,000 6.17%
4 NATIONAL GEN HLDGS CORP COM 2,853,280 63,457,000 5.77%
5 DAVITA INC 791,500 52,294,000 4.76%
6 STAMPS COM INC COM NEW 480,000 45,365,000 4.13%
7 NEXSTAR MEDIA GROUP INC 785,400 45,325,000 4.12%
8 Pandora Media Inc 3,086,350 44,227,000 4.02%
9 EAGLE PHARMACEUTICALS INC COM 629,753 44,083,000 4.01%
10 ELDORADO RESORTS INC COM 3,036,242 42,690,000 3.88%
11 ELLIE MAE INCORPORATED 398,890 42,003,000 3.82%
12 BERRY PLASTICS GROUP INC 672,325 29,481,000 2.68%
13 GRAND CANYON ED INC 728,073 29,407,000 2.67%
14 SHORETEL INC 3,664,521 29,316,000 2.67%
15 SERVICE CORP INTL COM 982,129 26,066,000 2.37%
16 TAILORED BRANDS INC COM 1,589,677 24,958,000 2.27%
17 LENDINGCLUB CORP 3,916,100 24,201,000 2.20%
18 SEI INVESTMENTS CO 503,200 22,951,000 2.09%
19 GREEN DOT CORP CL A 975,000 22,484,000 2.04%
20 AMTRUST FINL SVCS INC 833,900 22,374,000 2.03%
21 BOINGO WIRELESS INC COM 2,028,801 20,856,000 1.90%
22 PAR PACIFIC HOLDINGS INC 1,255,987 16,428,000 1.49%
23 INTRALINKS HLDGS INC 1,628,821 16,386,000 1.49%
24 SIENTRA INC 1,680,752 15,110,000 1.37%
25 JOHNSON CTLS INTL PLC 310,000 14,424,000 1.31%
26 NEXSTAR MEDIA GROUP INC 231,387 13,353,000 1.21% Call
27 MARVELL TECHNOLOGY GROUP LTD 900,000 11,943,000 1.09%
28 FARMER BROS CO COM 324,300 11,529,000 1.05%
29 MONARCH CASINO & RESORT INC COM 450,000 11,327,000 1.03%
30 TRINITY BIOTECH PLC ADR SPONSORED 853,345 11,281,000 1.03%
31 AVANTAX INC COM 1,000,000 11,200,000 1.02%
32 PDL BIOPHARMA INC 10,923,000 10,609,000 0.96% PRN
33 Heska Corp 193,760 10,546,000 0.96%
34 KINDRED BIOSCIENCES INC 1,950,789 9,734,000 0.89%
35 CF CORP 835,000 8,517,000 0.77%
36 BEACON ROOFING SUPPLY INC 200,000 8,414,000 0.77%
37 CAI INTERNATIONAL INC 989,012 8,179,000 0.74%
38 OOMA INC 770,563 6,997,000 0.64%
39 INTERNATIONAL SPEEDWAY CORP 187,230 6,257,000 0.57%
40 Pandora Media Inc 408,469 5,853,000 0.53% Call
41 MULTI PACKAGING SOLUTIONS 405,235 5,839,000 0.53%
42 REALNETWORKS INC 1,125,344 5,019,000 0.46%
43 TRIB 4,775,000 4,468,000 0.41% PRN
44 AVANTAX INC COM 387,946 4,345,000 0.40% Call
45 NEXEO SOLUTIONS INC 480,119 3,956,000 0.36%
46 PROGENICS PHARMACEUTICALS IN 543,760 3,442,000 0.31%
47 VERA BRADLEY INC COM 220,293 3,337,000 0.30%
48 INTERACTIVE BROKERS GROUP INC COM CL A 93,349 3,292,000 0.30%
49 LIGHT & WONDER INC COM 250,000 2,817,000 0.26%
50 COBALT INTL ENERGY INC 5,000,000 2,544,000 0.23% PRN
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Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001214659-16-014676, filed 2016.11.15).

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.