Dark
Light
System
Institutional Investment Manager
Kohlberg Kravis Roberts & Co. L.P.
Kohlberg Kravis Roberts & Co. L.P. (CIK: 0001399770) incorporated in Delaware, located at 30 Hudson Yards, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 51 holdings with a total value of $9,494,163,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 WALGREENS BOOTS ALLIANCE INC 36,505,823 3,039,840,000 32.02%
2 US FOODS HLDG CORP 83,333,331 2,020,000,000 21.28%
3 PRA HEALTH SCIENCES INC 30,195,984 1,260,984,000 13.28%
4 GODADDY INC 15,517,400 483,988,000 5.10%
5 ZIMMER BIOMET HLDGS INC 3,764,820 453,209,000 4.77%
6 HCA HOLDINGS INC 5,864,880 451,654,000 4.76%
7 AMEDISYS INC COM 4,836,608 244,152,000 2.57%
8 DOMINION RES INC VA NEW 3,616,844 217,372,000 2.29%
9 ENGILITY HLDGS INC NEW COM 8,960,446 189,245,000 1.99%
10 NEXTERA ENERGY INC 1,736,255 115,826,000 1.22%
11 Electronic Arts, Inc. 41,540,000 95,438,000 1.01% PRN
12 MARVELL TECHNOLOGY GROUP LTD 9,992,863 95,232,000 1.00%
13 GREATBATCH INC 2,882,405 89,153,000 0.94%
14 RIGNET INC 4,750,000 63,603,000 0.67%
15 NETSCOUT SYS INC 2,694,311 59,948,000 0.63%
16 Nvidia Corp 25,000,000 58,181,000 0.61% PRN
17 KKR & CO LP COMMON UNITS 4,667,166 57,593,000 0.61%
18 CONCORDIA INTERNATIONAL CORP COM 2,484,364 53,513,000 0.56%
19 J.C. Penney Company, Inc. 5,989,327 53,185,000 0.56%
20 COHERUS BIOSCIENCES INC COM 3,055,055 51,600,000 0.54%
21 COMMUNITY HEALTH SYS INC NEW COM 3,476,806 41,896,000 0.44%
22 ECLIPSE RES CORP COM 11,054,844 36,923,000 0.39%
23 WILLBROS GROUP INC DEL COM 10,125,410 25,617,000 0.27%
24 SPANSION LLC 12,000,000 23,985,000 0.25% PRN
25 VERISIGN INC 8,861,000 22,246,000 0.23% PRN
26 Welltower Inc 325,000 22,035,000 0.23%
27 SPDR S&P 500 ETF TR 100,000 20,948,000 0.22% Put
28 BLACK HILLS CORP 297,753 20,881,000 0.22%
29 LL FLOORING HOLDINGS INC COM 1,167,680 18,006,000 0.19%
30 AMERICAN INTL GROUP INC 289,600 15,317,000 0.16%
31 MOLINA HEALTHCARE INC 8,000,000 10,793,000 0.11% PRN
32 THERMO FISHER SCIENTIFIC INC 58,139 8,591,000 0.09%
33 LIGAND PHARMACEUTICALS INC 5,000,000 8,457,000 0.09% PRN
34 INTERCONTINENTAL EXCHANGE IN 30,451 7,794,000 0.08%
35 NUVECTRA CORP COM 960,802 7,110,000 0.07%
36 ANTHEM INC 3,250,000 5,956,000 0.06% PRN
37 T MOBILE US INC 75,000 5,519,000 0.06%
38 Palo Alto Networks Inc 4,000,000 5,115,000 0.05% PRN
39 PRICELINE GRP INC 3,500,000 4,853,000 0.05% PRN
40 FRONTIER COMMUNICATIONS CORP 50,000 4,741,000 0.05%
41 ROYAL DUTCH SHELL PLC 77,144 4,320,000 0.05%
42 TRANSCANADA CORP 91,759 4,149,000 0.04%
43 FEDEX CORP 27,000 4,098,000 0.04% Call
44 MEDICINES CO 2,000,000 2,365,000 0.02% PRN
45 PRUDENTIAL GLB SHT DUR HG YL 140,253 2,105,000 0.02%
46 INTEGRATED DEVICE TECHNOLOGY 2,000,000 1,948,000 0.02% PRN
47 PIONEER NAT RES CO 10,990 1,662,000 0.02%
48 Wells Fargo Income Opportunities Fund 113,146 894,000 0.01%
49 PROSHARES TR 35,000 737,000 0.01%
50 INVESCO DYNAMIC CR OPPORTUNI 63,600 701,000 0.01%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001104659-16-139802, filed 2016.08.15).

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.