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Institutional Investment Manager
Alyeska Investment Group, L.P.
Alyeska Investment Group, L.P. (CIK: 0001453072) incorporated in Delaware, located at 77 West Wacker Drive, Chicago, IL. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Original 13F HR (0001164691-14-000169) filed in 2014.08.14
#
Name
Shares
Value ($)
%
Options
Notes
201 SERVICEMASTER GLOBAL HLDGS I 400,000 7,292 0.17%
202 CST BRANDS INC 212,012 7,314 0.17%
203 TYSON FOODS INC 194,851 7,315 0.17%
204 FLAMEL TECHNOLOGIES SA SPONSORED ADR 490,032 7,350 0.17%
205 KB HOME 400,000 7,472 0.17% Call
206 MEADWESTVACO CORP 169,769 7,514 0.18%
207 CIMAREX ENERGY 52,448 7,524 0.18%
208 Approach Res Inc 333,453 7,579 0.18%
209 SCORPIO TANKERS INC 751,400 7,642 0.18%
210 CELANESE CORP DEL 120,000 7,714 0.18%
211 BUNGE LIMITED 102,004 7,716 0.18%
212 Gramercy Property Trust 1,282,718 7,760 0.18%
213 PINNACLE FOODS INC DEL 243,432 8,009 0.19%
214 ECLIPSE RES CORP COM 321,310 8,075 0.19%
215 PENNYMAC MTG INVT TR 368,080 8,076 0.19%
216 VALEANT PHARMACEUTICALS INTL 65,047 8,204 0.19%
217 MICRON TECHNOLOGY INC 252,100 8,307 0.19% Put
218 WESTLAKE CHEM CORP 106,694 8,937 0.21%
219 LADDER CAP CORP 500,000 9,035 0.21%
220 ONE GAS INC COM 243,229 9,182 0.21%
221 REYNOLDS AMERICAN INC 156,161 9,424 0.22%
222 NXP SEMICONDUCTORS N V 402,798 9,466 0.22%
223 ANHEUSER BUSCH INBEV SA/NV 84,746 9,741 0.23%
224 SEAWORLD ENTERTAINMENT INCORPORATED 349,997 9,915 0.23%
225 GLU MOBILE INC 2,000,000 10,000 0.23%
226 COCA COLA EUROPEAN PARTNERS SHS 209,321 10,001 0.23%
227 APACHE CORP 100,000 10,062 0.24%
228 WRIGHT MEDICAL GROUP N.V. 431,777 10,095 0.24%
229 SMUCKER J M CO 95,000 10,124 0.24%
230 DELPHI AUTOMOTIVE PLC 148,082 10,179 0.24%
231 ANIXTER INTL INC 101,717 10,179 0.24%
232 ULTA BEAUTY INC 111,676 10,208 0.24%
233 POPULAR INC COM NEW 300,000 10,254 0.24%
234 Mylan Laboratories Inc 200,000 10,312 0.24%
235 METHANEX CORP 170,000 10,503 0.25%
236 FMC TECHNOLOGIES INC 172,759 10,550 0.25%
237 ROCK-TENN COMPANY 100,000 10,559 0.25%
238 CHENIERE ENERGY INC 148,881 10,675 0.25%
239 MEDTRONIC INC 169,800 10,826 0.25%
240 GIANT INTERACTIVE ADR F SPONSORED ADR 1 ADR REPS 1 ORD 921,633 10,912 0.26%
241 TRINITY INDS INC 250,000 10,930 0.26%
242 FEDEX CORP 72,540 10,981 0.26%
243 OIL STS INTL INC 173,808 11,139 0.26%
244 RPM INTL INC 242,077 11,179 0.26%
245 INCYTE CORP 200,000 11,288 0.26%
246 EAGLE MATERIALS INC 120,000 11,314 0.26%
247 CORELOGIC INC 375,000 11,385 0.27%
248 CROWN HOLDINGS INC 229,522 11,421 0.27%
249 AMERICAN AIRLS GROUP INC 266,031 11,429 0.27%
250 POTBELLY CORP COM 718,682 11,470 0.27%
Page 5 of 8
New Holding filing (0001164691-14-000221) filed in 2014.11.20
#
Name
Shares
Value ($)
%
Options
Notes
1 Questcor 365,664 33,820 37.60%
2 SUSSER HLDGS CORP COM 250,000 20,180 22.44%
3 Allergan plc 103,930 17,587 19.55%
4 Micros Systems 138,755 9,421 10.47%
5 HILLSHIRE BRANDS COMPANY 86,500 5,389 5.99%
6 LIN MEDIA LLC CLASS A COM 128,805 3,510 3.90%
7 COMMUNITY HEALTH SYS INC NEW 458,711 31 0.03%
New Holding filing (0001164691-15-000055) filed in 2015.02.18
#
Name
Shares
Value ($)
%
Options
Notes
1 COVIDIEN PLC 450,000 40,581 47.40%
2 TIME WARNER CABLE INC 226,345 33,341 38.95%
3 TRIQUINT SEMICONDU 739,204 11,687 13.65%
New Holding filing (0001164691-15-000100) filed in 2015.05.21
#
Name
Shares
Value ($)
%
Options
Notes
1 SHANDA GAMES LTD 1,542,150 10,240 100.00%
New Holding filing (0001164691-15-000139) filed in 2015.08.17
#
Name
Shares
Value ($)
%
Options
Notes
1 DirectTV Com 197,859 16,820 100.00%
New Holding filing (0001164691-15-000178) filed in 2015.11.19
#
Name
Shares
Value ($)
%
Options
Notes
1 HUDSON CITY BANCORP INC 2,720,545 26,743 100.00%