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Institutional Investment Manager
Verition Fund Management LLC
Verition Fund Management LLC (CIK: 0001454027) incorporated in Delaware, located at One American Lane, Greenwich, CT. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 600 holdings with a total value of $570,711,000.
#
Name
Shares
Value ($)
%
Options
Notes
501 FCB Financial Holdings Inc 13,202 169,000 0.03%
502 LG DISPLAY CO LTD 14,516 168,000 0.03%
503 FORD MTR CO DEL 11,210 168,000 0.03%
504 JOURNAL MEDIA GROUP INC 20,165 167,000 0.03%
505 COMPANHIA DE SANEAMENTO BASI 32,011 166,000 0.03%
506 RESOURCE CAP CORP 42,435 164,000 0.03%
507 CARROLS RESTAURANT GROUP INC 15,687 163,000 0.03%
508 RETAIL PPTYS AMER INC CL A 11,402 159,000 0.03%
509 BGC PARTNERS INC 17,972 157,000 0.03%
510 ROUNDYS INC 48,592 157,000 0.03%
511 EXTREME NETWORKS INC 57,500 155,000 0.03%
512 ALPHATEC HOLDINGS INC 111,901 154,000 0.03%
513 RPC INC 11,066 153,000 0.03%
514 OCEAN RIG UDW INC 29,752 153,000 0.03%
515 TRAVELZOO 13,411 151,000 0.03%
516 ACACIA RESH CORP ACACIA TCH COM 17,107 150,000 0.03%
517 ChinaCache International Holdi 11,785 148,000 0.03%
518 TEMPLETON EMERGING MKTS FD 10,169 148,000 0.03%
519 VIGGLE INC 71,731 147,000 0.03%
520 MERIDIAN BANCORP INC MD COM 10,891 146,000 0.03%
521 BLACK DIAMOND INC 15,732 145,000 0.03%
522 GRAFTECH INTERNATIONAL LTD 29,314 145,000 0.03%
523 TENAX THERAPEUTICS INC 39,175 145,000 0.03%
524 ANGIES LIST INC 21,806 134,000 0.02%
525 CENTURY ALUM CO 12,781 133,000 0.02%
526 ADVANCED SEMICONDUCTOR ENGR SPONSORED ADR 20,114 133,000 0.02%
527 Jive Software Inc 25,143 132,000 0.02%
528 SILVER SPRING NETWORKS INC COM 10,570 131,000 0.02%
529 AEGEAN MARINE PETROLEUM NETW 10,493 130,000 0.02%
530 FLWS/1-800 FLOWERS CL A 12,464 130,000 0.02%
531 CYAN INC 23,840 125,000 0.02%
532 DOT HILL SYS CORP 20,292 124,000 0.02%
533 MOBILE TELESYSTEMS PJSC 12,302 120,000 0.02%
534 FIRST NIAGARA FINL GP INC 12,559 119,000 0.02%
535 COMPANHIA ENERGETICA DE MINA 31,052 118,000 0.02%
536 ADECOAGRO S A 12,704 117,000 0.02%
537 CEMEX SAB DE CV 12,408 114,000 0.02%
538 A10 NETWORKS INC 17,264 111,000 0.02%
539 NOKIA CORP 16,259 111,000 0.02%
540 SUPERVALU INC 13,508 109,000 0.02%
541 GLOBAL X FDS 10,148 108,000 0.02%
542 CALITHERA BIOSCIENCES INCORPORATED 15,155 108,000 0.02%
543 NEFF CORP COM CL A 10,686 108,000 0.02%
544 GLOBAL CASH ACCESS HLDGS INC 13,668 106,000 0.02%
545 ASHFORD HOSPITALITY TR INC 12,531 106,000 0.02%
546 MITSUBISHI UFJ FINL GROUP INCORPORATED SPONSORED ADR 14,584 105,000 0.02%
547 ZAGG INCORPORATED 12,843 102,000 0.02%
548 SYNERGY PHARMACEUTICALS DEL 12,300 102,000 0.02% Call
549 VIMPELCOM LTD 20,424 102,000 0.02%
550 SYNERGY PHARMACEUTICALS DEL 11,691 97,000 0.02%
Page 11 of 12

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001454027-15-000006, filed 2015.08.14).

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.