MacKay Shields

Latest statistics and disclosures from MacKay Shields's latest quarterly 13F-HR filing:

MacKay Shields portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
Icahn Enterprises Lp conv bnd 4.43 -4.00% 85118000 1.00 0.00
Gilead Sciences conv 3.88 -13.00% 34429000 2.17 0.00
PCS MetroPCS Communications 3.76 NEW 6641214 10.90 11.69
Apache Corp. 6% Mandatory Conv pfd cv 2.90 -9.00% 1252138 44.54 0.00
Danaher Corp Del debt 2.81 -11.00% 29873000 1.81 0.00
Stanley Black & Decker Inc unit 99/99/9999 2.59 -6.00% 393185 126.59 0.00
E M C Corp Mass note 1.750%12/0 2.44 -9.00% 31467000 1.49 0.00
Teva Pharm Finance Llc Cvt cv bnd 2.42 -7.00% 44743000 1.04 0.00
Metlife Inc 5% 10/0/14 Conv Pr cv prf 2.33 +4.00% 908349 49.40 0.00
United Technol conv prf 2.22 -11.00% 713560 59.89 0.00
Teleflex Inc note 3.875% 8/0 2.06 -11.00% 27343000 1.45 0.00
Covanta Holding Conv conv bnd 1.91 -9.00% 28540000 1.29 0.00
Chart Industries 2% conv 1.81 +45.00% 25591000 1.36 0.00
GM General Motors Company 1.80 -6.00% 1247462 27.82 33.42
Gold 1.75 1000000 33.63 0.00
Peabody Energy Corp sdcv 4.750%12/1 1.71 -11.00% 40006000 0.82 0.00
Microchip Technology Inc sdcv 2.125%12/1 1.68 +43.00% 22822000 1.42 0.00
Citi 1.65 -2.00% 716699 44.24 0.00
Allegheny Technologies Inc note 4.250% 6/0 1.55 -33.00% 27560000 1.08 0.00
Biomarin Pharmaceutical Inc note 1.875% 4/2 1.49 -13.00% 9300000 3.09 0.00
Mylan Inc note 3.750% 9/1 1.43 -12.00% 12374000 2.22 0.00
Wabash National Corp 3.375 '18 conv 1.42 +19.00% 22622000 1.21 0.00
Sba Communications Corp note 4.000%10/0 1.40 -13.00% 11283000 2.39 0.00
F Ford Motor Company 1.37 2009500 13.15 15.08
Continental Airls Inc note 4.500% 1/1 1.36 +72.00% 14594000 1.79 0.00
Intel Corp. Jr. Sub. Cv. Deb. conv 1.35 +4965.00% 21425000 1.21 0.00
General Mtrs Co jr pfd cnv srb 1.34 +6.00% 599706 42.94 0.00
Omnicom Group Inc note 7/0 1.34 -7.00% 21724000 1.19 0.00
Verisign Inc sdcv 3.250% 8/1 1.32 -25.00% 17047000 1.49 0.00
Salix Pharmaceuticals Inc note 2.750% 5/1 1.30 -12.00% 19383000 1.29 0.00
Ford Mtr Co Del note 4.250%11/1 1.23 +333.00% 14740000 1.61 0.00
Omnicare Inc note 3.750%12/1 1.21 -14.00% 14312000 1.62 0.00
GAME Technolog debt 1.20 -13.00% 21438000 1.08 0.00
Helix Energy Solutions note 1.14 17755000 1.23 0.00
Hologic Inc cnv 1.07 -15.00% 19653000 1.05 0.00
U.s. Concrete Inc Cmn 0.99 -3.00% 1379903 13.81 0.00
On Semiconductor Corp note 2.625%12/1 0.98 -16.00% 16562000 1.14 0.00
Bank Of America Corporation preferred 0.97 -29.00% 15220 1220.76 0.00
Cien 4 12/15/20 0.95 NEW 15173000 1.20 0.00
Arcc 4 7/8 03/15/17 0.95 NEW 17184000 1.06 0.00
Novellus Systems, Inc. note 2.625% 5/1 0.83 -16.00% 11645000 1.37 0.00
Xilinx Inc Cvt 2.625 6-15-17 convert 0.81 -45.00% 10921000 1.42 0.00
Priceline.com debt 1.000% 3/1 0.81 NEW 14027000 1.11 0.00
Wells Fargo & Company Non-cum Perpet cnv 0.80 -12.00% 11922 1288.71 0.00
Medivation Inc note 2.625% 4/0 0.79 12380000 1.23 0.00
Holdings Inc Note 5.25 0.78 -16.00% 5519000 2.71 0.00
Insulet Corporation Cvt 3.75 0 convert 0.76 12239000 1.19 0.00
Wesco Intl Inc dbcv 6.000% 9/1 0.75 -39.00% 5478000 2.63 0.00
Mgm Mirage conv 0.75 -11.00% 13165000 1.09 0.00
Ppl Corp unit 99/99/9999 0.74 -19.00% 259546 54.85 0.00
Apollo Invt Corp note 5.750% 1/1 0.73 -3.00% 13189000 1.06 0.00
Lam Research Corp note 0.500% 5/1 0.71 +41.00% 13354000 1.02 0.00
Sandisk Corp note 1.500% 8/1 0.69 -35.00% 10231000 1.29 0.00
Airtran Hldgs Inc note 5.250%11/0 0.69 NEW 9177000 1.44 0.00
Bottomline Tech Del Inc note 1.500%12/0 0.69 +282.00% 11413000 1.17 0.00
Nuance Communications Inc note 2.750%11/0 0.69 +18.00% 12705000 1.04 0.00
Goodyear Tire Rubr Pfd 5.875% pfd 0.68 -14.00% 298636 43.51 0.00
Akorn Inc note 3.500% 6/0 0.68 -34.00% 7512000 1.73 0.00
Omnicare Cap Tr Ii pfd b tr 4.00% 0.63 234970 51.50 0.00
Boston Pptys Ltd Partnership note 3.750% 5/1 0.61 -3.00% 11422000 1.03 0.00
MRK Merck & Co 0.55 -29.00% 239532 44.23 45.99
Jns 3.25% 7/15/2014 note 0.54 -2.00% 9984000 1.05 0.00
Kb Home note 0.54 NEW 9500000 1.10 0.00
Textron Inc note 4.500% 5/0 0.53 -4.00% 4526000 2.26 0.00
Intel Corp sdcv 0.53 -41.00% 9624000 1.06 0.00
Xpo Logistics note 4.5% 10/1 0.52 -25.00% 8414000 1.19 0.00
BHI Baker Hughes Incorporated 0.48 201000 46.41 47.53
CIT CIT 0.47 208001 43.48 44.45
Affiliated Managers Group note 3.950% 8/1 0.46 -4.00% 7117000 1.25 0.00
Ttm Technologies Inc note 3.250% 5/1 0.44 -21.00% 8530000 1.00 0.00
Sothebys note 3.125% 6/1 0.44 7500000 1.12 0.00
Alza Corp sdcv 7/2 0.44 7605000 1.12 0.00
Radian Group Inc note 0.44 NEW 7000000 1.21 0.00
Newmont Mining Corp Cvt cv bnd 0.42 +1518.00% 6540000 1.23 0.00
Rti Intl Metals Inc note 3.000%12/0 0.42 NEW 6886000 1.16 0.00
Comtech Telecommunications Cor conv 0.42 NEW 7813000 1.03 0.00
HAL Halliburton Company 0.41 195042 40.41 45.25
Steel Dynamics Inc note 5.125% 6/1 0.39 -31.00% 6661000 1.12 0.00
Sba Communications Corp note 1.875% 5/0 0.34 3814000 1.73 0.00
IO ION Geophysical Corporation 0.32 891000 6.81 6.28
Molson Coors Brewing Co note 2.500% 7/3 0.30 -70.00% 5658000 1.03 0.00
Ares Capital Corp 5.75 16 convert 0.29 +2915.00% 5126000 1.08 0.00
Volcano Corporation note 1.750%12/0 0.28 NEW 5535000 0.99 0.00
Symantec Corp note 1.000% 6/1 0.27 -29.00% 4041000 1.29 0.00
SYMC Symantec Corporation 0.27 -38.00% 213200 24.68 24.30
Notes Gencorp Inc. 4.0625% dbcv 0.26 -38.00% 3215000 1.56 0.00
Industries N shs - a - 0.22 -55.00% 66640 63.30 0.00
Nuance Communications Inc dbcv 2.750% 8/1 0.19 -33.00% 2966000 1.22 0.00
TIBX Tibco Software 0.19 181948 20.22 22.20
Newmont Mining Corp note 1.250% 7/1 0.17 -73.00% 2875000 1.12 0.00
Archer Daniels Midland Co note 0.875% 2/1 0.16 3007000 1.01 0.00
Hartford Finl Svcs Group Inc dep conv pfd 0.15 -72.00% 121863 23.77 0.00
Hornbeck Offshore Svcs Inc N frnt 1.625%11/1 0.15 -37.00% 2714000 1.08 0.00
Newpark Res Inc note 4.000%10/0 0.15 -35.00% 2425000 1.17 0.00
Ensco Plc Shs Class A 0.15 47000 60.00 0.00
Ciena Corp note 0.875% 6/1 0.14 -38.00% 3064000 0.90 0.00
Medtronic Inc note 1.625% 4/1 0.14 -82.00% 2777000 1.00 0.00
TDW Tidewater 0.13 50200 50.50 57.68
Lam Research Corp conv 0.13 -52.00% 2394000 1.07 0.00
Quantum Corp note 3.500%11/1 0.12 2575000 0.92 0.00
Walter Invt Mgmt Corp note 0.11 NEW 2025000 1.08 0.00
SLB Schlumberger 0.09 22000 74.91 75.74
Alcoa Inc debt 0.09 +9.00% 1206000 1.39 0.00
NUM Nuveen Michigan Qlity Incom Municipal Fd 0.09 +5.00% 119553 15.15 14.98
United States Stl Corp New note 4.000% 5/1 0.08 -6.00% 1456000 1.05 0.00
NPY Nuveen Pennsylvania Premium Income Munic 0.08 110423 14.44 14.21
NQP Nuveen PA Investnt Quality Municipal Fd 0.06 82233 14.99 14.75
MCA Blackrock Muniyield California Ins Fund 0.06 -14.00% 67820 16.22 15.92
LEA Lear Corporation 0.05 NEW 18117 54.87 61.03
Spdr Series Trust cmn 0.05 18000 58.50 0.00
BFO BlackRock Florida Municipal 2020 Term Tr 0.04 53100 15.73 15.60
Nextera Energy Inc unit 0.03 NEW 9216 54.58 0.00
Alpha Natural Resources Inc note 2.375% 4/1 0.02 371000 0.95 0.00
DYNEGY INC Common stock 0.02 13120 24.01 0.00
Chesapeake Energy Corp note 2.500% 5/1 0.01 -25.00% 200000 0.96 0.00
Nuveen Ins Ny Tx Fr Adv Mun 0.01 NEW 17036 14.44 0.00
NCO Nuveen California Municipal Market Op Fd 0.01 -72.00% 12355 15.86 16.12

Past 13F-HR SEC Filings for MacKay Shields

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