Camden Asset Management

Latest statistics and disclosures from Camden Asset Management's latest quarterly 13F-HR filing:

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Positions held by Camden Asset Management consolidated in one spreadsheet with up to 7 years of data

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Portfolio Holdings for Camden Asset Management

Camden Asset Management holds 84 positions in its portfolio as reported in the September 2025 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Nextera Energy Capital Cv 3percent 030127 Reg CNV (Principal) 5.7 $259B +19% 220M 1181.00
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Ford Motor Company Cv 0percent 031526 Reg CNV (Principal) 5.0 $228B +2% 225M 1013.50
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Evergy Inc Cv 4.5percent 121527 Reg CNV (Principal) 4.6 $210B +16% 167M 1256.50
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Airbnb Inc Cv 0percent 031526 Reg CNV (Principal) 4.0 $182B +8% 186M 977.50
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Wec Energy Group In Cv 4.375percent 060127 Reg CNV (Principal) 3.8 $171B +106% 143M 1198.00
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Bank Of America Corp 7.25percent Cv Pfd L CVP (BAC.PL) 3.6 $164B +7% 128k 1280400.09
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Uber Technologies I Cv 0.875percent 120128 Reg CNV (Principal) 3.3 $151B +119% 103M 1470.00
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Western Digital Corp Cv 3percent 111528 Reg CNV (Principal) 2.6 $118B +65% 37M 3207.50
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Duke Energy Corp Cv 4.125percent 041526 Reg CNV (Principal) 2.5 $115B +67% 107M 1073.50
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Ventas Realty Lp Cv 3.75percent 060126 Reg CNV (Principal) 2.4 $108B +9% 84M 1291.50
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Expedia Group Inc Cv 0percent 021526 Reg CNV (Principal) 2.1 $94B 93M 1007.00
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Blackline Inc Cv 1percent 060129 Reg CNV (Principal) 2.0 $92B +4% 89M 1037.16
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Okta Inc Cv 0.375percent 061526 Reg CNV (Principal) 1.9 $87B +92% 89M 970.47
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Shopify Inc Cv 0.125percent 110125 Reg CNV (Principal) 1.9 $86B 82M 1050.50
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Spotify Usa Inc Cv 0percent 031526 Reg CNV (Principal) 1.8 $80B +12% 59M 1366.50
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Dayforce Inc Cv 0.25percent 031526 Reg CNV (Principal) 1.7 $77B +8% 79M 978.50
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Ppl Capital Funding Cv 2.875percent 031528 Reg CNV (Principal) 1.6 $73B -13% 64M 1141.50
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Upwork Inc Cv 0.25percent 081526 Reg CNV (Principal) 1.6 $72B 74M 966.91
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World Kinect Corp Cv 3.25percent 070128 Reg CNV (Principal) 1.5 $70B +17% 64M 1099.67
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American Water Capi Cv 3.625percent 061526 Reg CNV (Principal) 1.5 $68B +30% 68M 1001.40
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Dexcom Inc Cv 0.375percent 051528 Reg CNV (Principal) 1.5 $67B +9% 74M 911.50
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Ionis Pharmaceutical Cv 1.75percent 061528 Reg CNV (Principal) 1.5 $67B -35% 48M 1381.88
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Snowflake Inc Cv 0percent 100129 Reg CNV (Principal) 1.4 $65B NEW 41M 1565.50
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Haemonetics Corp Cv 2.5percent 060129 Reg CNV (Principal) 1.4 $64B +22% 69M 922.66
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Etsy Inc Cv 0.25percent 061528 Reg CNV (Principal) 1.4 $62B +7% 70M 882.00
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Conmed Corp Cv 2.25percent 061527 Reg CNV (Principal) 1.3 $60B +37% 63M 951.51
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El Paso Energy Ca Cv 4.75percent 033128pfd Reg CVP (EP.PC) 1.3 $59B +5% 1.2M 49490.00
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Digitalocean Holdings Cv 0percent 120126 Reg CNV (Principal) 1.3 $57B +11% 60M 940.70
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On Semiconductor Corp Cv 0.5percent 030129 Reg CNV (Principal) 1.2 $57B +33% 61M 922.67
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Ani Pharmaceuticals Cv 2.25percent 090129 Reg CNV (Principal) 1.2 $53B NEW 38M 1403.20
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Jbt Marel Corp Cv 0.25percent 051526 Reg CNV (Principal) 1.2 $53B +87% 52M 1006.30
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Teladoc Health Inc Cv 1.25percent 060127 Reg CNV (Principal) 1.1 $51B +87% 55M 933.99
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Tetra Tech Inc Cv 2.25percent 081528 Reg CNV (Principal) 1.1 $50B -2% 47M 1080.00
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Halozyme Therapeutics I Cv 1percent 081528 Reg CNV (Principal) 1.1 $50B -48% 35M 1405.00
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Mks Inc Cv 1.25percent 060130 Reg CNV (Principal) 1.0 $44B -12% 41M 1095.00
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Block Inc Cv 0.25percent 110127 Reg CNV (Principal) 1.0 $44B -4% 49M 909.50
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Block Inc Cv 0percent 050126 Reg CNV (Principal) 0.9 $43B 44M 971.00
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Unity Software Inc Cv 0percent 111526 Reg CNV (Principal) 0.9 $43B 45M 951.00
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Chefs Warehouse Inc Cv 2.375percent 121528 Reg CNV (Principal) 0.9 $42B +11% 29M 1443.00
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Exact Sciences Corp Cv 0.375percent 030128 Reg CNV (Principal) 0.9 $41B +36% 45M 923.50
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Live Nation Enterta Cv 3.125percent 011529 Reg CNV (Principal) 0.9 $40B -3% 25M 1613.11
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Lantheus Holdings I Cv 2.625percent 121527 Reg CNV (Principal) 0.9 $40B +171% 38M 1050.50
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Envista Holdings Cor Cv 1.75percent 081528 Reg CNV (Principal) 0.9 $40B +23% 42M 941.88
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Pinnacle West Capita Cv 4.75percent 061527 Reg CNV (Principal) 0.8 $38B -8% 35M 1074.00
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Rapid7 Inc Cv 1.25percent 031529 Reg CNV (Principal) 0.8 $37B +2% 42M 882.84
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Innoviva Inc Cv 2.125percent 031528 Reg CNV (Principal) 0.8 $37B +45% 38M 970.44
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Itron Inc Cv 1.375percent 071530 Reg CNV (Principal) 0.8 $37B +22% 32M 1146.00
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Immunocore Holdings P Cv 2.5percent 020130 Reg CNV (Principal) 0.8 $36B +75% 40M 901.30
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Ziff Davis Inc Cv 3.625percent 030128 144a CNV (Principal) 0.8 $35B +12% 37M 963.75
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Wells Fargo Co 7.5percent Cv Pfd L CVP (WFC.PL) 0.8 $35B -9% 28k 1235463.17
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Microchip Technology Cv 0.75percent 060130 Reg CNV (Principal) 0.8 $34B +17% 36M 969.50
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Bridgebio Pharma Inc Cv 2.25percent 020129 Reg CNV (Principal) 0.7 $34B NEW 34M 984.50
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Amphastar Pharmaceutica Cv 2percent 031529 Reg CNV (Principal) 0.7 $33B +33% 37M 906.40
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Xerox Holdings Corp Cv 3.75percent 031530 Reg CNV (Principal) 0.7 $31B +3% 66M 469.12
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Fluor Corp Cv 1.125percent 081529 Reg CNV (Principal) 0.6 $27B +12% 22M 1186.50
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Lyft Inc Cv 0.625percent 030129 Reg CNV (Principal) 0.6 $26B NEW 20M 1290.00
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Shake Shack Inc Cv 0percent 030128 Reg CNV (Principal) 0.5 $24B -29% 26M 946.88
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Marriott Vacations W Cv 3.25percent 121527 Reg CNV (Principal) 0.5 $24B -4% 25M 953.20
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Box Inc Cv 1.5percent 091529 Reg CNV (Principal) 0.5 $24B NEW 24M 1005.00
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Winnebago Industries Cv 3.25percent 011530 Reg CNV (Principal) 0.5 $22B +25% 25M 893.00
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Workiva Inc Cv 1.25percent 081528 Reg CNV (Principal) 0.5 $21B -12% 21M 985.00
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Jazz Investments I Cv 3.125percent 091530 Reg CNV (Principal) 0.5 $21B NEW 18M 1186.50
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Vishay Intertechnolo Cv 2.25percent 091530 Reg CNV (Principal) 0.5 $21B -7% 23M 908.09
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Alarm.com Holdings I Cv 2.25percent 060129 Reg CNV (Principal) 0.4 $20B +13% 21M 959.00
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Akamai Technologies Cv 1.125percent 021529 Reg CNV (Principal) 0.4 $19B +8% 21M 938.00
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Five9 Inc Cv 1percent 031529 Reg CNV (Principal) 0.4 $19B -7% 22M 883.50
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Pagerduty Inc Cv 1.5percent 101528 Reg CNV (Principal) 0.4 $19B -62% 19M 977.00
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Enphase Energy Inc Cv 0percent 030128 Reg CNV (Principal) 0.4 $18B -4% 21M 866.09
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Pebblebrook Hotel Tr Cv 1.75percent 121526 Reg CNV (Principal) 0.4 $18B -44% 19M 962.05
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Ptc Therapeutics Inc Cv 1.5percent 091526 Reg CNV (Principal) 0.4 $16B -16% 13M 1282.50
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Evolent Health Inc Cv 4.5percent 081531 144a CNV (Principal) 0.3 $16B NEW 16M 999.55
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Advanced Energy Indus Cv 2.5percent 091528 Reg CNV (Principal) 0.3 $15B +52% 11M 1384.50
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Entertainment Properties 5.75percent Cv Pfd C CVP (EPR.PC) 0.3 $15B +5% 576k 25500.00
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Amc Networks Inc Cv 4.25percent 021529 Reg CNV (Principal) 0.3 $13B 14M 952.50
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Tandem Diabetes Care Cv 1.5percent 031529 Reg CNV (Principal) 0.3 $12B 14M 874.38
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Wolfspeed Sto (WOLF) 0.2 $9.5B NEW 331k 28600.00
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Evolent Health Inc Cv 3.5percent 120129 Reg CNV (Principal) 0.2 $8.0B NEW 10M 800.50
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Lci Industries Cv 1.125percent 051526 Reg CNV (Principal) 0.2 $7.2B NEW 7.5M 956.50
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Entertainment Properties 9percent Cv Pfd E CVP (EPR.PE) 0.1 $6.3B +11% 197k 31940.00
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Alarm.com Hldgs Inc Cv 0percent 011526 Reg CNV (Principal) 0.1 $4.5B 4.6M 984.00
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Wayfair Inc Cv 3.25percent 091527 Reg CNV (Principal) 0.1 $4.4B -85% 2.9M 1523.78
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Cms Energy Corp Cv 3.375percent 050128 Reg CNV (Principal) 0.1 $3.8B -68% 3.5M 1095.00
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Kkr & Co Inc Cv 6.25percent 030128pfd D Reg CVP (KKR.PD) 0.0 $1.0B 20k 52160.00
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Core Scientific Inc WAR 6.81 012327 War (Principal) (CORZW) 0.0 $0 +2% 740k 0.00
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Past Filings by Camden Asset Management

SEC 13F filings are viewable for Camden Asset Management going back to 2010

View all past filings