Camden Asset Management

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

Tip: Access up to 7 years of quarterly data

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

Download as csvDownload consolidated filings csv Download as ExcelDownload consolidated filings xlsx

Portfolio Holdings for Camden Asset Management

Camden Asset Management holds 69 positions in its portfolio as reported in the March 2026 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) 6.9 $202B -16% 146M 1387.50
 View chart
Wec Energy Group In Cv 4.375percent 060127 Reg CNV (Principal) 6.0 $176B +6% 146M 1205.00
 View chart
Ventas Realty Lp Cv 3.75percent 060126 Reg CNV (Principal) 4.5 $132B +3% 89M 1486.90
 View chart
Okta Inc Cv 0.375percent 061526 Reg CNV (Principal) 4.0 $118B +17% 120M 990.00
 View chart
Uber Technologies I Cv 0.875percent 120128 Reg CNV (Principal) 4.0 $117B +44% 97M 1202.50
 View chart
Ppl Corporation Cv 7percent 021529 Pfd Reg CVP 3.1 $91B NEW 1.8M 51030.00
 View chart
American Water Capi Cv 3.625percent 061526 Reg CNV (Principal) 3.0 $89B +9% 89M 997.80
 View chart
On Semiconductor Corp Cv 0.5percent 030129 Reg CNV (Principal) 3.0 $88B +10% 90M 977.50
 View chart
Bank Of America Corp 7.25percent Cv Pfd L CVP (BAC.PL) 2.9 $86B -47% 72k 1190610.00
 View chart
Evergy Inc Cv 4.5percent 121527 Reg CNV (Principal) 2.6 $78B -49% 58M 1349.00
 View chart
Upwork Inc Cv 0.25percent 081526 Reg CNV (Principal) 2.6 $77B +6% 79M 977.50
 View chart
Nextera Energy Cv 7.375percent 021529 Pfd Reg CVP (NEE.PV) 2.6 $76B NEW 1.5M 50140.00
 View chart
Dexcom Inc Cv 0.375percent 051528 Reg CNV (Principal) 2.3 $69B +2% 75M 921.00
 View chart
Conmed Corp Cv 2.25percent 061527 Reg CNV (Principal) 2.3 $67B +10% 69M 968.00
 View chart
World Kinect Corp Cv 3.25percent 070128 Reg CNV (Principal) 2.3 $67B 64M 1048.50
 View chart
Etsy Inc Cv 0.25percent 061528 Reg CNV (Principal) 2.1 $63B +5% 71M 892.90
 View chart
El Paso Energy Ca Cv 4.75percent 033128pfd Reg CVP (EP.PC) 2.1 $61B 1.2M 51070.00
 View chart
Teladoc Health Inc Cv 1.25percent 060127 Reg CNV (Principal) 2.0 $60B +12% 63M 954.00
 View chart
Cheesecake Factory CNV (Principal) 2.0 $60B NEW 59M 1016.50
 View chart
Digitalocean Holdings Cv 0percent 120126 Reg CNV (Principal) 2.0 $59B 60M 974.00
 View chart
Nutanix Inc Cv 0.5percent 121529 Reg CNV (Principal) 2.0 $58B +3% 64M 901.51
 View chart
Snowflake Inc Cv 0percent 100129 Reg CNV (Principal) 1.8 $52B +3% 43M 1223.60
 View chart
Ani Pharmaceuticals Cv 2.25percent 090129 Reg CNV (Principal) 1.7 $50B -5% 41M 1238.12
 View chart
Arrowhead Research Corp Cv 0percent 011532 Reg CNV (Principal) 1.6 $47B NEW 46M 1034.60
 View chart
Lantheus Holdings I Cv 2.625percent 121527 Reg CNV (Principal) 1.5 $46B +33% 38M 1199.00
 View chart
Innoviva Inc Cv 2.125percent 031528 Reg CNV (Principal) 1.5 $44B +24% 41M 1078.75
 View chart
Block Inc Cv 0percent 050126 Reg CNV (Principal) 1.5 $44B 44M 996.00
 View chart
Haemonetics Corp Cv 2.5percent 060129 Reg CNV (Principal) 1.5 $44B NEW 46M 951.80
 View chart
Unity Software Inc Cv 0percent 111526 Reg CNV (Principal) 1.5 $44B 45M 970.00
 View chart
Live Nation Enterta Cv 3.125percent 011529 Reg CNV (Principal) 1.4 $43B +12% 28M 1519.00
 View chart
Immunocore Holdings P Cv 2.5percent 020130 Reg CNV (Principal) 1.3 $38B +17% 43M 896.88
 View chart
Amphastar Pharmaceutica Cv 2percent 031529 Reg CNV (Principal) 1.3 $38B +14% 42M 903.50
 View chart
Oracle Corp Cv 6.5percent 011529 Pfd Dreg CVP (ORCL.PD) 1.3 $37B NEW 810k 45970.00
 View chart
Tetra Tech Inc Cv 2.25percent 081528 Reg CNV (Principal) 1.2 $37B -24% 35M 1045.40
 View chart
Jbt Marel Corp Cv 0.25percent 051526 Reg CNV (Principal) 1.1 $33B -34% 33M 994.50
 View chart
Chefs Warehouse Inc Cv 2.375percent 121528 Reg CNV (Principal) 1.0 $29B -34% 19M 1474.00
 View chart
Southern Co Cv 7.125percent 121528 Pfd A Reg CVP (SOMN) 1.0 $28B -67% 548k 51630.36
 View chart
Southern Co/the Cv 4.5percent 061527 Reg CNV (Principal) 0.9 $26B NEW 23M 1110.79
 View chart
Box Inc Cv 1.5percent 091529 Reg CNV (Principal) 0.8 $23B +6% 25M 916.50
 View chart
Envista Holdings Cor Cv 1.75percent 081528 Reg CNV (Principal) 0.8 $23B -52% 23M 991.88
 View chart
Fluor Corp Cv 1.125percent 081529 Reg CNV (Principal) 0.7 $21B -22% 17M 1231.50
 View chart
Vishay Intertechnolo Cv 2.25percent 091530 Reg CNV (Principal) 0.7 $21B -8% 22M 959.50
 View chart
Jazz Investments I Cv 3.125percent 091530 Reg CNV (Principal) 0.7 $21B -32% 15M 1416.00
 View chart
Pinnacle West Capita Cv 4.75percent 061527 Reg CNV (Principal) 0.7 $19B -6% 17M 1145.00
 View chart
Integer Holdings Co Cv 1.875percent 031530 Reg CNV (Principal) 0.7 $19B NEW 20M 953.50
 View chart
Enphase Energy Inc Cv 0percent 030128 Reg CNV (Principal) 0.6 $19B 21M 890.00
 View chart
Alarm.com Holdings I Cv 2.25percent 060129 Reg CNV (Principal) 0.6 $19B 21M 920.62
 View chart
Pebblebrook Hotel Tr Cv 1.75percent 121526 Reg CNV (Principal) 0.6 $19B 19M 974.02
 View chart
Winnebago Industries Cv 3.25percent 011530 Reg CNV (Principal) 0.6 $18B +34% 20M 902.00
 View chart
Ziff Davis Inc Cv 3.625percent 030128 144a CNV (Principal) 0.5 $15B -20% 16M 980.00
 View chart
Bridgebio Pharma Inc Cv 2.5percent 031527 Reg CNV (Principal) 0.4 $13B NEW 7.2M 1798.00
 View chart
Xerox Holdings Corp Cv 3.75percent 031530 Reg CNV (Principal) 0.4 $12B -29% 48M 253.08
 View chart
Amc Networks Inc Cv 4.25percent 021529 Reg CNV (Principal) 0.4 $12B 14M 886.25
 View chart
Entertainment Properties 5.75percent Cv Pfd C CVP (EPR.PC) 0.4 $12B 527k 22640.00
 View chart
Livanova Plc Cv 2.5percent 031529 Reg CNV (Principal) 0.4 $12B NEW 10M 1163.00
 View chart
Evolent Health Inc Cv 3.5percent 120129 Reg CNV (Principal) 0.3 $10B +16% 19M 526.88
 View chart
Itron Inc Cv 1.375percent 071530 Reg CNV (Principal) 0.3 $9.2B 9.1M 1005.00
 View chart
Boeing Co/the Sto (BA) 0.3 $8.0B NEW 40k 199030.00
 View chart
Marriott Vacations W Cv 3.25percent 121527 Reg CNV (Principal) 0.3 $7.7B 8.0M 960.00
 View chart
Lci Industries Cv 1.125percent 051526 Reg CNV (Principal) 0.3 $7.5B 7.5M 993.80
 View chart
Microchip Technology Cv 0.75percent 060130 Reg CNV (Principal) 0.3 $7.4B -77% 7.5M 988.20
 View chart
Evolent Health Inc Cv 4.5percent 081531 144a CNV (Principal) 0.2 $6.9B +47% 14M 496.88
 View chart
Entertainment Properties 9percent Cv Pfd E CVP (EPR.PE) 0.2 $6.0B 197k 30220.00
 View chart
Rapid7 Inc Cv 1.25percent 031529 Reg CNV (Principal) 0.2 $5.9B -60% 7.1M 837.50
 View chart
Wec Energy Group In Cv 4.375percent 060129 Reg CNV (Principal) 0.1 $3.7B NEW 3.0M 1237.00
 View chart
Wells Fargo Co 7.5percent Cv Pfd L CVP (WFC.PL) 0.0 $1.2B -97% 1.1k 1157149.76
 View chart
Ppl Capital Funding Cv 2.875percent 031528 Reg CNV (Principal) 0.0 $1.2B -83% 1.0M 1171.50
 View chart
Core Scientific Inc WAR 6.81 012327 War (Principal) (CORZW) 0.0 $0 770k 0.00
 View chart
Xerox Holdings Corp War 8 021428 War (Principal) (XRXDW) 0.0 $0 NEW 118.00 0.00
 View chart

Past Filings by Camden Asset Management

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

View all past filings