HoldingsChannel.com
Canyon Capital Advisors LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
BERRY GLOBAL GROUP INC 10,037,135 +2,317,324 $338,352
     BERY10,037,135+2,317,324$338,352
DELL TECHNOLOGIES INC 8,476,200 +2,388,349 $335,234
     DELL8,476,200+2,388,349$335,234
CAESARS ENTMT CORP 45,350,171 -104,200 $306,567
     CZR45,350,171-104,200$306,567
VICI PPTYS INC 18,095,703 +891,727 $301,113
     VICI18,095,703+891,727$301,113
SANTANDER CONSUMER USA HDG I 13,866,845 -110,118 $192,888
     SC13,866,845-110,118$192,888
EDISON INTL 2,914,133 +830,333 $159,665
     EIX2,914,133+830,333$159,665
UNITED TECHNOLOGIES CORP 1,591,300 +1,591,300 $150,107
     UTX1,591,300+1,591,300$150,107
MICROCHIP TECHNOLOGY INC      $110,896
     NOTE 263,500,000UNCH$59,475
     NOTE 150,000,000+10,000,000$51,421
BOEING CO      $93,642
     BA619,759+400,559$92,431
     Call1,306,000+1,306,000$1,211
HOWMET AEROSPACE INC 5,703,400 +5,703,400 $91,597
     HWM5,703,400+5,703,400$91,597
JAZZ INVESTMENTS I LTD      $79,046
     NOTE 144,500,000UNCH$42,270
     NOTE 141,975,000UNCH$36,776
ELDORADO RESORTS INC 5,245,395 -5,199 $75,534
     ERI5,245,395-5,199$75,534
ALLERGAN PLC 417,697 -587,503 $73,974
     AGN417,697-587,503$73,974
LIBERTY MEDIA CORP DEL      $69,448
     NOTE 173,000,000+73,000,000$69,448
MGM RESORTS INTERNATIONAL 5,127,431 -2,781,018 $60,504
     MGM5,127,431-2,781,018$60,504
LIGAND PHARMACEUTICALS INC      $49,708
     NOTE 060,000,000-5,000,000$49,708
OFFICE DEPOT INC 27,768,336 +1,797,336 $45,540
     ODP27,768,336+1,797,336$45,540
JOHNSON & JOHNSON 325,400 +325,400 $42,670
     JNJ325,400+325,400$42,670
PRA GROUP INC      $39,188
     NOTE 344,700,000UNCH$39,188
ARDAGH GROUP S A 2,905,318 UNCH $34,457
     ARD2,905,318UNCH$34,457
AVAYA HLDGS CORP      $32,877
     NOTE 240,750,000+3,250,000$32,877
QTS RLTY TR INC      $32,309
     QTS.PRB250,000UNCH$32,309
VIACOMCBS INC 2,050,098 +2,050,098 $28,722
     CBS2,050,098+2,050,098$28,722
TEGNA INC 2,160,425 +2,160,425 $23,462
     TGNA2,160,425+2,160,425$23,462
BENEFITFOCUS INC      $18,318
     NOTE 123,850,000UNCH$18,318
CHINA MOBILE LIMITED 379,050 +379,050 $14,279
     CHL379,050+379,050$14,279
TIDEWATER INC NEW 1,121,850 UNCH $7,943
     TDW1,121,850UNCH$7,943
YPF SOCIEDAD ANONIMA 1,605,914 -1,239,566 $6,697
     YPF1,605,914-1,239,566$6,697
PETROLEO BRASILEIRO SA PETRO 1,193,200 +544,200 $6,563
     PBR1,193,200+544,200$6,563
BRISTOL MYERS SQUIBB CO      $4,738
     RIGHT 99 99 99991,246,794+1,246,794$4,738
AKORN INC 4,997,800 UNCH $2,805
     AKRX4,997,800UNCH$2,805
INTELSAT S A 1,091,325 UNCH $1,670
     I1,091,325UNCH$1,670
WANDA SPORTS GROUP CO LTD 357,842 UNCH $830
     WSG357,842UNCH$830

See Full List: All Stocks Held By Canyon Capital Advisors LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Canyon Capital Advisors LLC

Size ($ in 1000's)
At 03/31/2020: $2,831,441
At 12/31/2019: $4,290,242

Canyon Capital Advisors LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Canyon Capital Advisors LLC 13F filings. Link to 13F filings: SEC filings

Canyon Capital Advisors LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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