Thomas MacArthur

Thomas MacArthur

U.S. RepresentativeNJ0347 filings4191 transactions
View on House Disclosures

Total Purchases (max)

$60.8M

Total Sales (max)

$23.8M

Net Portfolio Value

$37.0M

428 active positions of 1219 total · Using max values from amount ranges

#TickerAssetPurchasesSalesNet ValueTxns% of Portfolio
1VEAMacArthur Family 2008 Irr Tr FBO Isabella MacArthur Vanguard FTSE Developed Markets ETF$3.5M$1.5M$2.0M465.4%
2XLFMacArthur Family 2008 Irr Tr FBO Isabella MacArthur SPDR Select Sector Fund - Financial$1.4M$50K$1.3M153.5%
3IWFiShares Russell 1000 growth ETF$1.6M$470K$1.1M353.0%
4VBVanguard Small-Cap ETF$1.2M$420K$745K302.0%
5IWDiShares Russell 1000 Value ETF$1.7M$955K$740K412.0%
6XLESPDR Select Sector Fund - Energy Select Sector$600K$600K31.6%
7VTVVanguard Value ETF$500K$500K11.4%
8MDYSPDR MidCap Trust Series I$500K$500K11.4%
9NEW JERSEY ST EDL FACS A RV BE/R/ 5 DUE 070131$500K$500K11.4%
10IUSGiShares Core U.S. growth ETF$1.0M$500K$500K21.4%
11iShares Core MSCI Emerging Markets$500K$500K11.4%
12CONNECTICUT ST SP TAX oB SR A RV BE/R/ 5 DUE 100133$500K$500K11.4%
13CUYAHOGA CNTY oH SALES T RV BE/R/ 5 DUE 120127$500K$500K11.4%
14ALASKA ST SR A BE/R/ 5 DUE 080128 DTD 041409$500K$500K11.4%
15JNJJohnson & Johnson$800K$310K$490K291.3%
16ACNAccenture plc Class A ordinary Shares$730K$295K$435K191.2%
17INTCIntel Corporation$800K$400K$400K501.1%
18CAMDEN CNTY N J IMPT SR A RV BE/R/ 5 DUE 011530$350K$350K20.9%
19TXNTexas Instruments Incorporated$555K$220K$335K290.9%
20WFTWeatherford International plc$525K$200K$325K100.9%
21JCIMacArthur Family 2008 Irr Tr FBO Isabella MacArthur Johnson Controls International plc ordinary Share$1.0M$690K$320K330.9%
22LMTLockheed Martin Corporation$330K$15K$315K50.9%
23HDHome Depot, Inc.$450K$175K$275K180.7%
24TWTRTwitter, Inc.$455K$200K$255K220.7%
25KANE COOK&DUPAGE COS BE/R/ 5 DUE 010129 [gS]$250K$250K10.7%
26OKLAHOMA TRANSN AUTH oK SR A RV BE/R/ 5 DUE 010137 [gS]$250K$250K10.7%
27METROPOLITAN BOSTON TRAN BE/R/ 5.25 070133 [gS]$250K$250K10.7%
28NEW JERSEY ST EDL FACS A SR B RV BE/R/ 5 DUE 070135 [gS]$250K$250K10.7%
29CHICAGO IL o HARE INTL A SR C RV BE/R/ 5 DUE 010136$250K$250K10.7%
30MIAM-DADE CNTY BE/R/ 5 DUE 031530 DTD 050217 [gS]$250K$250K10.7%
31CHICAGO IL METRO WATER R TAX SR B BE/R/ 5.000 120131 [gS]$250K$250K10.7%
32MIAMI-DADE CNTY FL SR A BE/R/ 5 DUE 070132 [gS]$250K$250K10.7%
33NEW JERSEY ST TPK AUTH SR E BE/R/ 5 DUE 010132 [gS]$250K$250K10.7%
34ENERGY NORTHWEST WA ELEC SR A BE/R/ 5 DUE 070132 [gS]$250K$250K10.7%
35WASHINGTON ST FOR ISSUES A- 1 BE/R/ 5 DUE 080133 [gS]$250K$250K10.7%
36MANOR TX ISD UT BE/R/ 5 DUE 080132 [gS]$250K$250K10.7%
37CLARK CNTY NV ARPT SR A RV BE/R/ 5 DUE 070140$250K$250K10.7%
38DALLAS FORT WORTH TX IN SR D RV BE/R/ 5.25 110125 DTD 070113$250K$250K10.7%
39NEW JERSEY ST TPK AUTH T RV BE/R/ 5 DUE 010133$250K$250K10.7%
40NEW JERSEY ST TPK AUTH SR A RV BE/R/ 5 DUE 010128$250K$250K10.7%
41UNIV CT GENL OBLIG SR A RV BE/R/ 5 DUE 011533$250K$250K10.7%
42NEW JERSEY TRANS TRUST A-2 RV$250K$250K10.7%
43CAMDEN Co NJ IMPT AUTH SR A RV bE/R/ 5 DUE 011540$250K$250K10.7%
44NEW JERSEY HEALTH CARE F RV BE/R/ 5 DUE 070131$250K$250K10.7%
45RUTGER ST UNIV NJ SR F RV BE/R/ 5 DUE 050139$250K$250K10.7%
46NEW JERSEY ECON DEV AUTH SR XX RV BE/R/ 5 DUE 061522$250K$250K10.7%
47PORT AUTH N Y & N J REV OID@99.2291 BE/R/ 5 DUE 071538$250K$250K10.7%
48PORT AUTH NY & NJ SR189 BE/R/ 5 DUE 050126$250K$250K10.7%
49NASSAU CNTY BE/R/ 5 DUE 100127 DTD 012915$250K$250K10.7%
50CALIFORNIA ST PUB WKS BR SR I RV BE/R/ 5.5 110130 DTD 112013$250K$250K10.7%
51VOTVanguard Mid-Cap growth ETF$525K$290K$235K180.6%
52JNKThomas C MacArthur and Deborah A MacArthur SPDR Barclays High Yield Bond ETF$315K$80K$235K60.6%
53CVXChevron Corporation$560K$345K$215K220.6%
54VCSHThomas C MacArthur and Deborah A MacArthur Vanguard Short-Term Corporate Bond ETF$215K$215K40.6%
55MCDMcDonald's Corporation$535K$325K$210K190.6%
56EQMEQM Midstream Partners, LP Common Units representing Limited Partner Interests$200K$200K30.5%
57WDCMacArthur Family 2008 Irr Tr FBO David MacArthur Western Digital Corporation$295K$100K$195K190.5%
58LQDThomas C MacArthur and Deborah A MacArthur iShares iBoxx $ Investment grade Corporate Bond ETF$580K$395K$185K160.5%
59VOEVanguard Mid-Cap Value ETF$600K$420K$180K260.5%
60MSFTMicrosoft Corporation$465K$285K$180K360.5%
61ROKRockwell Automation, Inc.$700K$535K$165K250.4%
62CMCSAComcast Corporation - Class A$280K$115K$165K50.4%
63CVSMacArthur Family 2008 Irr Tr FBO David MacArthur CVS Health Corporation$590K$425K$165K150.4%
64SLBSchlumberger N.V.$945K$790K$155K300.4%
65AMGPAntero Midstream gP LP Common Shares of Beneficial Interests$150K$150K20.4%
66CRCrane Co.$180K$30K$150K60.4%
67NYLDNRG Yield, Inc. Class C$150K$150K20.4%
68NEPNextEra Energy Partners, LP Common Units representing limited partner interests$200K$50K$150K40.4%
69SEMPER MBS TOTAL RETURN FUND CLASS INSTITUTIONAL$165K$15K$150K40.4%
70MRAAYMurata Manufacturing Co Ltd Unsponsored ADR$260K$115K$145K110.4%
71AERAercap Holdings N.V. ordinary Shares$130K$130K40.4%
72EMC CORP B/E 03.375% 060123$125K$125K60.3%
73TDMacArthur Family 2008 Irr Tr FBO David MacArthur Toronto Dominion Bank$685K$560K$125K180.3%
74LLLL3 Technologies, Inc.$250K$130K$120K40.3%
75RHHBYRoche Holdings Ag Basel American Depositary Shares$640K$525K$115K190.3%
76Thomas C MacArthur and Deborah A MacArthur SEMPER MBS TOTAL RETURN FUND CLASS INSTITUTIONAL$115K$115K20.3%
77FCXFreeport-McMoRan, Inc.$260K$150K$110K100.3%
78APCAnadarko Petroleum Corporation$210K$100K$110K70.3%
79NEW JERSEY ST EDL FACS A SR F RV BE/R/ 4 DUE 070131 [gS]$100K$100K10.3%
80NEW JERSEY HEALTH CARE F SR A RV BE/R/ 5 DUE 070131 [gS]$100K$100K10.3%
81gUggENHEIM TOTAL RETURN BOND FUND [oT]$100K$100K10.3%
82EPDEnterprise Products Partners L.P.$100K$100K20.3%
83NJ ECO DV UTH SCH FACS CC-2 BE/R/ 5 DUE 121531$100K$100K10.3%
84NEW JERSEY TRANS TRUST SR AA BE/R/ 5 DUE 061528$100K$100K10.3%
85SVNDYSeven & I Holdings Co Ltd Unsponsored ADR$230K$130K$100K90.3%
86NJ ECO DV UTH SCH FACS SR EE BE/R/ 5 DUE 090123$100K$100K10.3%
87EQGPEQT gP Holdings, LP Common Units representing limited partner interests$100K$100K20.3%
88NORTH HUDSON SEW AUTH N SR A RV BE/R/ 5 DUE 060128$100K$100K10.3%
89MPLXMPLX LP Common Units Representing Limited Partner Interests$100K$100K10.3%
90DPMDCP Midstream Partners, LP DCP Midstream Partnership, LP Common Units$100K$100K10.3%
91AMAntero Midstream Partners LP Common Units representing limited partner interests$100K$100K10.3%
92CLIFTON NJ GEN CIFG PREF OID99.626BE/R/ 4.3 080124$100K$100K10.3%
93RUTGER ST UNIV NJ SR L RV BE/R/ 5 DUE 050132$100K$100K10.3%
94JWNNordstrom, Inc.$665K$570K$95K290.3%
95XOMThomas C MacArthur and Deborah A MacArthur Exxon Mobil Corporation$390K$295K$95K120.3%
96DISCADiscovery Communications, Inc. - Series$145K$50K$95K60.3%
97SNDKSanDisk Corporation$140K$50K$90K110.2%
98PXThomas C MacArthur and Deborah A MacArthur Praxair, Inc.$280K$195K$85K110.2%
99PEPThomas C MacArthur and Deborah A MacArthur Pepsico, Inc.$390K$305K$85K170.2%
100NXPINXP Semiconductors N.V.$80K$80K30.2%
101BAESYBAE SYSTEMS plc Sponsored ADR$180K$100K$80K70.2%
102DANOYDanone Sponsored ADR$130K$50K$80K50.2%
103RSGRepublic Services, Inc.$195K$115K$80K80.2%
104SNNSmith & Nephew SNATS, Inc.$245K$165K$80K100.2%
105ADT CORP NTS B/E 06.250% 101521$95K$15K$80K50.2%
106ENGIE SPON ADR$95K$15K$80K50.2%
107QCOMQUALCOMM Incorporated$390K$310K$80K130.2%
108SVC CORP INTL NTS B/E 05.375% 051524$90K$15K$75K70.2%
109VFCV.F. Corporation$330K$255K$75K240.2%
110UNITED RENTALS NORTH AM 05.875% 091526$75K$75K50.2%
111NRG YIELD OPERATING LLC 05.375% 081524$75K$75K50.2%
112EMBThomas C MacArthur and Deborah A MacArthur iShares J.P. Morgan USD Emerging Markets Bond ETF$165K$95K$70K80.2%
113EQUINIX INC B/E 05.750% 010125$100K$30K$70K40.2%
114TRGPTarga Resources, Inc.$115K$50K$65K40.2%
115SLQDIsabella MacArthur iShares 0-5 Year Investment grade Corporate Bond ETF$65K$65K20.2%
116PFFiShares U.S. Preferred Stock ETF$680K$615K$65K190.2%
117WBCWabco Holdings Inc.$65K$65K20.2%
118CDW LLC / CDW FIN CORP 05.500% 120124$80K$15K$65K40.2%
119CF INDUSTRIES INC NTS 03.450% 060123$80K$15K$65K40.2%
120MMCMacArthur Family 2008 Irr Tr FBO David MacArthur Marsh & McLennan Companies, Inc.$405K$340K$65K160.2%
121EONGYE.oN SE Sponsored ADR$145K$80K$65K80.2%
122T-MOBILE INC NTS B/E 05.375% 041527$65K$65K20.2%
123MURPHY OIL CORP NTS b/E 06.875% 081524$65K$65K20.2%
124TOTTotal S.A.$115K$50K$65K40.2%
125TYCTyco International plc$65K$65K50.2%
126TKTeekay Corporation$165K$100K$65K40.2%
127FIRST DATA CORP NTS B/E 12.625% 011521$80K$15K$65K40.2%
128SITESiteone Landscape Supply, Inc.$75K$15K$60K60.2%
129CRLCharles River Laboratories International, Inc.$60K$60K40.2%
130AES CORP B/E 05.500% 041525$90K$30K$60K80.2%
131SPRINGLEAF FIN CORP NTS 08.250% 121520$75K$15K$60K60.2%
132RADIAN GROUP INC NTS B/E 07.000% 031521$75K$15K$60K60.2%
133IONSThomas C MacArthur and Deborah A MacArthur Ionis Pharmaceuticals, Inc.$110K$50K$60K60.2%
134TOYS R US PRPTY Co II 08.500% 120117$60K$60K40.2%
135ROWAN COMPANIES INC B/E 4.875% 060122$155K$100K$55K90.1%
136NEENextEra Energy, Inc.$615K$565K$50K420.1%
137WGPWestern gas Equity Partners, LP Common Units Representing Limited Partner Interests$150K$100K$50K40.1%
138WMBWilliams Companies, Inc.$150K$100K$50K30.1%
139BASFYBASF SE American Depositary Shares$100K$50K$50K30.1%
140BTIBritish American Tobacco Industries, p.l.c. Common Stock ADR$115K$65K$50K50.1%
141RDS.ARoyal Dutch Shell PLC Royal Dutch Shell American Depositary Shares$130K$80K$50K60.1%
142PGFThomas C MacArthur and Deborah A MacArthur Invesco Financial Preferred ETF$50K$50K10.1%
143DMDominion Energy Midstream Partners, LP Common Units representing Limited Partner Interests$150K$100K$50K30.1%
144DOCUDocuSign, Inc.$50K$50K10.1%
145ACSAYACS Actividades De Construccion Y Servicios SA Unsponsored ADR$80K$30K$50K50.1%
146NEW JERSEY ST TPK AUTH T SR H RV OID99.0 BE/R/ 5 DUE 010136 [gS]$50K$50K10.1%
147COTVCotiviti Holdings, Inc.$50K$50K20.1%
148CRRFYCarrefour S A$230K$180K$50K110.1%
149AMNAMN Healthcare Services Inc AMN Healthcare Services Inc$50K$50K10.1%
150OZRKBank of the ozarks$50K$50K10.1%
151JKHYJack Henry & Associates, Inc.$50K$50K10.1%
152LIILennox International, Inc.$50K$50K10.1%
153POOLPool Corporation$50K$50K10.1%
154The Cooper Companies, Inc. (Coo)$50K$50K10.1%
155WINAWinmark Corporation$50K$50K10.1%
156GLP CAP L P / GLP FING 05.375% 041526$50K$50K10.1%
157AIRCASTLE LTD NTS B/E 04.125% 050124$50K$50K10.1%
158ALCOA INC NTS B/E 05.125% 100124$50K$50K10.1%
159AMER AXLE & MANF INC NTS 06.625% 101522$65K$15K$50K30.1%
160CIT GROUP INC B/E 05.000% 080123$50K$50K10.1%
161ENERGY TRANSFER EQUITY 05.875% 011524$50K$50K10.1%
162L BRANDS INC NTS B/E 05.625% 101523$50K$50K10.1%
163NEWFIELD EXPLORATION Co 05.625% 070124$50K$50K10.1%
164ROYAL BK SCOTLND GRP PLC 06.125% 121522$50K$50K10.1%
165TECK COMINCO LTD NTS 06.125% 100135$50K$50K10.1%
166TELECOM ITALIA 07.721% 060438$50K$50K10.1%
167TENET HEALTHCARE CORP 04.500% 040121$50K$50K10.1%
168WILLIAMS COS INC B/E 04.550% 062424$50K$50K10.1%
169Thomas C MacArthur and Deborah A MacArthur gUggENHEIM TOTAL RETURN BOND [oT]$50K$50K10.1%
170NEW JERSEY ENVIRONMENTAL SR A RV OID98.435 BE/R/ 5 DUE 090127$50K$50K10.1%
171IEFiShares 7-10 Year Treasury Bond ETF$200K$150K$50K60.1%
172OTSKYotsuka Holdings Co. Ltd, Tokyo Unsponsored ADR$100K$50K$50K30.1%
173Thomas C MacArthur and Deborah A MacArthur BLACKROCK STRATEGIC MUNICIPAL OPPORTUNITIES FUND$50K$50K10.1%
174BLACKROCK STRATEGIC MUNICIPAL OPPORTUNITIES FUND$50K$50K10.1%
175TRANSOCEAN INC MW@ +40bP 06.800% 031538$50K$50K10.1%
176ESLOYEssilor International SA ADR$50K$50K10.1%
177Thomas C MacArthur and Deborah A MacArthur RIDGEWORTH SEIX FLOATING RATE HIGH INCOME FUND$50K$50K10.1%
178RIDGEWORTH SEIX FLOATING RATE HIGH INCOME FUND$50K$50K10.1%
179CBD/B/A Chubb Limited New$360K$310K$50K110.1%
180CK HUTCHISON HLDGS LTD UNSPONSORED ADR$50K$50K10.1%
181ORANorange$50K$50K10.1%
182VEREIT INCORP NTS b/E 04.875% 060126$50K$50K10.1%
183CHATHAMS NJ S/D FSA B/E . /R/ 4.25 071522$50K$50K10.1%
184FLEMINGTON RARITAN NJ FGIC B/E /R/ 5 DUE 061528$50K$50K10.1%
185SABINE PASS LIQUEFACTION 05.625%$50K$50K10.1%
186PAGPPlains group Holdings, L.P. Class A Shares representing limited partner interests$100K$50K$50K20.1%
187NINiSource Inc$100K$50K$50K20.1%
188BRCMBroadcom Corporation - Class A$50K$50K10.1%
189AUTONATION INC NTS B/E 06.750% 041518$50K$50K10.1%
190SEARS HLDGS CORP NTS B/E 06.625% 101518$65K$15K$50K30.1%
191D R HORTON INC NTS B/E 04.000% 021520$50K$50K10.1%
192IBKRInteractive Brokers group, Inc.$60K$15K$45K50.1%
193STIMacArthur Family 2008 Irr Tr FBO David MacArthur SunTrust Banks, Inc.$90K$45K$45K90.1%
194BLKThomas C MacArthur and Deborah A MacArthur BlackRock, Inc.$75K$30K$45K70.1%
195CROWN AMER CAP CORP NTS 04.500% 011523$60K$15K$45K50.1%
196DIAMONDBACK ENERGY INC 04.750% 110124$95K$50K$45K50.1%
197PULTEGROUP INC B/E 05.500% 030126$60K$15K$45K50.1%
198ROYAL CARIBBEAN CRUISES 05.250% 111522$95K$50K$45K50.1%
199MGM RESORTS INTL NTS B/E 06.000% 031523$45K$45K30.1%
200MZDAYMazda Motor Corp Unsponsored ADR$95K$50K$45K50.1%
201ALPMYAstellas Pharma Inc Unsponsored ADR$145K$100K$45K70.1%
202HCA INC B/E 05.875% 050123$45K$45K30.1%
203ISNPYIntesa Sanpaolo S.P.A. Sponsored ADR$245K$200K$45K80.1%
204MGIC INVMT CORP NTS b/E 05.750% 081523$45K$45K30.1%
205LEVEL 3 FING INC NTS B/E 05.375% 050125$45K$45K30.1%
206CENTENE CORP NTS B/E 04.750% 051522$45K$45K30.1%
207WILLIAMS COS INC B/E 05.750% 062444$60K$15K$45K50.1%
208SPRINT CORP NTS B/E 11.500% 111521 DTD051512$45K$45K30.1%
209ANTERO RESOURCES CORP 05.625% 060123$90K$50K$40K70.1%
210ENSCO PLC NTS B/E 05.750% 100144$90K$50K$40K70.1%
211CLEAN HARBORS INC B/E 05.250% 080120$90K$50K$40K70.1%
212BBLBHP group PlcSponsored ADR$165K$130K$35K80.1%
213AHGPAlliance Holdings gP, L.P. - Common Units Representing Limited Partner Interests$50K$15K$35K30.1%
214TELEFLEX INC NTS B/E 04.625% 111527$50K$15K$35K20.1%
215MLPAglobal X MLP ETF$100K$65K$35K40.1%
216Thomas C MacArthur and Deborah A MacArthur BLACKROCK HIGH YIELD BOND I$50K$15K$35K20.1%
217CABGYCarlsberg AS Sponsored ADR Representing Class B Shares$50K$15K$35K20.1%
218NOVNational oilwell Varco, Inc.$50K$15K$35K20.1%
219MRKTMarkit Ltd. - Common Shares$50K$15K$35K30.1%
220DNOWNOW Inc.$50K$15K$35K20.1%
221JPMThomas C MacArthur and Deborah A MacArthur JP Morgan Chase & Co.$95K$65K$30K60.1%
222KUBTYKubota Corporation$80K$50K$30K40.1%
223EMLCThomas C MacArthur and Deborah A MacArthur VanEck Vectors J.P. Morgan EM Local Currency Bond ETF$130K$100K$30K60.1%
224PTC INC NTS B/E 06.000% 051524$30K$30K20.1%
225MASTEC INC NTS 04.875% 031523$30K$30K20.1%
226BLUE CUBE SPINCO INC NTS 10.000% 101525$45K$15K$30K40.1%
227gooDYEAR TIRE & RUBBER 04.875% 031527$45K$15K$30K40.1%
228RANGE RESOURCES CORP NTS 04.875% 051525$45K$15K$30K40.1%
229SOWSTN ENERGY Co B/E 07.750% 100127$45K$15K$30K40.1%
230TOLL BROS FIN CORP B/E 04.875% 031527$80K$50K$30K40.1%
231NUANNuance Communications, Inc.$80K$50K$30K40.1%
232CHLChina Mobile Limited$230K$200K$30K80.1%
233T-MOBILE USA INC B/E 06.500% 011524$30K$30K20.1%
234VIVHYVivendi SA Unsponsored ADR$230K$200K$30K80.1%
235CONCHO RESOURCES INC B/E 05.500% 040123$80K$50K$30K40.1%
236AMERIGAS PARTNER b/E 05.875% 082026$30K$30K20.1%
237HMHCHoughton Mifflin Harcourt Company$45K$15K$30K40.1%
238Thomas C MacArthur and Deborah A MacArthur UNITED RENTALS NA INC 07.625% 041522$30K$30K20.1%
239HIXWestern Asset High Income Fund II Inc.$145K$115K$30K80.1%
240SINCLAIR TELEVISION 05.375% 040121$90K$60K$30K100.1%
241LEAR CORP NTS B/E 05.250% 011525 DTD112114$30K$30K20.1%
242JPMORGAN CHASE & Co NTS 02.250% 012320$30K$30K20.1%
243CONSOL ENERGY INC 05.875% 041522$75K$50K$25K60.1%
244DAVITA HEALTHCARE PARTNE 05.125% 071524$75K$50K$25K60.1%
245DIAMOND OFFSHORE DRILL 07.875% 081525$75K$50K$25K60.1%
246KENNEDY-WILSON INC MTN 05.875% 040124$75K$50K$25K60.1%
247NCR CORP NTS B/E 05.000% 071522$75K$50K$25K60.1%
248NETFLIX INC NTS B/E 05.500% 021522$75K$50K$25K60.1%
249ZAYO GROUP LLC/ZAYO CPTL 06.000% 040123$75K$50K$25K60.1%
250CTRPCtrip.com International, Ltd. - American Depositary Shares$65K$45K$20K50.1%
251CDWCDW Corporation$50K$30K$20K30.1%
252ALBERTSONS INC MW+30BP 08.000% 050131$50K$30K$20K30.1%
253TMICYTrend Micro Incorporated American Depositary Shares$50K$30K$20K30.1%
254SUMacArthur Family 2008 Irr Tr FBO David MacArthur Suncor Energy Inc.$485K$470K$15K230.0%
255WESWestern gas Partners, LP Limited Partner Interests$15K$15K10.0%
256MTArcelor Mittal NY Registry Shares NEW$115K$100K$15K50.0%
257FLIRFLIR Systems, Inc.$65K$50K$15K30.0%
258MacArthur Family 2008 Irr Tr FBO Isabella MacArthur Invesco Financial Preferred ETF$15K$15K10.0%
259SMGScotts Miracle-gro Company$80K$65K$15K50.0%
260TERTeradyne, Inc.$65K$50K$15K30.0%
261THOThor Industries, Inc.$65K$50K$15K30.0%
262International Consolidated Airlines$15K$15K10.0%
263CK Hutchison Holdings LTD ADR [oT]$15K$15K10.0%
264Engie SPON ADR [oT]$15K$15K10.0%
265Fanuc Corporation Unsponsored$15K$15K10.0%
266EQUINIX INC B/E 05.875% 011526$15K$15K10.0%
267WYNDHAM WORLDWIDE CORP 05.100% 100125$15K$15K10.0%
268CDK GLOB INC NTS B/E 05.875% 061526$15K$15K10.0%
269CHEMOURS Co LLC NTS B/E 07.000% 051525$15K$15K10.0%
270Philip Morris International Inc$15K$15K10.0%
271GROUP 1 AUTOMOTIVE INC 05.000% 060122$15K$15K10.0%
272M/I HOMES INC NTS B/E 05.625% 080125$15K$15K10.0%
273ACADIA HEALTHCARE Co INC 05.625% 021523$15K$15K10.0%
274ALCOA INC 5.9% 02/01/27$15K$15K10.0%
275ANIXTER INTL INC NTS B/E 05.125% 100121$15K$15K10.0%
276ARCELORMITTAL 07.250% 030141$15K$15K10.0%
277ARCELORMITTAL B/E 06.125% 060125$15K$15K10.0%
278B&g FOODS INC B/E 04.625% 060121$15K$15K10.0%
279CEDAR FAIR L P NTS B/E 05.375% 060124$15K$15K10.0%
280CHENIERE CORP CHRISTI HD 05.875% 033125$15K$15K10.0%
281CINEMARK INC NTS B/E 04.875% 060123$15K$15K10.0%
282CLEARWATER PAPER B/E 04.500% 020123$15K$15K10.0%
283COVANTA HLDG CORP 05.875% 030124$15K$15K10.0%
284CRESTWOOD MIDSTREAM 06.250% 040123$15K$15K10.0%
285CYRUSONE LP NTS B/E 05.000% 031524$15K$15K10.0%
286DCP MIDSTREAM OPERATING 03.875% 031523$15K$15K10.0%
287DELL INC 04.625% 040121$15K$15K10.0%
288EMBARQ CORP MW+40BP NTS 07.995% 060136$15K$15K10.0%
289FREEPORT-MCMORAN COPPER 03.875% 031523$15K$15K10.0%
290FREEPORT-MCMORAN COPPER 05.450% 031543$15K$15K10.0%
291GANNETT Co INC NTS B/E 06.375% 101523$15K$15K10.0%
292HILTON DOMESTIC OPER Co 04.250% 090124$15K$15K10.0%
293HILTON GRAND VACA LLC 06.125% 120124$15K$15K10.0%
294MERITAGE HOMES CORP 05.125% 060627$15K$15K10.0%
295NABORS INDUSTRIES INC 04.625% 091521$15K$15K10.0%
296NOKIA CORP B/E 04.375% 061227$15K$15K10.0%
297NUANCE COMMUNICATIONS 05.625% 121526$15K$15K10.0%
298PENSKE AUTO GROUP INC 05.375% 120124$15K$15K10.0%
299PINNACLE FOOD FI NTS B/E 05.875% 011524$15K$15K10.0%
300QEP RESOURCES INC NTS 05.625% 030126$15K$15K10.0%
301QORVO INC NTS B/E 07.000% 120125$15K$15K10.0%
302RADIAN GROUP INC NTS B/E 04.500% 100124$15K$15K10.0%
303SCOTTS MIRACLE-gRo Co 05.250% 121526$15K$15K10.0%
304SPECTRUM BRANDS INC NTS 05.750% 071525$15K$15K10.0%
305SUMMIT MIDSTREAM HLDGS 05.750% 041525$15K$15K10.0%
306TECK RESOURCES LTD B/E 03.750% 020123$15K$15K10.0%
307TRANSDIGM INC NTS B/E 06.000% 071522$15K$15K10.0%
308TRANSMONTAIGNE PARTNERS 06.125% 021526$15K$15K10.0%
309UNIT CORP 06.625% 051521$15K$15K10.0%
310UNITED CONTL HLDGS NTS 05.000% 020124$15K$15K10.0%
311UNITED RENTALS NORTH AM 05.500% 051527$15K$15K10.0%
312VIACOM INC B/E 05.875% 022857$15K$15K10.0%
313VIDEOTRON LTEE NTS B/E 05.000% 071522$15K$15K10.0%
314WELLCARE HEALTH PLANS 05.250% 040125$15K$15K10.0%
315WESCO DISTR INC NTS B/E 05.375% 061524$15K$15K10.0%
316WESTERN DIGITAL CORP NTS 04.750% 021526$15K$15K10.0%
317AMSURG CORP NTS B/E 05.625% 071522$65K$50K$15K30.0%
318CCO HLDGS LLC/CAP CORP 05.750% 090123$30K$15K$15K30.0%
319CONCHO RESOURCES INC NTS 04.375% 011525$65K$50K$15K30.0%
320CSC HLDGS INC NTS 06.750% 111521$65K$50K$15K30.0%
321LEUCADIA NATL CORP B/E 05.500% 101823$65K$50K$15K30.0%
322LEVEL 3 COMM INC NTS B/E 05.750% 120122$65K$50K$15K30.0%
323SBA COMM CORP NTS B/E 04.875% 071522$95K$80K$15K70.0%
324SBA COMM CORP NTS B/E 04.875% 090124$65K$50K$15K30.0%
325STANDARD PAC CORP NEW 08.375% 051518$30K$15K$15K30.0%
326VALVOLINE INC NTS B/E 05.500% 071524$30K$15K$15K30.0%
327DISH DBS CORP NTS B/E 07.875% 090119$45K$30K$15K50.0%
328SLM CORP CALL@MW+50BP 05.500% 011519$45K$30K$15K50.0%
329SUNOCO LP / SUNOCO FIN 05.500% 080120$65K$50K$15K30.0%
330ICAHN ENTERPRISES/FIN 06.000% 080120$30K$15K$15K30.0%
331SVC CORP INTL NTS B/E 05.375%$15K$15K10.0%
332SLM CORP MED TERM NTS 07.250% 012522$75K$60K$15K90.0%
333NRG ENERGY INC NTS B/E 07.250%$15K$15K10.0%
334TESORO LOGISTICS NTS B/E 06.125% 101521$65K$50K$15K30.0%
335CENTURYLINK INC NTS B/E 07.500%$15K$15K10.0%
336Thomas C MacArthur and Deborah A MacArthur NUVEEN HIGH YIELD MUNICIPAL BOND FUND I$15K$15K10.0%
337EL PASO PIPELINE PART oP 05.000% 100121$65K$50K$15K30.0%
338Koninklijke Ahold, N.V. American$15K$15K10.0%
339SLM CORP MED TERM NTS 07.250%$15K$15K10.0%
340T-MOBILE USA INC b/E 06.500% 011524$15K$15K10.0%
341HCA INC b/E 05.875% 050123$15K$15K10.0%
342PRECISION DRILLING CORP 05.250%$15K$15K10.0%
343CDW LLC / CDW FIN CORP 06.000% 081522$65K$50K$15K30.0%
344AECOM TECHNoLogY C NTS 05.875% 101524 DTD101515$15K$15K10.0%
345RANGE RESOURCES CORP NTS$15K$15K10.0%
346NRG YIELD OPERATING LLC 05.375%$15K$15K10.0%
347Thomas C MacArthur and Deborah A MacArthur Vanguard FTSE Developed Markets ETF$15K$15K10.0%
348ENGIYENGIE SPON ADR$15K$15K10.0%
349CENTENE CORP NTS B/E 05.750% 060117$65K$50K$15K30.0%
350LEAR CORP NTS B/E 05.250% 011525$60K$45K$15K70.0%
351BLUE CUBE SPINCO INC NTS 10.000%$15K$15K10.0%
352VRTXVertex Pharmaceuticals Incorporated$30K$15K$15K30.0%
353National grid Transco, PLC National grid PLC (Ngg)$115K$100K$15K40.0%
354UNITED RENTALS NA INC 07.375% 051520$30K$15K$15K30.0%
355ISTAR INC NTS b/E 06.500% 070121$15K$15K10.0%
356CENTURYLINK INC NTS b/E 07.500% 040124$15K$15K10.0%
357CHEMOURS Co LLC NTS b/E 06.625% 051523$15K$15K10.0%
358RICE ENERGY INC NTS b/E 06.250%$15K$15K10.0%
359DYNEGY INC NTS B/E 06.750%$15K$15K10.0%
360AVIS BUDGET NTS B/E 05.500% 040123$45K$30K$15K50.0%
361KINDRED HEALTHCARE INC 08.750%$15K$15K10.0%
362PENSKE AUTO GROUP INC 05.750% 100122$30K$15K$15K30.0%
363MacArthur Family 2008 Irr Tr FBO Isabella MacArthur SABINE PASS LIQUEFACTION 05.625% 020121$15K$15K10.0%
364CIT GROUP INC B/E 05.250% 031518 DTD031512$15K$15K10.0%
365TCBITexas Capital Bancshares, Inc.$30K$15K$15K30.0%
366UBSHUnion Bankshares Corporation$30K$15K$15K30.0%
367UEUrban Edge Properties Common Shares of Beneficial Interest$30K$15K$15K30.0%
368XHRXenia Hotels & Resorts, Inc.$45K$30K$15K50.0%
369CREECree, Inc.$65K$50K$15K30.0%
370HCA INC NTS B/E 06.500% 021520$15K$15K10.0%
371PNRPentair plc. ordinary Share$15K$15K10.0%
372SOWSTN ENERGY Co NTS B/E 04.050% 012320$45K$30K$15K50.0%
373Thomas C MacArthur and Deborah A MacArthur CHS / CMNTY HEALTH SYS 05.125% 081518$15K$15K10.0%
374SOWSTN ENERGY Co NTS B/E$15K$15K10.0%
375UNITED RENTALS NA INC 07.375%$15K$15K10.0%
376LENNAR CORP CALL@MW+50BP 04.500%$15K$15K10.0%
377VERISIGN INC B/E 04.625% 050123 DTD041613$15K$15K10.0%
378CNH INDL CAPITAL L NTS 03.625%$15K$15K10.0%
379MacArthur Family 2008 Irr Tr FBO Isabella MacArthur SILGAN HLDGS INC NTS B/E 05.500%$15K$15K10.0%
380SILGAN HLDGS INC NTS B/E 05.500% 020122$15K$15K10.0%
381MacArthur Family 2008 Irr Tr FBO Isabella MacArthur SINCLAIR TELEVISION 06.375% 110121$15K$15K10.0%
382Thomas C MacArthur and Deborah A MacArthur RANGE RESOURCES CORP B/E 05.750% 060121$15K$15K10.0%
383TELTE Connectivity Ltd. New Switzerland Registered Shares$15K$15K10.0%
384MacArthur Family 2008 Irr Tr FBO David MacArthur WELLS FARGO & Co 02.600% 072220 DTD072215$15K$15K10.0%
385CITIZENS COMM Co 7.125% 031519$30K$15K$15K30.0%
386COMMUNITY HEALTH SYSTEMS 06.875% 020122$30K$15K$15K30.0%
387FTNTFortinet, Inc.$30K$15K$15K30.0%
388MELIMercadoLibre, Inc.$30K$15K$15K30.0%
389CoNoCoPHILLIPS Co NTS 02.200% 051520$15K$15K10.0%
390Thomas C MacArthur and Deborah A MacArthur LEVEL 3 FING INC NTS B/E 06.125% 011521$15K$15K10.0%
391WHITING PETROLEUM CORP 05.000% 031519 DTD091213$15K$15K10.0%
392INTELSAT JACKSON HLDGS 07.250% 040119 DTD100111 CALL@MW+50BPS YTM = 6.256 UNSOLICITED ACCRUED INT PAID $96.67VS* 0000000$15K$15K10.0%
393JC PENNEY CORP INC NTS 08.125% 100119 DTD091514$15K$15K10.0%
394AT&T INC NTS B/E 02.450% 063020$15K$15K10.0%
395Thomas C MacArthur and Deborah A MacArthur SPRINT CAPITAL CORP 06.900% 050119$15K$15K10.0%
396IRON MTN INC B/E 05.750% 081524$30K$15K$15K30.0%
397INTELSAT JACKSON HLDGS 07.500% 040121$15K$15K10.0%
398CATAMARAN CORP NTS B/E 04.750% 031521$15K$15K10.0%
399CATERPILLAR FINANCIAL SE 02.000% 030520$15K$15K10.0%
400CALPINE CORP NTS B/E 05.750% 011525 DTD072214$15K$15K10.0%
401DAVITA INC NTS B/E 05.750% 081522 DTD082812$15K$15K10.0%
402CONTINENTAL RESOURCES 07.125% 040121$15K$15K10.0%
403NUNortheast Utilities$15K$15K10.0%
404CROWN AMERICAS B/E 06.250% 020121$15K$15K10.0%
405NRG ENERGY INC NTS B/E 07.875% 051521$15K$15K10.0%
406T-MOBILE USA INC B/E 06.542%$15K$15K10.0%
407Thomas C MacArthur and Deborah A MacArthur MORGAN STANLEY NTS B/E 02.650% 012720$15K$15K10.0%
408ALLY FINANCIAL INC NTS 08.000% 031520$15K$15K10.0%
409Thomas C MacArthur and Deborah A MacArthur CHESAPEAKE MIDSTREAM PT/ 06.125% 071522$15K$15K10.0%
410ALLY FINANCIAL INC B/E 05.125%$15K$15K10.0%
411Thomas C MacArthur and Deborah A MacArthur GENERAL ELEC CAP CORP 02.200% 010920$15K$15K10.0%
412ICAGYInternational Consolidated Airlines group SA Sponsored American Depository Receipt$60K$50K$10K50.0%
413ARAMARK SVCS INC NTS B/E 05.125% 011524$60K$50K$10K50.0%
414CBS oUTDooR AMERICAS 05.625% 021524$60K$50K$10K50.0%
415CCO HLDGS LLC/CAP CORP 05.125% 021523$60K$50K$10K50.0%
416LENNAR CORP B/E 04.750% 053025$60K$50K$10K50.0%
417NRG ENERGY INC NTS B/E 07.250% 051526$60K$50K$10K50.0%
418STEEL DYNAMICS INC NTS 05.250% 041523$60K$50K$10K50.0%
419WEYERHAEUSER REAL EST Co 05.875% 061524$60K$50K$10K50.0%
420AGNAllergan plc ordinary Shares$125K$115K$10K90.0%
421WESTERN DIGITAL CORP NTS 10.500% 040124$60K$50K$10K50.0%
422RICE ENERGY INC NTS B/E 06.250% 050122$60K$50K$10K50.0%
423DBSDYDbs group Holdings Ltd ord American Depositary Shares$60K$50K$10K50.0%
424VSTOVista outdoor Inc.$60K$50K$10K50.0%
425PRIPrimerica, Inc.$50K$45K$5K40.0%
426CLBCore Laboratories N.V.$50K$45K$5K40.0%
427ROLLRBC Bearings Incorporated$50K$45K$5K40.0%
428RADIAN GROUP INC NTS B/E 5.500% 060119$65K$60K$5K60.0%
429BIDUBaidu, Inc. - American Depositary Shares, each representing one tenth Class A ordinary share$115K$115K$06
430IDEXYIndustria De Diseno Textil Inditex Sa Unsponsored ADR$50K$50K$02
431REPYYRepsol S.A. Sponsored ADR$215K$215K$08
432AZPNAspen Technology, Inc.$50K$50K$02
433CPRTCopart, Inc.$50K$50K$02
434ELANElanco Animal Health Incorporated$50K$50K$02
435EXPDExpeditors International of Washington, Inc.$50K$50K$02
436MSCIMSCI Inc$50K$50K$02
437SBNYSignature Bank$50K$50K$02
438WRBW.R. Berkley Corporation$50K$50K$02
439WYNNWynn Resorts, Limited$50K$50K$02
440LINThomas C MacArthur and Deborah A MacArthur Linde plc ordinary Share$03
441CSLCarlisle Companies Incorporated$50K$50K$02
442SNASnap-on Incorporated$50K$50K$02
443TEMPUR SEALY INTL INC 05.500% 061526$60K$60K$08
444AMERIGAS PARTNER B/E 05.875% 082026$15K$15K$02
445BOYD GAMING CORP NTS B/E 06.875% 051523$50K$50K$02
446OCEANEERING INTL INC NTS 04.650% 111524$50K$50K$02
447RITE AID CORP NTS B/E 06.750% 061521$50K$50K$02
448STARWOOD PPTY TR INC NTS 05.000% 121521$50K$50K$02
449TTMTata Motors Ltd Tata Motors Limited$115K$115K$06
450TOTLThomas C MacArthur and Deborah A MacArthur SPDR DoubleLine Total Return Tactical ETF$150K$150K$04
451CNH INDL CAPITAL L NTS 03.625% 041518$15K$15K$02
452GLIBAGCI Liberty, Inc. - Class A$01
453LVNTALiberty Interactive Corporation - Series A Liberty Ventures$03
454WBAWalgreens Boots Alliance, Inc.$100K$100K$02
455CHICAGO IL o HARE INTL A AGC SR C BE/R/ 5.25 010123$500K$500K$02
456AHEXYAdecco SA Unsponsored ADR$95K$95K$08
457COMMUNITY HEALTH SYSTEMS 05.125% 080121$45K$45K$06
458HCA INC B/E 05.875% 021526 DTD111315$50K$50K$02
459ALBERTSONS INC 07.450% 080129$15K$15K$02
460GTOMYgemalto NV Sponsored ADR$115K$115K$06
461LOGMLogMein, Inc.$03
462XLISPDR Select Sector Fund - Industrial$280K$280K$06
463XLPStaples$280K$280K$06
464IMGNImmunogen, Inc.$15K$15K$02
465NUENucor Corporation$100K$100K$03
466NEW JERSEY ST TPK AUTH SR A RV BE/R/ 5 DUE 010138$250K$250K$02
467PENNSYLVANIA ST HIGHER E RV BE/R/ 5 DUE 081535$250K$250K$02
468LGF.BLions gate Entertainment Corporation Class B Non-Voting Shares$03
469STRZAMacArthur Family 2008 Irr Tr FBO David MacArthur Starz - Series A$03
470AZNAstrazeneca PLC$100K$100K$03
471LIFEPOINT HOSP INC NTS 05.875% 120123$15K$15K$02
472DIAMONDBACK ENERGY INC 07.625% 100121$15K$15K$02
473CELANESE US HOLDINGS LLC 05.875% 061521$75K$75K$010
474Johnson Controls, Inc.$01
475OKEONEOK, Inc.$150K$150K$05
476MARKWEST ENERGY NTS B/E 05.500% 021523$30K$30K$04
477WHITING PETROLEUM CORP 05.000% 031519$45K$45K$06
478HERTZ CORP NTS 06.250% 101522$65K$65K$04
479LMCALiberty Media Corporation - Series A Liberty Media$02
480LMCKLiberty Media Corporation - Series C Liberty Media$02
481BK oF AMER CORP NTS B/E 02.400% 042120$30K$30K$04
482Thomas C MacArthur and Deborah A MacArthur EQUINIX INC B/E 04.875% 040120$15K$15K$02
483SINCLAIR TELEVISION 06.375% 110121$15K$15K$02
484ENERGY TRANSFER PARTNERS 07.500% 101520$60K$60K$08
485AXLAmerican Axle & Manufacturing Holdings, Inc.$15K$15K$02
486BLMNBloomin' Brands, Inc.$30K$30K$04
487CMCCommercial Metals Company$30K$30K$04
488ESEESCO Technologies Inc.$15K$15K$02
489PEParsley Energy, Inc. Class A$15K$15K$02
490TIMETime Inc.$30K$30K$04
491IWNiShares Russell 2000 Value ETF$500K$500K$02
492CLEAR CHANNEL COMM INC 09.000% 121519$60K$60K$08
493ALCOA INC 06.150% 081520$15K$15K$02
494CMLPCrestwood Midstream Partners LP$01
495ACTActavis plc ordinary Shares$01
49605.500% 041521$15K$15K$02
497MERCK & Co INC NTS B/E 01.850% 021020$15K$15K$02
498RANGE RESOURCES CORP NTS 05.000% 081522$15K$15K$02
499TEEKAY CORP NTS B/E 08.500% 011520$15K$15K$02
500AGIOAgios Pharmaceuticals, Inc.$15K$15K$02
501AMAGAMAG Pharmaceuticals, Inc.$15K$15K$02
502AXPThomas C MacArthur and Deborah A MacArthur American Express Company$15K$15K$02
503CARAvis Budget group, Inc.$15K$15K$02
504BAXThomas C MacArthur and Deborah A MacArthur Baxter International Inc.$15K$15K$02
505BITABitauto Holdings Limited American Depositary Shares$15K$15K$02
506BURLBurlington Stores, Inc.$15K$15K$02
507XRAYDENTSPLY International Inc.$15K$15K$02
508Thomas C MacArthur and Deborah A MacArthur Diamond offshore Drilling, Inc. (Do)$15K$15K$02
509FANGDiamondback Energy, Inc. - Commmon Stock$15K$15K$02
510DNKNDunkin' Brands group, Inc.$15K$15K$02
511ENTAEnanta Pharmaceuticals, Inc.$15K$15K$02
512EXCExelon Corporation$15K$15K$02
513FEYEFireEye, Inc.$15K$15K$02
514FLFoot Locker, Inc.$15K$15K$02
515HDSHD Supply Holdings, Inc.$15K$15K$02
516HZNPHorizon Pharma plc - common stock$15K$15K$02
517IMAXImax Corporation$15K$15K$02
518INFNInfinera Corporation$15K$15K$02
519INFAInformatica Corporation$15K$15K$02
520IWOiShares Russell 2000 growth ETF$15K$15K$02
521IWPiShares Russell Midcap growth ETF$15K$15K$02
522KEYSKeysight Technologies Inc.$15K$15K$02
523LHLaboratory Corporation of America Holdings$15K$15K$02
524MDSOMedidata Solutions, Inc.$15K$15K$02
525RCPTReceptos, Inc.$15K$15K$02
526SKXSkechers U.S.A., Inc.$15K$15K$02
527SWNThomas C MacArthur and Deborah A MacArthur Southwestern Energy Company$15K$15K$02
528WSMWilliams-Sonoma, Inc. Common Stock$15K$15K$02
529WXWUXI PharmaTech$15K$15K$02
530Regency Energy Partners LP Common Units Representing Limited Partner$01
531DYNEGY INC NTS B/E 05.875% 060123$15K$15K$02
532EVEREST ACQUISITION LLC 09.375% 050120$15K$15K$02
533LEVEL 3 FING INC NTS B/E 07.000% 060120$15K$15K$02
534MARKWEST ENERGY 06.750% 110120$15K$15K$02
535RANGE RESOURCES CORP NTS 06.750% 080120$15K$15K$02
536CCO HLDGS LLC/CAP CORP 05.750% 011524$15K$15K$02
537PETMPetSmart, Inc$01
538ALXNAlexion Pharmaceuticals, Inc.$15K$15K$02
539COVCovidien plc. ordinary Shares$03
540JPMORGAN CHASE & Co B/E 03.125% 012325$250K$250K$02
541TEVATeva Pharmaceutical Industries Limited American Depositary Shares$15K$15K$02
542PCLNThomas C MacArthur and Deborah A MacArthur The Priceline group Inc.$15K$15K$02
543UAThomas C MacArthur and Deborah A MacArthur Under Armour, Inc. Class A$15K$15K$02
544TRYIYToray Industries Inc ADR$160K$165K-$5K10
545BERRY PLASTICS CORP NTS 05.125% 071523$45K$50K-$5K4
546DIAMONDBACK ENERGY INC 05.375% 053125$45K$50K-$5K4
547ISTAR INC NTS B/E 06.500% 070121$45K$50K-$5K4
548LENNAR CORP CALL@MW+50BP 04.500% 061519$45K$50K-$5K4
549LKQ CORP NTS B/E 04.750% 051523$45K$50K-$5K4
550MPT OPER PARTNERSHIP NTS 05.250% 080126$45K$50K-$5K4
551PRECISION DRILLING CORP 05.250% 111524$45K$50K-$5K4
552SESI L L C NTS B/E 07.125% 121521$45K$50K-$5K4
553SPRINT CORP NTS B/E 11.500% 111521$45K$50K-$5K4
554VERISIGN INC B/E 04.625% 050123$45K$50K-$5K4
555ISTAR INC NTS B/E 05.250% 091522$60K$65K-$5K6
556PVH CORP NTS B/E 04.500% 121522$45K$50K-$5K4
557ISTAR FINANCIAL INC NTS 04.000% 110117$45K$50K-$5K4
558CHESAPEAKE ENERGY CORP 06.625% 081520$45K$50K-$5K4
559gooDYEAR TIRE & RUBBER 07.000% 051522$45K$50K-$5K4
560TENET HEALTHCARE CORP 08.125% 040122$120K$125K-$5K14
561D.R. HORTON INC B/E 05.750% 081523$45K$50K-$5K4
562STXSeagate Technology PLC - ordinary Shares$45K$50K-$5K4
563MEGMedia general, Inc.$95K$100K-$5K6
564MITLMitel Networks Corporation - Common Shares$95K$100K-$5K6
565SJISouth Jersey Industries, Inc.$60K$65K-$5K6
566EADSYAirbus group Unsponsored ADR$115K$125K-$10K9
567GENERAL MOTORS FINL Co 03.250% 051518$65K$75K-$10K7
568ANSSANSYS, Inc.$50K$65K-$15K3
569NDSNNordson Corporation$50K$65K-$15K3
570SOMLYSecom Co Ltd American Depositary Shares$195K$210K-$15K12
571LSTRLandstar System, Inc.$50K$65K-$15K3
572QORVO INC NTS B/E 07.000%$15K-$15K1
573CHEMOURS Co LLC NTS B/E 06.625% 051523$15K$30K-$15K3
574ALLY FINANIAL INC NTS 08.000% 031520$15K-$15K1
575LAMAR MEDIA CORP NTS B/E 05.000% 050123$15K$30K-$15K3
576MURPHY OIL CORP NTS B/E 06.875% 081524$15K-$15K1
577NRG YIELD OPERATING LLC$15K-$15K1
578SPYSPDR S&P 500$15K-$15K1
579KMTUYKomatsu Ltd ord American Depositary Shares$115K$130K-$15K6
580FMSFresenius Medical Care Ag$115K$130K-$15K7
581HCA INC B/E 05.875% 021526$15K-$15K1
582Seiko Epson Corp Suwa Unsponsored$15K-$15K1
583KINDRED HEALTHCARE INC 08.750% 011523$60K$75K-$15K9
584BATRALiberty Media Corporation - Series A Liberty Braves$15K-$15K1
585BATRKLiberty Media Corporation - Series C Liberty Braves$15K-$15K2
586TENET HEALTHCARE CORP 08.125% 040122 DTD092713$15K-$15K1
587CBRE SERVICES INC B/E 05.000% 031523 DTD031413$15K-$15K1
588CHS / CMNTY HEALTH SYS 05.125% 081518$15K$30K-$15K3
589D R HORTON INC 04.000% 021520$15K$30K-$15K3
590Thomas C MacArthur and Deborah A MacArthur DOUBLE LINE TOTAL RETURN FUND INSTL$15K-$15K1
591LEXEALiberty Expedia Holdings, Inc. - Series A$15K-$15K2
592CONTINENTAL RESOURCES 05.000% 091522$30K$45K-$15K5
593DYNEGY INC NTS B/E 06.750% 110119 DTD050115$15K$30K-$15K3
594WPP plc - American Depositary Shares$15K-$15K1
595AVIS BUDGET NTS B/E 05.500% 040123 DTD040313$15K-$15K1
596SPRINT CAPITAL CORP 06.875% 111528$30K$45K-$15K5
597SPRINT CAPITAL CORP 06.875%$15K-$15K1
598AT&T INC 02.450% 063020$15K-$15K1
599CCO HLDGS LLC/CAP CORP 06.500% 043021$30K$45K-$15K5
600CHESAPEAKE MIDSTREAM PT/ 06.125% 071522$15K$30K-$15K3
601CITIGROUP INC NTS B/E 02.500% 092618$15K-$15K1
602Thomas C MacArthur and Deborah A MacArthur CoNoCoPHILLIPS Co NTS 02.200% 051520$15K-$15K1
603Thomas C MacArthur and Deborah A MacArthur DAVITA INC NTS B/E 05.750% 081522$15K-$15K1
604FRONTIER COMMUNICATIONS 07.125% 031519$15K-$15K1
605MacArthur Family 2008 Irr Tr FBO Isabella MacArthur JPMORGAN CHASE & Co NTS 02.250% 012320$15K-$15K1
606LEVEL 3 FING INC NTS B/E 06.125% 011521$15K-$15K1
607MacArthur Family 2008 Irr Tr FBO David MacArthur MONSANTO Co B/E 02.125% 071519$15K-$15K1
608MacArthur Family 2008 Irr Tr FBO David MacArthur NRG ENERGY INC NTS B/E 07.875% 051521$15K-$15K1
609Thomas C MacArthur and Deborah A MacArthur PNC BK NTS B/E 02.400% 101819$15K-$15K1
610SABINE PASS LIQUEFACTION 05.625% 020121$15K-$15K1
611Thomas C MacArthur and Deborah A MacArthur SILGAN HLDGS INC NTS B/E 05.500% 020122$15K-$15K1
612SIMON PPTY GROUP LP NTS 02.200% 020119$15K-$15K1
613WELLS FARGO & Co 02.600% 072220$15K-$15K1
614WELLS FARGO & Co NTS B/E 02.125% 042219$15K-$15K1
615Thomas C MacArthur and Deborah A MacArthur CHESAPEAKE ENERGY CORP 05.375% 061521$15K-$15K1
616SABINE PASS LNG LP NTS 06.500% 110120$15K-$15K1
617ENERGY TRANSFER PARTNERS 07.500% 101520 DTD$15K-$15K1
618DBDDiebold, Incorporated$15K$30K-$15K3
619NPOEnpro Industries Inc$15K-$15K1
620FMERFirstMerit Corporation$15K$30K-$15K3
621FORForestar group Inc$15K$30K-$15K3
622FBHSFortune Brands Home & Security, Inc.$15K-$15K1
623FTDFTD Companies, Inc.$15K$30K-$15K3
624GNRCgenerac Holdlings Inc.$15K$30K-$15K3
625GWRgenesee & Wyoming Inc. Class A$15K$30K-$15K3
626Thomas C MacArthur and Deborah A MacArthur HCA INC NTS B/E 06.500% 021520$15K-$15K1
627IBKCIBERIABANK Corporation$15K-$15K1
628KNKnowles Corporation$15K$30K-$15K3
629PAGPenske Automotive group, Inc.$15K-$15K1
630WEXWEX Inc. common stock$15K-$15K1
631RANGE RESOURCES CORP B/E 05.750% 060121$15K$30K-$15K3
632TOYS R US PRPTY Co II 8.500%$15K-$15K1
633DLBDolby Laboratories$50K$65K-$15K3
634Thomas C MacArthur and Deborah A MacArthur COMMUNITY HEALTH SYSTEMS 06.875% 020122$15K-$15K1
635HSCHarsco Corporation$15K-$15K1
636FSTRL.B. Foster Company$15K-$15K1
637FERRELLGAS LP B/E 06.500% 050121$15K-$15K1
638RXNRexnord Corporation$15K-$15K1
639SBHSally Beauty Holdings, Inc.$15K-$15K1
640Thomas C MacArthur and Deborah A MacArthur INTELSAT JACKSON HLDGS 07.500% 040121$15K$30K-$15K3
641BCEIBonanza Creek Energy, Inc.$15K-$15K1
642DINDineEquity, Inc$15K-$15K1
643Thomas C MacArthur and Deborah A MacArthur CATERPILLAR FINANCIAL SE 02.000% 030520$15K-$15K1
644CHESAPEAKE ENERGY CORP 05.375% 061521$15K-$15K1
645MacArthur Family 2008 Irr Tr FBO Isabella MacArthur COMMONWEALTH EDISON NTS 02.150% 011519$15K-$15K1
646Thomas C MacArthur and Deborah A MacArthur FERRELLGAS LP B/E 06.500% 050121$15K-$15K1
647GENERAL ELEC CAP CORP 02.200% 010920$15K-$15K1
648HEWLETT PACKARD Co CALL 02.600% 091517$15K-$15K1
649Thomas C MacArthur and Deborah A MacArthur JPMORGAN CHASE & Co NTS 02.250% 012320$15K-$15K1
650MORGAN STANLEY NTS B/E 02.650% 012720$15K-$15K1
651Thomas C MacArthur and Deborah A MacArthur NRG ENERGY INC NTS B/E 07.875% 051521$15K-$15K1
652PEABODY ENERGY CORP NTS 06.000% 111518$15K-$15K1
653MacArthur Family 2008 Irr Tr FBO David MacArthur PENSKE AUTO GROUP INC 05.750% 100122$15K-$15K1
654PNC BK NTS B/E 02.400% 101819$15K-$15K1
655Thomas C MacArthur and Deborah A MacArthur SABINE PASS LNG LP NTS 06.500% 110120$15K-$15K1
656MacArthur Family 2008 Irr Tr FBO David MacArthur SIMON PPTY GROUP LP NTS 02.200% 020119$15K-$15K1
657Thomas C MacArthur and Deborah A MacArthur VERIZON COMMUNICATIONS 02.550% 061719$15K-$15K1
658ADVSAdvent Software, Inc.$15K-$15K1
659AAgilent Technologies, Inc.$15K-$15K1
660AKRXAkorn, Inc.$15K-$15K1
661ALGNAlign Technology, Inc.$15K-$15K1
662ATIAllegheny Technologies Incorporated$15K-$15K1
663NLYThomas C MacArthur and Deborah A MacArthur Annaly Capital Management Inc$15K-$15K1
664BBBYBed Bath & Beyond Inc.$15K-$15K1
665BIOBio-Rad Laboratories, Inc. Class A$15K-$15K1
666BXPBoston Properties, Inc.$15K-$15K1
667BCRC.R. Bard, Inc.$15K-$15K1
668CBTCabot Corporation$15K-$15K1
669CRZOCarrizo oil & gas, Inc.$15K-$15K1
670CNCCentene Corporation$15K-$15K1
671CIENCiena Corporation$15K-$15K1
672CSTMConstellium N.V. ordinary Shares$15K-$15K1
673DRIDarden Restaurants, Inc.$15K-$15K1
674DECKDeckers outdoor Corporation$15K-$15K1
675DXCMDexCom, Inc.$15K-$15K1
676DDSDillard's, Inc.$15K-$15K1
677DOVDover Corporation$15K-$15K1
678EVEaton Vance Corporation$15K-$15K1
679EBAYThomas C MacArthur and Deborah A MacArthur eBay Inc.$15K-$15K1
680SATSEchoStar Corporation - common stock$15K-$15K1
681ENTGEntegris, Inc.$15K-$15K1
682FFIVF5 Networks, Inc.$15K-$15K1
683FRCFIRST REPUBLIC BANK$15K-$15K1
684GMTGATX Corporation$15K-$15K1
685GNTXgentex Corporation$15K-$15K1
686GSKThomas C MacArthur and Deborah A MacArthur glaxoSmithKline PLC$15K-$15K1
687HPYHeartland Payment Systems, Inc.$15K-$15K1
688HMCThomas C MacArthur and Deborah A MacArthur Honda Motor Company, Ltd.$15K-$15K1
689IACIIAC/InterActiveCorp$15K-$15K1
690ICLRICON plc - ordinary Shares$15K-$15K1
691PODDInsulet Corporation$15K-$15K1
692TEGIntegrys Energy group, Inc.$15K-$15K1
693ISISIsis Pharmaceuticals, Inc.$15K-$15K1
694JAZZJazz Pharmaceuticals plc - ordinary Shares$15K-$15K1
695JOYJoy global Inc.$15K-$15K1
696KERXKeryx Biopharmaceuticals, Inc.$15K-$15K1
697KEYKeyCorp$15K-$15K1
698CLIMack-Cali Realty Corporation$15K-$15K1
699MANHManhattan Associates, Inc.$15K-$15K1
700MKTXMarketAxess Holdings, Inc.$15K-$15K1
701MDVNMedivation, Inc.$15K-$15K1
702MDMednax, Inc.$15K-$15K1
703MNTAMomenta Pharmaceuticals, Inc.$15K-$15K1
704MURMurphy oil Corporation$15K-$15K1
705NBRNabors Industries Ltd.$15K-$15K1
706NTCTNetScout Systems, Inc.$15K-$15K1
707NFXNewfield Exploration Company$15K-$15K1
708ODFLold Dominion Freight Line, Inc.$15K-$15K1
709PNCPNC Financial Services group, Inc.$15K-$15K1
710POWIPower Integrations, Inc.$15K-$15K1
711Thomas C MacArthur and Deborah A MacArthur Procter & gamble Company (Pg)$15K-$15K1
712PGRProgressive Corporation$15K-$15K1
713PRLBProto Labs, Inc. Common stock$15K-$15K1
714RGAReinsurance group of America, Incorporated$15K-$15K1
715RNRRenaissanceRe Holdings Ltd.$15K-$15K1
716SLGNSilgan Holdings Inc.$15K-$15K1
717SPLKSplunk Inc.$15K$30K-$15K3
718SFStifel Financial Corporation$15K-$15K1
719SNPSSynopsys, Inc.$15K-$15K1
720TROWThomas C MacArthur and Deborah A MacArthur T. Rowe Price group, Inc.$15K-$15K1
721TNDMTandem Diabetes Care, Inc.$15K-$15K1
722TGTThomas C MacArthur and Deborah A MacArthur Target Corporation$15K-$15K1
723HAINThe Hain Celestial group, Inc.$15K-$15K1
724TMKThomas C MacArthur and Deborah A MacArthur Torchmark Corporation$15K-$15K1
725TSSTotal System Services, Inc.$15K-$15K1
726TWTowers Watson & Co. - Common Stock Class A$15K-$15K1
727USBThomas C MacArthur and Deborah A MacArthur U.S. Bancorp$15K-$15K1
728UTHRUnited Therapeutics Corporation$15K-$15K1
729WMTThomas C MacArthur and Deborah A MacArthur Wal-Mart Stores, Inc.$15K-$15K1
730WFCWells Fargo & Company$15K-$15K1
731XLNXXilinx, Inc.$15K-$15K1
732YYYY Inc. - American Depositary Shares$15K-$15K1
733PIIPolaris Industries Inc.$15K-$15K1
734ROVIRovi Corporation$15K-$15K1
735Thomas C MacArthur and Deborah A MacArthur SUBURBAN PROPANE 07.375% 080121$15K-$15K1
736SUBURBAN PROPANE 07.375% 080121$15K-$15K1
737Thomas C MacArthur and Deborah A MacArthur CINCINNATI BELL INC NTS 08.375% 101520$15K-$15K1
738CINCINNATI BELL INC NTS 08.375% 101520$15K-$15K1
739Thomas C MacArthur and Deborah A MacArthur CONTINENTAL RESOURCES 07.125% 040121$15K-$15K1
740Thomas C MacArthur and Deborah A MacArthur RoCKWooD SPECIALITIES 04.625% 101520$15K-$15K1
741IGTInternational game Technology ordinary Shares$15K-$15K2
742AT&T INC NTS B/E 01.400% 120117$15K-$15K1
743Thomas C MacArthur and Deborah A MacArthur BK oF AMER CORP 02.000% 011118$15K-$15K1
744BK oF AMER CORP 02.000% 011118$15K-$15K1
745JMGJournal Media group, Inc.$15K-$15K1
746PEABODY ENERGY CORP B/E 06.500% 091520$30K$45K-$15K5
747LEVEL 3 COMM INC NTS B/E 05.750%$15K-$15K1
748T-MOBILE USA INC B/E 06.542% 042820$15K-$15K1
749PNMPNM Resources, Inc.$15K-$15K1
750MacArthur Family 2008 Irr Tr FBO Isabella MacArthur RoCKWooD SPECIALITIES 04.625% 101520$15K-$15K1
751FEICFEI Company$15K-$15K1
752NSRNeustar, Inc. Neustar, Inc. Class A$15K-$15K1
753VMIValmont Industries, Inc.$15K-$15K1
754ALBAlbemarle Corporation$15K-$15K1
755YELPYelp Inc. Class A$15K-$15K1
756ZUzulily, inc. - Class A$15K-$15K1
757HLXHelix Energy Solutions group, Inc.$15K-$15K1
758IRON MTN INC. NTS B/E 08.375% 081521$15K-$15K1
759Thomas C MacArthur and Deborah A MacArthur CABLEVISION SYSTEMS CORP 07.750% 041518$15K-$15K1
760CABLEVISION SYSTEMS CORP 07.750% 041518$15K-$15K1
761Thomas C MacArthur and Deborah A MacArthur MERCK & Co INC NTS B/E 01.300% 051818$15K-$15K1
762NWBINorthwest Bancshares, Inc.$15K-$15K1
763MacArthur Family 2008 Irr Tr FBO Isabella MacArthur ZAYO GROUP LLC/ZAYO CPTL 08.125% 010120$15K-$15K1
764ACEAce Limited$15K-$15K1
765AMZNAmazon.com, Inc.$15K-$15K1
766Thomas C MacArthur and Deborah A MacArthur AMERICAN TOWER CORP B/E 04.700% 031522$15K-$15K1
767Thomas C MacArthur and Deborah A MacArthur APACHE CORP NTS B/E 03.250% 041522$15K-$15K1
768ARKAYArkema Sponsored ADR$15K-$15K1
769ARMHDepositary Shares each representing 3 ordinary Shares$15K-$15K1
770Thomas C MacArthur and Deborah A MacArthur AT&T INC 03.000% 021522$15K-$15K1
771ATHNathenahealth, Inc.$15K-$15K1
772Thomas C MacArthur and Deborah A MacArthur BAKER HUGHES INC NTS B/E 03.200% 081521$15K-$15K1
773BNSBank Nova Scotia Halifax Pfd 3 ordinary Shares$15K-$15K1
774ABXBarrick gold Corporation$15K-$15K1
775Thomas C MacArthur and Deborah A MacArthur BECTON DICKINSON & Co 03.125% 110821$15K-$15K1
776BERKSHIRE HATHAWAY INC 03.400% 013122$15K-$15K1
777BMRNThomas C MacArthur and Deborah A MacArthur BioMarin Pharmaceutical Inc.$15K-$15K1
778Thomas C MacArthur and Deborah A MacArthur BK AMER CORP NTS B/E 05.000% 051321$15K-$15K1
779BNPQYBNP Paribas American Depositary Shares$15K-$15K1
780BMBLYBrambles Ltd Unsponsored ADR$15K-$15K1
781Thomas C MacArthur and Deborah A MacArthur CATERPILLAR FINANCIAL SE 01.300% 030118$15K-$15K1
782CATERPILLAR INC B/E 02.600% 062622$15K-$15K1
783CELGCelgene Corporation$15K-$15K1
784CVECenovus Energy Inc$15K-$15K1
785CERNCerner Corporation$15K-$15K1
786SCHWCharles Schwab Corporation$15K-$15K1
787CMGChipotle Mexican grill, Inc.$15K-$15K1
788CIOXYCielo SA Sponsored ADR$15K-$15K1
789MacArthur Family 2008 Irr Tr FBO Isabella MacArthur COMCAST CORP NEW 02.850% 011523$15K-$15K1
790CFRUYCompagnie Financiere Richemont Unsponsored ADR$15K-$15K1
791CMPGYCompass group Plc American Depositary Shares$15K-$15K1
792Thomas C MacArthur and Deborah A MacArthur CONTL AIR LINES INC B/E 04.150% 101125$15K-$15K1
793CJREFCorus Entertainmt Incorporated$15K-$15K1
794COSTThomas C MacArthur and Deborah A MacArthur Costco Wholesale Corporation$15K-$15K1
795ENBEnbridge Inc$15K-$15K1
796EQIXEquinix, Inc.$15K-$15K1
797FASTThomas C MacArthur and Deborah A MacArthur Fastenal Company$15K-$15K1
79805.875% 080221$15K-$15K1
799GENL ELEC CAP CORP NTS 04.375% 091620$15K-$15K1
800gEoRgIA POWER Co B/E 02.850% 051522$15K-$15K1
801Thomas C MacArthur and Deborah A MacArthur google Inc. - Class C Capital Stock (goog)$15K-$15K1
802grupo Financiero Banorte, S.A.B. De C.V Sponsored ADR (gBooY)$15K-$15K1
803Thomas C MacArthur and Deborah A MacArthur HALLIBURTON Co CALL @ 03.250% 111521$15K-$15K1
804HEWLETT-PACKARD Co NTS 04.375% 091521$15K-$15K1
805Thomas C MacArthur and Deborah A MacArthur IBM CORP B/E 03.625% 021224$15K-$15K1
806ILMNMacArthur Family 2008 Irr Tr FBO Isabella MacArthur Illumina, Inc.$15K-$15K1
807Thomas C MacArthur and Deborah A MacArthur INTL LEASE FIN CORP B/E 05.875% 081522$15K-$15K1
808J P MORGAN CHASE & Co 04.625% 051021$15K-$15K1
809LNKDThomas C MacArthur and Deborah A MacArthur LinkedIn Corporation Class A$15K-$15K1
810LRLCYL'oreal Co. American Depositary Shares$15K-$15K1
811MJNMead Johnson Nutrition Company$15K-$15K1
812MEDTRONIC INC NTS B/E 03.125% 031522$15K-$15K1
813MORGAN STANLEY NTS B/E 05.500% 012620$15K-$15K1
814Thomas C MacArthur and Deborah A MacArthur NUCOR CORP B/E 04.125% 091522$15K-$15K1
815OIIMacArthur Family 2008 Irr Tr FBO David MacArthur oceaneering International, Inc.$15K-$15K1
816PTNRPartner Communications Company Ltd. - American Depositary Shares, each representing one ordinary share$15K-$15K1
817PDRDYPernod Ricard SA Unsponsored ADR$15K-$15K1
818Thomas C MacArthur and Deborah A MacArthur PIONEER NAT RESOURCES 03.950% 071522$15K-$15K1
819PRAXAIR INC NTS B/E 02.200% 081522$15K-$15K1
820Thomas C MacArthur and Deborah A MacArthur PUBLIC SVC COLO B/E 02.250% 091522$15K-$15K1
821SBMRYSABMiller plc American Depositary Shares$15K-$15K1
822CRMSalesforce.com Inc$15K-$15K1
823SNPHYSanten Pharmaceutical Co Unsponsored American Depository Shares$15K-$15K1
824NOWServiceNow, Inc.$15K-$15K1
825SMCAYSMC Corp Japan SPONSORED ADR$15K-$15K1
826SONVYSonova Holding Ag Unsponsored ADR$15K-$15K1
827SBUXThomas C MacArthur and Deborah A MacArthur Starbucks Corporation$15K-$15K1
828TIFTiffany & Co.$15K-$15K1
829UOVEYUnited overseas Bk Singapore American Depositary Shares$15K-$15K1
830Thomas C MacArthur and Deborah A MacArthur US AIRWAYS GROUP INC B/E 06.250% 042223$15K-$15K1
831US BANCORP MED TERM NTS 02.950% 071522$15K-$15K1
832VVisa Inc.$15K-$15K1
833Thomas C MacArthur and Deborah A MacArthur WEATHERFORD INTL LTD B/E 05.125% 091520$15K-$15K1
834NEMThomas C MacArthur and Deborah A MacArthur Newmont Mining Corporation$15K-$15K1
835ATUActuant Corporation$15K-$15K1
836VVCVectren Corporation$15K-$15K1
837MacArthur Family 2008 Irr Tr FBO David MacArthur JPMORGAN CHASE & Co B/E 01.800% 012518$15K-$15K1
838JPMORGAN CHASE & Co B/E 01.800% 012518$15K-$15K1
839L-3 COMMS CORP NTS B/E 04.950% 021521$15K-$15K1
840general Dynamics Corporation (gD)$15K-$15K1
841PCPPrecision Castparts Corporation$15K-$15K1
842SAFRYSafran S.A. Unsponsored ADR$15K-$15K1
843BEAVB/E Aerospace, Inc.$15K-$15K1
844POAHYPorsche Automobile Holding SE Unsponsored ADR$15K-$15K1
845URIUnited Rentals, Inc.$15K-$15K1
846ZAYO GROUP LLC/ZAYO CPTL 08.125% 010120$15K-$15K1
847Thomas C MacArthur and Deborah A MacArthur INTEL CORP MED TERM NTS 01.350% 121517$15K-$15K1
848KLXIKLX Inc.$15K-$15K1
849SAPSAP SE ADS$130K$150K-$20K6
850AMC NETWORKS INC NTS B/E 04.750% 080125$30K$50K-$20K3
851BALL CORP NTS B/E 04.375% 121520$30K$50K-$20K3
852CLEAR CHANNEL WW HLDGS 06.500% 111522$30K$50K-$20K3
853DAVITA INC NTS B/E 05.750% 081522$45K$65K-$20K5
854NATIONSTAR MoRTgAgE LLC 06.500% 080118$30K$50K-$20K3
855NATIONSTAR MoRTgAgE LLC 09.625% 050119$45K$65K-$20K5
856SUMMIT MATLS LLC/FIN NTS 06.125% 071523$30K$50K-$20K3
857TRIBUNE MEDIA Co NTS B/E 05.875% 071522$30K$50K-$20K3
858ALLY FINANCIAL INC B/E 05.125% 093024$45K$65K-$20K5
859CONSTELLATION BRANDS INC 06.000% 050122$45K$65K-$20K5
860DNHBYDNB ASA SPONSORED ADR Representing 10$45K$65K-$20K5
861TGPTeekay LNG Partners L.P.$80K$100K-$20K4
862ABMABM Industries Incorporated$30K$50K-$20K3
863KRNYKearny Financial$30K$50K-$20K3
864SYRGSynergy Resources Corporation$45K$65K-$20K5
865GBTZYglobal Logistic Properties Ltd. Unsponsored ADR$80K$100K-$20K4
866DBOEYDeutsche Boerse Ag Unsponsored ADR$65K$90K-$25K8
867SPRINT CORP NTS B/E 07.250% 091521$50K$75K-$25K6
868JSGRYlixil group Corporation Unsponsored ADR$50K$75K-$25K6
869MICRON TECHNoLogY INC 05.875% 021522$65K$90K-$25K8
870H J HEINZ Co NTS B/E 04.250% 101520$50K$75K-$25K6
871PMPhilip Morris International Inc$50K$80K-$30K4
872CNQCanadian Natural Resources Limited$65K$95K-$30K6
873ABEVAmbev S.A. American Depositary Shares$50K$80K-$30K4
874SABINE PASS LIQUEFACTION 05.625% 030125$50K$80K-$30K4
875UTXUnited Technologies Corporation$265K$295K-$30K6
876AES CORP NTS B/E 08.000% 060120$30K$60K-$30K6
877RDSMYRoyal DSM NV Sponsored ADR$145K$175K-$30K11
878THE MEN'S WEARHOUSE INC 07.000% 070122$15K$45K-$30K4
879LSXMAThomas C MacArthur and Deborah A MacArthur Liberty Media Corporation - Series A Liberty SiriusXM$30K-$30K3
880LSXMKMacArthur Family 2008 Irr Tr FBO Isabella MacArthur Liberty Media Corporation - Series C Liberty SiriusXM$30K-$30K5
881ALLY FINANCIAL INC b/E 05.125% 093024$30K-$30K2
882PHGKoninklijke Philips N.V. NY Registry Shares$130K$160K-$30K10
883AEXAYAtos origin SA Unsponsored ADR$165K$195K-$30K8
884CINEMARK INC NTS B/E 05.125% 121522$15K$45K-$30K4
885SPRINT CAPITAL CORP 06.900% 050119$15K$45K-$30K4
886UNRDYUnibail-Rodamco SE Unsponsored ADR$100K$130K-$30K6
887DYNEGY INC NTS B/E 06.750% 110119$15K$45K-$30K4
888SPRINT NEXTEL CORP B/E 06.000% 111522$15K$45K-$30K4
889LTD BRANDS INC NTS B/E 06.625% 040121$115K$145K-$30K8
890APPLE INC NTS B/E 02.100% 050619$30K-$30K2
891BB&T CORP MED TERM NTS 02.250% 020119$30K-$30K2
892CHEVRON CORP NTS B/E 02.193% 111519$30K-$30K2
893CLOUD PEAK ENERGY INC 08.500% 121519$30K-$30K2
894FORD MOTOR CREDIT Co LLC 02.597% 110419$30K-$30K2
895ORACLE CORP NTS B/E 02.375% 011519$30K-$30K2
896MacArthur Family 2008 Irr Tr FBO David MacArthur UNITED RENTALS NA INC 07.625% 041522$30K-$30K2
897UBNKUnited Financial Bancorp, Inc.$30K-$30K2
898SLM CORP MED TERM NTS 05.500% 012523$15K$45K-$30K4
899JC PENNEY CORP INC NTS 08.125% 100119$30K-$30K2
900ISTAR FINANCIAL INC NTS 05.000% 070119 DTD061314$30K-$30K2
901OFFSHORE GROUP INVMT LTD 07.500% 110119$30K-$30K2
902POLYMER GROUP INC 07.750% 020119$30K-$30K2
903BK oF NY MELLON CORP 02.100% 080118$30K-$30K2
904CFFNCapitol Federal Financial, Inc.$30K-$30K2
905COPConocoPhillips$30K-$30K2
906ITgartner, Inc.$30K-$30K2
907GEAGYGEA group Ag Sponsored ADR$50K$80K-$30K4
908RHIRobert Half International Inc.$30K-$30K2
909SIGSignet Jewelers Limited Common Shares$30K-$30K2
910WLLWhiting Petroleum Corporation$30K-$30K2
911PENNEY JC Co NTS B/E 05.650% 060120$30K-$30K2
912XLXL group plc$30K-$30K2
913HERTZ CORP NTS B/E 05.875% 101520$30K-$30K2
914CATERPILLAR FINANCIAL SE 01.300% 030118$30K-$30K2
915HCMLYHolcim Limited Unsponsored ADR representing Namen AKT$30K-$30K2
916FANUYFanuc Corporation Unsponsored ADR$65K$100K-$35K4
917AECOM TECHNoLogY C NTS 05.875% 101524$15K$50K-$35K2
918ISTAR FINANCIAL INC NTS 05.000% 070119$75K$110K-$35K10
919TRANSOCEAN INC MW@ +40BP 06.800% 031538$15K$50K-$35K2
920AHONYKoninklijke Ahold, N.V. American Depositary Shares$65K$100K-$35K4
921VNQMacArthur Family 2008 Irr Tr FBO Isabella MacArthur Vanguard REIT ETF - DNQ$130K$165K-$35K8
922ERICEricsson - ADS each representing 1 underlying Class B share$80K$115K-$35K6
923CPGXColumbia Pipeline group, Inc.$115K$150K-$35K4
924SOUTHWESTERN ENERGY Co 04.950% 012325$15K$50K-$35K2
925AELAmerican Equity Investment Life Holding Company$30K$65K-$35K4
926BXSBancorpSouth, Inc.$15K$50K-$35K2
927CSTCST Brands, Inc.$15K$50K-$35K2
928SSPE.W. Scripps Company$15K$50K-$35K2
929GLPIgaming and Leisure Properties, Inc.$30K$65K-$35K4
930SBRASabra Healthcare REIT, Inc.$65K$100K-$35K4
931SNVSynovus Financial Corp.$15K$50K-$35K2
932WMGIWright Medical group N.V. - ordinary Shares$65K$100K-$35K4
933DHID.R. Horton, Inc.$15K$50K-$35K2
934DATATableau Software, Inc. Class A$15K$50K-$35K2
935MGM RESORTS INTL NTS B/E 06.750% 100120$65K$110K-$45K7
936SEAGATE HDD CAYMAN B/E 04.750% 010125$30K$75K-$45K7
937CALPINE CORP NTS B/E 05.750% 011525$45K-$45K3
938UNITED RENTALS NORTH AM 05.750% 111524$15K$60K-$45K5
939HCA INC B/E 05.000% 031524$15K$60K-$45K5
940CIT GROUP INC B/E 05.250% 031518$30K$75K-$45K7
941RANGE RESOURCES CORP NTS 05.000% 031523$30K$75K-$45K7
942TARGA RESOURCES PARTNERS 05.250% 050123$15K$60K-$45K5
943Thomas C MacArthur and Deborah A MacArthur AMERIGAS PARTNER 06.500% 052021$45K-$45K3
944FCSFairchild Semiconductor International, Inc.$45K-$45K3
945LINN ENERGY LLC NTS B/E 07.750% 020121$15K$60K-$45K5
946FAFFirst American Corporation$45K-$45K3
947WYNN LAS VEGAS LLC B/E 05.375% 031522$45K$90K-$45K9
948NEW JERSEY ST TPK AUTH T SR H RV oID99.0 bE/R/ 5 DUE 010136 [gS]$50K-$50K1
949NEW JERSEY TRANS TRUST SR A BE/R/ 5.25 121523 [gS]$50K-$50K1
950ENGIE SPON ADR [oT]$50K-$50K1
951CK HUTCHISON HLDGS LTD UNSPONSORED ADR [oT]$50K-$50K1
952OZKBank OZK$50K-$50K1
953NRBAYNordea Bank AB Sponsored ADR$50K$100K-$50K3
954NVTnVent Electric plc ordinary Shares$50K-$50K4
955NEW JERSEY ENVIRONMENTAL SR A RV OID98.435 BE/R/ 5 DUE 090127 [gS]$50K-$50K1
956BAYRYBayer Aktiengesellschaft American Depositary Shares$195K$245K-$50K13
957ARLPAlliance Resource Partners, L.P. - Common Units Representing Limited Partnership Interests$50K-$50K2
958MITEYMitsubishi Estate Co Ltd American Depositary Shares$195K$245K-$50K12
959REYNOLDS GROUP ISSUER 05.750% 101520$30K$80K-$50K5
960CENTURYLINK INC NTS B/E 07.500% 040124$30K$80K-$50K5
961GRAPHIC PACKAGING INTL 04.750% 041521$15K$65K-$50K3
962HCA INC NTS B/E 03.750% 031519$15K$65K-$50K3
963INTL LEASE FIN CORP NTS 08.250% 121520$110K$160K-$50K11
964NATIONSTAR MoRTgAgE LLC 06.500% 070121$15K$65K-$50K3
965Thomas C MacArthur and Deborah A MacArthur BLACKROCK STRATEGIC MUNICIPAL OPPORTUNITIES [oT]$50K-$50K1
966BLACKROCK STRATEGIC MUNICIPAL OPPORTUNITIES [oT]$50K-$50K1
967T-MOBILE US INC NTS B/E 06.125% 011522$15K$65K-$50K3
968DOUBLE LINE TOTAL RETURN FUND$50K-$50K1
969MacArthur Family 2008 Irr Tr FBO Isabella MacArthur VIRTUS SEIX FLOATING RATE HIGH INCOME FUND$50K-$50K1
970VIRTUS SEIX FLOATING RATE HIGH INCOME FUND$50K-$50K1
971SOWSTN EY STEP UP CALL 05.800% 012320$50K-$50K1
972SALLY HLDGS LLC NTS B/E 05.750% 060122$15K$65K-$50K3
973DCPDCP Midstream, LP Common Units$50K-$50K1
974T-MOBILE USA INC b/E 06.542% 042820$50K-$50K1
975AUTONATION INC NTS B/E 05.500% 020120$50K-$50K1
976ACCESS MIDSTREAM 04.875% 051523$15K$65K-$50K3
977EL PASO CORP MW@+50BP 07.000% 061517$50K-$50K1
978HERTZ CORP NTS B/E 06.750% 041519$30K$80K-$50K5
979AEGAEGON N.V.$130K$180K-$50K8
980BBVABanco Bilbao Vizcaya Argentaria S.A.$115K$165K-$50K6
981HSBCHSBC Holdings, plc.$165K$215K-$50K7
982VODVodafone group Plc - American Depositary Shares each representing ten ordinary Shares$165K$215K-$50K7
983GLP CAP L P / GLP FING 04.875% 110120$15K$65K-$50K3
984NEW JERSEY ST EDU FAC AU RV SER A FSA b/E/R/ 5 DUE 090116$50K-$50K1
985FEDERATED FLOATING RATE STRATEGIC INCOME FD CL$50K-$50K1
986CHATHAMS NJ S/D FSA b/E . /R/ 4.25 071522$50K-$50K1
987DYNEGY INC NTS B/E 5.875% 060123$50K-$50K1
988WILLIAMS COS INC B/E 05.750%$50K-$50K1
989ALAir Lease Corporation Class A$50K-$50K1
990ALRAlere Inc.$50K-$50K1
991ALEAllete, Inc.$50K-$50K1
992DENNDenny's Corporation$50K-$50K1
993HIHillenbrand Inc$50K-$50K1
994ITTITT Corporation Common Stock New$50K-$50K1
995JBTJohn Bean Technologies Corporation$50K-$50K1
996LTXBLegacyTexas Financial group, Inc.$50K-$50K1
997NWENorthWestern Corporation$50K-$50K1
998ONE gas, Inc. (ogS)$50K-$50K1
999PFSProvident Financial Services, Inc$50K-$50K1
1000RBARitchie Bros. Auctioneers Incorporated$50K-$50K1
1001SRCSpirit Realty Capital, Inc.$50K-$50K1
1002TPHTRI Pointe group, Inc.$15K$65K-$50K3
1003UMBFUMB Financial Corporation$50K$100K-$50K3
1004Vanguard Mid-Cap Value ETF - DNQ$50K-$50K1
1005WTFCWintrust Financial Corporation$50K-$50K1
1006HCA INC B/E 05.000% 031524 DTD031714$50K-$50K1
1007CEQPCrestwood Equity Partners LP$50K-$50K2
1008FLRFluor Corporation$50K-$50K1
1009SMLPSummit Midstream Partners, LP Common Units Representing Limited Partner Interests$50K-$50K1
1010Teekay offshore Partners L.P. Common Units representing Limited Partner Interests (Too)$50K-$50K1
1011CMCSKComcast Corporation - Class A Special$100K$150K-$50K5
1012EVEREST ACQUISITION LLC 09.375% 050120EVEREST ACQUISITION LLC 09.375% 050120$50K-$50K1
1013CBOECBOE Holdings, Inc.$50K-$50K1
1014ATVIActivision Blizzard, Inc$50K-$50K1
1015AKAMAkamai Technologies, Inc.$50K-$50K1
1016AMXAmerica Movil, S.A.B. de C.V. American Depository Receipt Series L$15K$65K-$50K3
1017ABCAmerisourceBergen Corporation$50K-$50K1
1018ALVAutoliv, Inc.$50K-$50K1
1019BWABorgWarner Inc.$50K-$50K1
1020CSXCSX Corporation$50K-$50K1
1021EMNEastman Chemical Company$50K-$50K1
1022EXPEExpedia, Inc.$50K-$50K1
1023GPNglobal Payments Inc.$50K-$50K1
1024ICEIntercontinental Exchange Inc.$50K-$50K1
1025INTUIntuit Inc.$50K-$50K1
1026MASMasco Corporation$50K-$50K1
1027RJFRaymond James Financial, Inc.$50K-$50K1
1028SEESealed Air Corporation$50K-$50K1
1029SMFGSumitomo Mitsui Financial group Inc Unsponsored American Depositary Shares$115K$165K-$50K5
1030TJXTJX Companies, Inc.$50K-$50K1
1031UHSUniversal Health Services, Inc.$50K-$50K1
1032VALValspar Corporation$50K-$50K1
1033WABWestinghouse Air Brake Technologies Corporation$50K-$50K1
1034SXESouthcross Energy Partners, L.P. Common Units representing limited partner interest in the Partnership$50K-$50K1
1035MWEMarkWest Energy Partners, LP Common units representing limited partnership units$50K-$50K1
1036J HEINZ Co NTS B/E 04.250% 101520$50K-$50K1
1037XLSExelis Inc. Common Stock New$50K-$50K1
1038LEVEL 3 FING INC NTS B/E 08.125% 070119$50K-$50K1
1039AKZOYAkzo Nobel N.V. American Depositary Shares$50K-$50K1
1040AMER WEST A AMBAC B/E 08.057% 070220$50K-$50K1
1041AONAon plc Class A ordinary Shares$50K-$50K1
1042ASMLASML Holding N.V. - ADS represents 1 ordinary share$50K-$50K1
1043BZLFYBunzl Plc American Depositary Shares$50K-$50K1
1044CHKPCheck Point Software Technologies Ltd. - ordinary Shares$50K-$50K1
1045CTTAYContl Ag ord American Depositary Shares$50K-$50K1
1046GVDNYgivaudan SA Unsponsored ADR$50K-$50K1
1047HENOYHenkel Ag and Co. KGAA Sponsored ADR representing Preferred Shares$50K-$50K1
1048JMHLYJardine Matheson Holdings Ltd Unsponsored ADR$50K-$50K1
1049LNEGYLinde Ag Sponsored ADR$50K-$50K1
1050NLSNNielsen N.V.$50K-$50K1
1051PUKPrudential Public Limited Company$50K-$50K1
1052PUBGYPublicis groupe S.A.$50K-$50K1
1053RUKReed Elsevier NV PLC New ADS$50K-$50K1
1054SNYSanofi American Depositary Shares$50K-$50K1
1055SBGSYSchneider Electric SE Unsponsored ADR$50K-$50K1
1056STSensata Technologies Holding N.V. ordinary Shares$50K-$50K1
1057SGSOYSGS SA ADR$50K-$50K1
1058SDXAYSodexo American Depositary Shares$50K-$50K1
1059Softbank Corp Unsponsored ADR$50K-$50K1
1060TMToyota Motor Corporation$50K-$50K1
1061UBSUBS group Ag Registered ordinary Shares$50K-$50K1
1062UNUnilever NV$50K-$50K1
1063TRIUMPH GROUP INC NTS 04.875% 040121$50K-$50K1
1064ALLIANT TECHSYSTEMS INC 06.875% 091520$50K-$50K1
1065TRANSDIGM INC NTS B/E 05.500% 101520$50K-$50K1
1066CMICummins Inc.$50K-$50K1
1067VLKPYVolkswagen A g ord American Depositary Shares$50K-$50K1
1068DPSGYDeutsche Post Ag Sponsored ADR$175K$230K-$55K13
1069MGIC INVMT CORP NTS B/E 05.750% 081523$45K$100K-$55K4
1070PCRFYPanasonic Corporation$115K$175K-$60K10
1071NVSNovartis Ag$380K$440K-$60K27
1072BIIBBiogen Inc.$90K$150K-$60K8
1073SEKEYSeiko Epson Corp Suwa Unsponsored ADR$65K$125K-$60K8
1074CIT GROUP INC B/E 05.000% 081522$65K$125K-$60K8
1075CHESAPEAKE ENERGY CORP 06.125% 021521$30K$90K-$60K8
1076GENON ENERGY INC NTS B/E 09.875% 101520$15K$75K-$60K6
1077TOYS R US PRPTY Co II 8.500% 120117$60K-$60K4
1078DELDeltic Timber Corporation$60K-$60K4
1079CHC HELICOPTER S A NTS 09.250% 101520$60K-$60K4
1080CSC HLDGS INC 07.625% 071518$15K$80K-$65K4
1081MASCO CORP B/E 05.950% 031522$15K$80K-$65K4
1082KKPNYRoyal KPN N.V.$180K$245K-$65K11
1083TENET HEALTHCARE CORP 04.750% 060120$15K$80K-$65K4
1084JBAXYJulius Baer group Ltd Unsponsored ADR$115K$180K-$65K7
1085SCGLYSociete generale France Sponsored ADR$130K$195K-$65K9
1086GENL MOTORS FINL Co INC 04.250% 051523$15K$80K-$65K4
1087COMMUNITY HEALTH SYSTEMS 07.125% 071520$30K$95K-$65K6
1088CROWN CASTLE INTL CORP 04.875% 041522$15K$80K-$65K4
1089MARKWEST ENERGY NTS b/E 05.500% 021523$65K-$65K2
1090ADDYYadidas Ag Sponsored ADR$100K$165K-$65K5
1091KINETIC CONCEPTS INC NTS 10.500% 110118$15K$80K-$65K4
1092ADTThomas C MacArthur and Deborah A MacArthur ADT Corporation$15K$80K-$65K4
1093AOSA.o. Smith Corporation$65K-$65K2
1094FLOFlowers Foods, Inc.$65K-$65K2
1095KALUKaiser Aluminum Corporation$65K-$65K2
1096KSKapStone Paper and Packaging Corporation$15K$80K-$65K4
1097SXTSensient Technologies Corporation$65K-$65K2
1098BALL CORP NTS B/E 05.000% 031522$15K$80K-$65K4
1099FXBguggenheim CurrencyShares British Pound Sterling Trust$15K$80K-$65K4
1100FXCMacArthur Family 2008 Irr Tr FBO Isabella MacArthur guggenheim CurrencyShares Canadian Dollar Trust$15K$80K-$65K4
1101AMTAmerican Tower Corporation$65K-$65K2
1102BRGYYBg group plc$65K$130K-$65K5
1103CBGCBRE group Inc Common Stock Class A$65K-$65K2
1104ESRXThomas C MacArthur and Deborah A MacArthur Express Scripts Holding Company$65K-$65K2
1105NTTNippon Telegraph and Telephone Corporation$50K$115K-$65K3
1106TSMThomas C MacArthur and Deborah A MacArthur Taiwan Semiconductor Manufacturing Company Ltd.$15K$80K-$65K4
1107NIELSEN FIN LLC/NIELSEN 04.500% 100120$15K$80K-$65K4
1108AMER TOWER CORP B/E 04.500% 011518$65K-$65K2
1109DDAIFDaimler Ag$65K-$65K2
1110SLMSLM Corporation$30K$100K-$70K4
1111INTELSAT JACKSON HLDGS 07.250% 040119$75K-$75K5
1112DThomas C MacArthur and Deborah A MacArthur Dominion Resources, Inc.$185K$260K-$75K16
1113FDMLFederal-Mogul Holdings Corporation - Class A$75K-$75K5
1114FRCOYFast Retailing Co Ltd Unsponsored ADR$50K$130K-$80K4
1115MDTMedtronic plc. ordinary Shares$270K$350K-$80K28
1116BIVVBioverativ Inc.$80K-$80K6
1117CHMTChemtura Corp.$80K-$80K3
1118RHPRyman Hospitality Properties, Inc.$80K-$80K3
1119VWOVanguard FTSE Emerging Markets ETF$765K$850K-$85K6
1120HTHIYHitachi, Ltd. American Depositary Shares$30K$115K-$85K4
1121VEREIT INCORP NTS B/E 04.875% 060126$15K$105K-$90K8
1122OXYoccidental Petroleum Corporation$205K$295K-$90K13
1123NRG ENERGY INC NTS B/E 06.625% 031523$30K$125K-$95K8
1124ADNTAdient plc ordinary Shares$95K-$95K7
1125THGHanover Insurance group Inc$95K-$95K4
1126MTNVail Resorts, Inc.$95K-$95K4
1127VRNTVerint Systems Inc.$95K-$95K4
1128MIAMI-DADE CNTY FL AVIA SR A RV BE/R/ 5.5 100118 [gS]$100K-$100K1
1129PORT AUTH N Y & N J REV OID@99.2291 BE/R/ 5 DUE 071538 [gS]$100K-$100K1
1130INDIANA ST FIN AUTH RV BE/R/ 5 DUE 070119 [gS]$100K-$100K1
1131ANTERO RESOURCES FIN 05.375% 110121$30K$130K-$100K6
1132DISH DBS CORP NTS B/E 05.875% 071522$75K$175K-$100K12
1133ADSKAutodesk, Inc.$15K$115K-$100K3
1134AVGOBroadcom Inc.$100K-$100K1
1135NYS EMPIRE DEV CORP 07A SER A REV FSA B/E /R/ 5 DUE 010118$100K-$100K1
1136Thomas C MacArthur and Deborah A MacArthur DOUBLE LINE TOTAL RETURN FUND$100K-$100K1
1137MLPXglobal X MLP & Energy Infrastructure ETF$100K-$100K1
1138NEW JERSEY STATE TAX & B/E /R/ 5 DUE 060120$100K-$100K1
1139NUVEEN HIGH YIELD MUNICIPAL BOND FUND I$50K$150K-$100K3
1140Vanguard Mid-Cap growth ETF - DNQ$100K-$100K1
1141INFOIHS Markit Ltd. - Common Shares$100K-$100K3
1142MacArthur Family 2008 Irr Tr FBO David MacArthur ANGEL OAK MULTI-STRATEGY INCOME FUND CLASS INSTL$100K-$100K1
1143FUNCedar Fair, L.P.$100K-$100K2
1144POST HLDGS INC NTS 07.375% 021522$80K$180K-$100K8
1145CLIFTON NJ GEN CIFG PREF OID99.626bE/R/ 4.3 080124$100K-$100K1
1146Vanguard Small-Cap ETF - DNQ (Vb)$100K-$100K1
1147RBCRegal Beloit Corporation$15K$115K-$100K4
1148SPHSuburban Propane Partners, L.P.$100K-$100K1
1149DNZOYDenso Corp Ltd ord American Depositary Shares$15K$115K-$100K3
1150Seven & I Holdings Co Ltd Unsponsored$100K-$100K1
1151CNPCenterPoint Energy, Inc$100K-$100K1
1152CONTL AIRLINES 2010-A 04.750% 011221$100K-$100K1
1153IBM CORP B/E 03.625% 021224$100K-$100K1
1154US AIRWAYS GROUP INC B/E 06.250% 042223$100K-$100K1
1155UNPUnion Pacific Corporation$525K$630K-$105K32
1156CBRE SERVICES INC B/E 05.000% 031523$45K$150K-$105K13
1157ETPEnergy Transfer Partners, L.P. Common Units representing limited partner interests$115K-$115K3
1158STBFYSuntory Beverage & Food Ltd American Depositary Shares$50K$165K-$115K12
1159WPPGYWPP plc - American Depositary Shares each representing five ordinary Shares$65K$180K-$115K6
1160ERJEmbraer S.A.$50K$165K-$115K12
1161SYTSyngenta Ag$80K$195K-$115K8
1162BCSBarclays PLC$50K$165K-$115K4
1163CITIGROUP INC 04.500% 011422$115K-$115K2
1164SNESony Corporation$15K$145K-$130K5
1165DTVDIRECTV$130K-$130K3
1166HYGThomas C MacArthur and Deborah A MacArthur iShares iBoxx $ High Yield Corporate Bond ETF$315K$460K-$145K11
1167IFNNYInfineon Technologies Ag$65K$230K-$165K7
1168CVCThomas C MacArthur and Deborah A MacArthur Cablevision Systems Corporation Class A$165K-$165K3
1169AFLAFLAC Incorporated$110K$280K-$170K8
1170IVZThomas C MacArthur and Deborah A MacArthur Invesco Ltd$530K$715K-$185K29
1171SEPSpectra Energy Partners, LP Common Units representing Limited Partner Interests$200K-$200K2
1172EMRMacArthur Family 2008 Irr Tr FBO Isabella MacArthur Emerson Electric Company$80K$280K-$200K6
1173FEDERATED FLOATING RATE STRATEGIC INCOME FD$215K-$215K4
1174SCHDMacArthur Family 2008 Irr Tr FBO David MacArthur Schwab US Dividend Equity ETF$645K$860K-$215K13
1175ESThomas C MacArthur and Deborah A MacArthur Eversource Energy$65K$280K-$215K5
1176SWKMacArthur Family 2008 Irr Tr FBO Isabella MacArthur Stanley Black & Decker, Inc.$65K$280K-$215K5
1177YUMYum! Brands, Inc.$60K$280K-$220K7
1178PSOPearson, Plc$90K$330K-$240K10
1179ITWIllinois Tool Works Inc.$65K$310K-$245K7
1180EFAiShares MSCI EAFE ETF$3.0M$3.3M-$250K9
1181NEW JERSEY ST TPK AUTH T RV BE/R/ 5 DUE 010133 [gS]$250K-$250K1
1182NEW JERSEY TRANS TRUST A-2 RV BE/R/ 5 DUE 061529 [gS]$250K-$250K1
1183OCEAN CNTY NJ BE/R/ 4 DUE 080117$250K-$250K1
1184LUBBOCK COUNTY TX go REF FSA B/E /R/ 5 DUE 021521$250K-$250K1
1185NASSAU CNTY BE/R/ 5 DUE 100127$250K-$250K1
1186TRVThomas C MacArthur and Deborah A MacArthur The Travelers Companies, Inc.$45K$295K-$250K7
1187AT&T INC NTS B/E 04.450% 051521$250K-$250K1
1188BANK oF AMER CORP B/E 05.625% 070120$250K-$250K1
1189CATERPILLAR FINANCIAL SE 03.300% 060924$250K-$250K1
1190DELTA AIRLINES INC NTS 04.950% 052319$250K-$250K1
1191DIRECTV HLDGS LLC B/E 05.000% 030121$250K-$250K1
1192EMERSON ELEC Co NTS B/E 04.250% 111520$250K-$250K1
1193GENERAL ELEC CAP CORP 03.450% 051524$250K-$250K1
1194HEWLETT-PACKARD Co 03.750% 120120$250K-$250K1
1195INTEL CORP NTS B/E 02.700% 121522$250K-$250K1
1196INTL LEASE FIN CORP B/E 05.875% 081522$250K-$250K1
1197MEDTRONIC INC CALL@MW 04.125% 031521$250K-$250K1
1198MORGAN STANLEY NTS B/E 05.500%$250K-$250K1
1199ORACLE CORP NTS B/E 03.625% 071523$250K-$250K1
1200PEPSICO INC NTS B/E 03.600% 030124$250K-$250K1
1201VERIZON COMMUNICATIONS 04.600% 040121$250K-$250K1
1202WELLS FARGO & Co NTS B/E 04.600% 040121$250K-$250K1
1203J P MORGAN CHASE & Co 04.400% 072220$250K-$250K1
1204RSPMacArthur Family 2008 Irr Tr FBO David MacArthur Invesco S&P 500 Equal Weight ETF$255K-$255K18
1205CLColgate-Palmolive Company$315K$570K-$255K26
1206UPSUnited Parcel Service, Inc.$15K$280K-$265K4
1207Eog RESOURCES INC B/E 02.625% 031523$265K-$265K2
1208PLLPall Corporation$280K-$280K3
1209BAThomas C MacArthur and Deborah A MacArthur Boeing Company$280K-$280K3
1210IEMGMacArthur Family 2008 Irr Tr FBO Isabella MacArthur iShares Core MSCI Emerging Markets ETF$1.6M$1.9M-$290K38
1211BLACKROCK HIGH YIELD BOND I$110K$415K-$305K10
1212DOUBLE LINE TOTAL RETURN FUND INSTL$365K-$365K4
1213ANGEL OAK MULTI-STRATEGY INCOME FUND CLASS INSTL$400K-$400K3
1214VIGVanguard Div Appreciation ETF - DNQ$1.7M$2.1M-$485K18
1215NEW JERSEY ENVIRONMENTAL SR A RV BE/R/ 4 DUE 090123 [gS]$500K-$500K1
1216NEW JERSEY ST EDL FACS A SR A RV BE/R/ 5 DUE 070118 [gS]$500K-$500K1
1217ALASKA ST SR A BE/R/ 5 DUE 080128$500K-$500K1
1218DVYiShares Select Dividend ETF$500K-$500K1
1219UNHMacArthur Family 2008 Irr Tr FBO Isabella MacArthur UnitedHealth group Incorporated Common Stock$605K-$605K20