The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

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OMB Number:3235-0006
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COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
ACADIA HEALTHCARE COMPANY INCOM00404A10983,5583,250,000SH DFND01,0203,250,0000
ADVANCED MICRO DEVICES INCNOTE 2.125% 9/0007903BD86,0762,500,000PRN DFND01,0202,500,0000
AKAMAI TECHNOLOGIES INCCOM00971T101145,5822,383,468SH DFND01,0202,383,4680
ALTABA INCCOM0213461011,284,53922,170,156SH DFND01,02022,170,1560
APPLE INCCOM03783310078,870500,000SHPutDFND01,020500,0000
ARCONIC INCCOM03965L100875,07051,902,133SH DFND01,02051,902,1330
ATHENAHEALTH INCCOM04685W10376,519580,000SH DFND01,020580,0000
B RILEY FINL INCCOM05580M10832,7522,306,450SH DFND01,0202,306,4500
CITRIX SYS INCCOM177376100624,0846,091,000SH DFND01,0206,091,0000
CITRIX SYS INCCOM17737610051,230500,000SHCallDFND01,020500,0000
COMMUNITY HEALTH SYS INC NEWCOM20366810812,6904,500,000SH DFND01,0204,500,0000
COMMVAULT SYSTEMS INCCOM204166102124,0892,100,000SH DFND01,0202,100,0000
CORMEDIX INCCOM21900C1005,3754,166,868SH DFND01,0204,166,8680
DELL TECHNOLOGIES INCCL C24703L202323,8466,626,674SH DFND01,0206,626,6740
DEVON ENERGY CORP NEWCOM25179M103376,41816,700,000SH DFND01,02016,700,0000
DEVON ENERGY CORP NEWCOM25179M10322,5401,000,000SHCallDFND01,0201,000,0000
DIGITAL RLTY TR INCCOM25386810326,638250,000SHPutDFND01,020250,0000
DISH NETWORK CORPCL A25470M10946,5721,865,113SH DFND01,0201,865,1130
DISH NETWORK CORPNOTE 2.375% 3/125470MAD199,704126,200,000PRN DFND01,020126,200,0000
DISH NETWORK CORPNOTE 3.375% 8/125470MAB5188,411233,300,000PRN DFND01,020233,300,0000
EBAY INCCOM278642103238,5958,500,000SHCallDFND01,0208,500,0000
ENCANA CORPCOM29250510417,6293,050,000SH DFND01,0203,050,0000
ENI S P ASPONSORED ADR26874R10882,3602,000,000SHPutDFND01,0202,000,0000
EP ENERGY CORPCL A2687851022,7803,970,750SH DFND01,0203,970,7500
EQT CORPCOM26884L109101,4395,370,000SH DFND01,0205,370,0000
EQT CORPCOM26884L10937,7802,000,000SHCallDFND01,0202,000,0000
EQUINIX INCCOM PAR $0.00129444U70052,884150,000SHPutDFND01,020150,0000
EQUITRANS MIDSTREAM CORPORATCOM29460010144,4632,220,937SH DFND01,0202,220,9370
EXXON MOBIL CORPCOM30231G10217,729260,000SH DFND01,020260,0000
FIRSTENERGY CORPCOM337932107940,38925,043,653SH DFND01,02025,043,6530
GENESEE & WYO INCCL A3715591054,62762,500SH DFND01,02062,5000
GTY TECHNOLOGY HOLDINGS INCCL AG4182A10244,2204,400,000SH DFND01,0204,400,0000
GTY TECHNOLOGY HOLDINGS INC*W EXP 10/25/202G4182A1281,1431,466,666SH DFND01,0201,466,6660
HEALTHCARE RLTY TRCOM42194610418,006633,112SH DFND01,020633,1120
HESS CORPCOM42809H107888,77321,945,000SH DFND01,02021,945,0000
HESS CORPCOM42809H10721,263525,000SHCallDFND01,020525,0000
INTERNATIONAL SPEEDWAY CORPCL A46033520111,728267,406SH DFND01,020267,4060
INVESCO QQQ TRUNIT SER 146090E1031,523,3189,875,000SHPutDFND01,0209,875,0000
ISHARES TRIBOXX HI YD ETF464288513101,3751,250,000SHPutDFND01,0201,250,0000
KKR REAL ESTATE FIN TR INCCOM48251K1009,920518,000SH DFND01,020518,0000
LOGMEIN INCCOM54142L10997,8841,200,000SH DFND01,0201,200,0000
MACERICH COCOM55438210117,180396,960SH DFND01,020396,9600
MARRIOTT INTL INC NEWCL A571903202200,8361,850,000SHPutDFND01,0201,850,0000
MEDNAX INCCOM58502B10655,9741,696,183SH DFND01,0201,696,1830
MITEK SYS INCCOM NEW6067102003,187294,855SH DFND01,020294,8550
NIELSEN HLDGS PLCSHS EURG6518L108326,62014,000,000SH DFND01,02014,000,0000
NIELSEN HLDGS PLCSHS EURG6518L10854,8262,300,000SHCallDFND01,0202,300,0000
NORFOLK SOUTHERN CORPCOM65584410822,431150,000SHCallDFND01,020150,0000
OPUS BK IRVINE CALIFCOM684000102106,1615,419,153SH DFND01,0205,419,1530
PEABODY ENERGY CORP NEWCOM704551100858,50628,166,201SH DFND01,02028,166,2010
PERSPECTA INCCOM7153471008,821512,255SH DFND01,020512,2550
PLATFORM SPECIALTY PRODS CORCOM72766Q105113,12710,951,281SH DFND01,02010,951,2810
PRA GROUP INCNOTE 3.500% 6/069354NAB21,2621,500,000PRN DFND01,0201,500,0000
QEP RES INCCOM74733V10065,87111,700,000SH DFND01,02011,700,0000
ROADRUNNER TRNSN SVCS HLDG ICOM76973Q1052,6015,242,855SH DFND01,0205,242,8550
ROAN RES INCCL A COM769755109132,35515,794,132SH DFND01,02015,794,1320
SANOFIRIGHT 12/31/202080105N1139,80620,428,961SH DFND01,02020,428,9610
SELECT SECTOR SPDR TRSBI INT-UTILS81369Y886132,3002,500,000SHPutDFND01,0202,500,0000
SEMPRA ENERGYCOM8168511091,227,95711,350,000SH DFND01,02011,350,0000
SPDR SERIES TRUSTS&P OILGAS EXP78464A730503,80518,990,000SHPutDFND01,02018,990,0000
SUNSTONE HOTEL INVS INC NEWCOM86789210119,1061,468,559SH DFND01,0201,468,5590
TESLA INCNOTE 1.250% 3/088160RAC55,6085,000,000PRN DFND01,0205,000,0000
TRANSOCEAN LTDREG SHSH8817H100103,60114,928,064SH DFND01,02014,928,0640
TRANSOCEAN LTDREG SHSH8817H10069,40010,000,000SHPutDFND01,02010,000,0000
TRAVELPORT WORLDWIDE LTDSHSG9019D104105,4576,751,409SH DFND01,0206,751,4090
TWENTY FIRST CENTY FOX INCCL B90130A20099,1482,075,100SH DFND01,0202,075,1000
U S WELL SVCS INC*W EXP 03/15/20291274U1191,7702,950,000SH DFND01,0202,950,0000
UNITI GROUP INCCOM91325V108133,7468,590,000SH DFND01,0208,590,0000
VANECK VECTORS ETF TROIL SVCS ETF92189F7185,612400,000SHPutDFND01,020400,0000
VANECK VECTORS ETF TRSEMICONDUCTOR ET92189F676109,1001,250,000SHPutDFND01,0201,250,0000
VANGUARD INDEX FDSREAL ESTATE ETF922908553615,2038,250,000SHPutDFND01,0208,250,0000
VANGUARD INDEX FDSREAL ESTATE ETF92290855322,371300,000SHCallDFND01,020300,0000
VANTAGE ENERGY ACQUISITIONCOM CL A92211L10540,2004,000,000SH DFND01,0204,000,0000
VANTAGE ENERGY ACQUISITION*W EXP 04/12/20292211L1136271,333,333SH DFND01,0201,333,3330
VMWARE INCCL A COM92856340220,570150,000SHPutDFND01,020150,0000
VORNADO RLTY TRSH BEN INT9290421097,804125,803SH DFND01,020125,8030
WINDSTREAM HLDGS INCCOM PAR97382A3093,8711,852,000SH DFND01,0201,852,0000
ZAYO GROUP HLDGS INCCOM98919V10521,367935,523SH DFND01,020935,5230
ZAYO GROUP HLDGS INCCOM98919V1059,817429,800SHPutDFND01,020429,8000
ZIONS BANCORPORATION*W EXP 5/22/2029897011153,290350,000SH DFND01,020350,0000