0001145549-23-026914.txt : 20230505 0001145549-23-026914.hdr.sgml : 20230505 20230505153810 ACCESSION NUMBER: 0001145549-23-026914 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230331 FILED AS OF DATE: 20230505 DATE AS OF CHANGE: 20230505 PERIOD START: 20231231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Advantage Advisers Xanthus Fund, L.L.C. CENTRAL INDEX KEY: 0001076673 IRS NUMBER: 134038889 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-09205 FILM NUMBER: 23893516 BUSINESS ADDRESS: STREET 1: 85 BROAD STREET CITY: NEW YORK STATE: NY ZIP: 10004 BUSINESS PHONE: 212-667-4225 MAIL ADDRESS: STREET 1: 85 BROAD STREET CITY: NEW YORK STATE: NY ZIP: 10004 FORMER COMPANY: FORMER CONFORMED NAME: XANTHUS FUND LLC DATE OF NAME CHANGE: 19990112 NPORT-P 1 primary_doc.xml NPORT-P false 0001076673 XXXXXXXX Advantage Advisers Xanthus Fund, L.L.C. 811-09205 0001076673 54930075C2CH854P7245 85 Broad Street New York 10004 212-667-4225 Advantage Advisers Xanthus Fund, L.L.C. 54930075C2CH854P7245 2023-12-31 2023-03-31 N 3392358394.000000000000 1294703562.000000000000 2097654832.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 195245811.000000000000 N MSCI World Index MXWO Advantest Corp N/A Total Return Swap N/A -14471440.62 OU Notional USD -3037095.66098668 -0.1447852914 N/A DE JP N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-12-24 0.000000000000 USD 0.000000000000 USD -14471440.62 USD -3037095.66098668 N N N Alphabet Inc N/A Total Return Swap N/A 30537521.65 OU Notional USD 48300877.11 2.3026132028 N/A DE US N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-06-03 0.000000000000 USD 0.000000000000 USD 30537521.65 USD 48300877.11 N N N Auo Corp N/A Total Return Swap N/A -1372770.56 OU Notional USD -228404.8267575216 -0.0108885801 N/A DE TW N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-01-25 0.000000000000 USD 0.000000000000 USD -1372770.56 USD -228404.8267575216 N N N B3 S.A. - Brasil Bolsa Balcao N/A Total Return Swap N/A 21994674.04 OU Notional USD -5328242.643158514 -0.2540095044 N/A DE US N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2026-02-03 0.000000000000 USD 0.000000000000 USD 21994674.04 USD -5328242.643158514 N N N Bank of Queensland Ltd N/A Total Return Swap N/A -7996522.79 OU Notional USD 2427918.8718640003 0.1157444416 N/A DE AU N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-12-27 0.000000000000 USD 0.000000000000 USD -7996522.79 USD 2427918.8718640003 N N N Canon Inc N/A Total Return Swap N/A -12633410.6 OU Notional USD 177667.04186566718 0.0084697939 N/A DE JP N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-12-24 0.000000000000 USD 0.000000000000 USD -12633410.6 USD 177667.04186566718 N N N Carlyle Group Inc N/A Total Return Swap N/A 53959411.61 OU Notional USD -1280239.0350000001 -0.0610319208 N/A DE US N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-06-03 0.000000000000 USD 0.000000000000 USD 53959411.61 USD -1280239.0350000001 N N N Cellnex Telecom SA N/A Total Return Swap N/A 6463308.33 OU Notional USD 7375894.257288262 0.3516257367 N/A DE ES N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-01-04 0.000000000000 USD 0.000000000000 USD 6463308.33 USD 7375894.257288262 N N N Chubu Electric Power Co Inc N/A Total Return Swap N/A -1390265.01 OU Notional USD 99101.78496392047 0.0047244086 N/A DE JP N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-12-24 0.000000000000 USD 0.000000000000 USD -1390265.01 USD 99101.78496392047 N N N Cielo SA N/A Total Return Swap N/A -3584997.85 OU Notional USD 2071597.5213684721 0.0987577884 N/A DE BR N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2026-02-03 0.000000000000 USD 0.000000000000 USD -3584997.85 USD 2071597.5213684721 N N N Commonwealth Bank of Australia N/A Total Return Swap N/A -9219616.8 OU Notional USD -64861.07796000004 -0.0030920758 N/A DE AU N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-12-27 0.000000000000 USD 0.000000000000 USD -9219616.8 USD -64861.07796000004 N N N Daikin Industries Ltd N/A Total Return Swap N/A -5179412.13 OU Notional USD -547038.2913756119 -0.0260785656 N/A DE JP N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-12-24 0.000000000000 USD 0.000000000000 USD -5179412.13 USD -547038.2913756119 N N N Experian Plc N/A Total Return Swap N/A 5003702.72 OU Notional USD -1322379.7811206947 -0.0630408664 N/A DE JE N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2023-12-14 0.000000000000 USD 0.000000000000 USD 5003702.72 USD -1322379.7811206947 N N N Glodon Co. 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-3.6428374942 Short EC CORP US N 1 N N N Texas Instruments Inc WDJNR2L6D8RWOEB8T652 Common Stock 882508104 -301724 NS USD -56123681.24 -2.6755441545 Short EC CORP US N 1 N N N TG Therapeutics Inc 529900X21UKABN9NJ529 Common Stock 88322Q108 374600 NS USD 5633984 0.2685848937 Long EC CORP US N 1 N N N TJX Cos Inc/The V167QI9I69W364E2DY52 Common Stock 872540109 713441 NS USD 55905236.76 2.6651304069 Long EC CORP US N 1 N N N T-Mobile US Inc 549300QHIJYOHPACPG31 Common Stock 872590104 -156508 NS USD -22668618.72 -1.0806648632 Short EC CORP US N 1 N N N Toyota Motor Corp Z2VZBHUMB7PWWJ63I008 Common Stock N/A -1643100 NS -23210068.37 -1.1064770055 Short EC CORP JP N 1 N N N Trade Desk Inc/The 549300GXPD31VT3E0P46 Common Stock 88339J105 -41928 NS USD -2553834.48 -0.1217471264 Short EC CORP US N 1 N N N TransDigm Group Inc 88Q84GB3X55CF5OC7582 Common Stock 893641100 29626 NS USD 21835843.3 1.0409645556 Long EC CORP US N 1 N N N TransUnion 549300ZS772LUNUMRB03 Common Stock 89400J107 52146 NS USD 3240352.44 0.1544750066 Long EC CORP US N 1 N N N TripAdvisor Inc 549300QB8O3XV4AYBY08 Common Stock 896945201 -57347 NS USD -1138911.42 -0.0542945104 Short EC CORP US N 1 N N N Twilio Inc 5493004W8TRGD63APX93 Common Stock 90138F102 379457 NS USD 25283219.91 1.2053088775 Long EC CORP US N 1 N N N Uber Technologies Inc 549300B2FTG34FILDR98 Common Stock 90353T100 1513207 NS USD 47968661.9 2.2867757444 Long EC CORP US N 1 N N N UiPath Inc 5493000YP61KBELDHT53 Common Stock 90364P105 1535640 NS USD 26965838.4 1.2855231465 Long EC CORP US N 1 N N N Ultragenyx Pharmaceutical Inc 529900EV44GVDN1DCX77 Common Stock 90400D108 255225 NS USD 10234522.5 0.4879030784 Long EC CORP US N 1 N N N Verisk Analytics Inc 549300I1YSWNIRKBWP67 Common Stock 92345Y106 -42682 NS USD -8188968.52 -0.3903868451 Short EC CORP US N 1 N N N Verizon Communications Inc 2S72QS2UO2OESLG6Y829 Common Stock 92343V104 -408085 NS USD -15870425.65 -0.7565794624 Short EC CORP US N 1 N N N Visa Inc 549300JZ4OKEHW3DPJ59 Common Stock 92826C839 234155 NS USD 52792586.3 2.5167432456 Long EC CORP US N 1 N N N Vulcan Materials Co 549300Q8LSNHAVWBNI21 Common Stock 929160109 64502 NS USD 11065963.12 0.5275397530 Long EC CORP US N 1 N N N Wayfair Inc 54930027N9ZAVYFDHK53 Common Stock 94419L101 -243062 NS USD -8346749.08 -0.3979086050 Short EC CORP US N 1 N N N Western Union Co/The 28ID94QU1140NC23S047 Common Stock 959802109 -341601 NS USD -3808851.15 -0.1815766394 Short EC CORP US N 1 N N N Whirlpool Corp WHENKOULSSK7WUM60H03 Common Stock 963320106 -37766 NS USD -4985867.32 -0.2376876903 Short EC CORP US N 1 N N N Xiaomi Corp N/A Common Stock N/A -3413800 NS -5262069.18 -0.2508548642 Short EC CORP CN Y 1 N N N Xometry Inc N/A Common Stock 98423F109 140896 NS USD 2109213.12 0.1005510100 Long EC CORP US N 1 N N N XP Inc 5493008KDA8NBZRJST80 Common Stock G98239109 471518 NS USD 5596918.66 0.2668179042 Long EC CORP BR N 1 N N N Yum! Brands Inc 549300JE8XHZZ7OHN517 Common Stock 988498101 90788 NS USD 11991279.04 0.5716516777 Long EC CORP US N 1 N N N Z Holdings Corp 52990078MD2OL792YM35 Common Stock N/A 2508903 NS 7027718.37 0.3350273964 Long EC CORP JP N 1 N N N Zoom Video Communications Inc 549300T9GCHU0ODOM055 Common Stock 98980L101 315619 NS USD 23305306.96 1.1110172467 Long EC CORP US N 1 N N N ZoomInfo Technologies Inc 549300XF0FRWD2286I33 Common Stock 98980F104 172231 NS USD 4255828.01 0.2028850479 Long EC CORP US N 1 N N N Zscaler Inc N/A Common Stock 98980G102 -86261 NS USD -10077872.63 -0.4804352211 Short EC CORP US N 1 N N N American Tower Corp 5493006ORUSIL88JOE18 Common Stock 03027X100 98172 NS USD 20060466.48 0.9563282850 Long EC CORP US N 1 N N N Boston Properties Inc 549300OF70FSEUQBT254 Common Stock 101121101 -186596 NS USD -10098575.52 -0.4814221752 Short EC CORP US N 1 N N N Brandywine Realty Trust 5UZ46ZCYUFYYAC0DS831 Common Stock 105368203 -144219 NS USD -682155.87 -0.0325199294 Short EC CORP US N 1 N N N Douglas Emmett Inc N/A Common Stock 25960P109 -248004 NS USD -3057889.32 -0.1457765726 Short EC CORP US N 1 N N N Equinix Inc 549300EVUN2BTLJ3GT74 Common Stock 29444U700 39134 NS USD 28217179.36 1.3451774300 Long EC CORP US N 1 N N N Extra Space Storage Inc 529900SDJHKRQWED6A16 Common Stock 30225T102 -22444 NS USD -3656800.92 -0.1743280574 Short EC CORP US N 1 N N N Hudson Pacific Properties Inc N/A Common Stock 444097109 -116735 NS USD -776287.75 -0.0370074112 Short EC CORP US N 1 N N N JBG SMITH Properties 549300HHIW6GDQCPEC54 Common Stock 46590V100 -42231 NS USD -635998.86 -0.0303195192 Short EC CORP US N 1 N N N Kimco Realty Corp 549300EA7I6T15IBYS12 Common Stock 49446R109 -243399 NS USD -4753582.47 -0.2266141406 Short EC CORP US N 1 N N N Klepierre SA 969500PIZVAO9HXSA049 Common Stock N/A -97637 NS -2211720.43 -0.1054377678 Short EC CORP FR N 1 N N N Prologis Inc 529900DFH19P073LZ636 Common Stock 74340W103 -77634 NS USD -9686394.18 -0.4617725487 Short EC CORP US N 1 N N N Public Storage 549300LMZF40TKJ6DM64 Common Stock 74460D109 -73650 NS USD -22252611 -1.0608328244 Short EC CORP US N 1 N N N Regency Centers Corp 5493008PTR2GAOYBXW28 Common Stock 758849103 -105828 NS USD -6474557.04 -0.3086569316 Short EC CORP US N 1 N N N Ventas Inc ORQTRC074CWLT3DKHT41 Common Stock 92276F100 -54834 NS USD -2377053.9 -0.1133195921 Short EC CORP US N 1 N N N Vornado Realty Trust 549300BMOJ05INE4YK86 Common Stock 929042109 -106352 NS USD -1634630.24 -0.0779265595 Short EC CORP US N 1 N N N 2023-05-05 Advantage Advisers Xanthus Fund, L.L.C. Bryan McKigney Bryan McKigney Principal Executive Officer XXXX NPORT-EX 2 c106278_nportex.htm

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Portfolio Investments

 

Shares      March 31, 2023
Fair Value
     Common Stock – 110.03%        
     United States – 69.41%        
     Aerospace / Defense – 1.04%        
 29,626   TransDigm Group, Inc.  (a)  $21,835,843 
     Applications Software – 4.02%        
 155,483   Confluent, Inc., Class A*      3,742,476 
 135,790   Elastic NV*      7,862,241 
 170,700   Microsoft Corp.  (a)   49,212,810 
 55,457   PTC, Inc.*  (a)   7,111,251 
 341,661   Smartsheet, Inc., Class A*      16,331,396 
            84,260,174 
     Athletic Equipment – 0.27%        
 494,699   Peloton Interactive, Inc., Class A*      5,609,887 
     Building Products - Cement / Aggregate – 1.25%        
 42,789   Martin Marietta Materials, Inc.  (a)   15,192,662 
 64,502   Vulcan Materials Co.  (a)   11,065,963 
            26,258,625 
     Coatings / Paint – 0.93%        
 86,499   The Sherwin-Williams Co.  (a)   19,442,380 
     Commercial Services – 0.21%        
 9,495   Cintas Corp.  (a)   4,393,147 
     Commercial Services - Finance – 1.25%        
 91,573   Global Payments, Inc.  (a)   9,637,143 
 38,846   S&P Global, Inc.      13,392,935 
 52,146   TransUnion      3,240,352 
            26,270,430 
     Communications Software – 1.65%        
 371,701   RingCentral, Inc., Class A*  (a)   11,400,070 
 315,619   Zoom Video Communications, Inc., Class A*      23,305,307 
            34,705,377 
     Computer Aided Design – 6.78%        
 19,027   Altair Engineering, Inc., Class A*      1,372,037 
 314,672   Cadence Design Systems, Inc.*  (a)   66,109,440 
 193,306   Synopsys, Inc.*  (a)   74,664,443 
            142,145,920 
     Computer Software – 1.79%        
 191,676   Dynatrace, Inc.*  (a)   8,107,895 
 379,457   Twilio, Inc., Class A*  (a)   25,283,220 
 172,231   ZoomInfo Technologies, Inc.*      4,255,828 
            37,646,943 
- 1 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Portfolio Investments (continued)

 

Shares      March 31, 2023
Fair Value
     Common Stock – (continued)        
     United States – (continued)        
     E-Commerce / Products – 3.13%        
 635,299   Amazon.com, Inc.*  (a)  $65,620,034 
     E-Commerce / Services – 4.52%        
 425,924   Expedia Group, Inc.*  (a)   41,327,406 
 395,607   Lyft, Inc., Class A*      3,667,277 
 425,625   Marqeta, Inc., Class A*      1,945,106 
 1,513,207   Uber Technologies, Inc.*  (a)   47,968,662 
            94,908,451 
     Energy - Alternate Sources – 0.07%        
 271,959   Stem, Inc.*      1,542,008 
     Enterprise Software / Services – 3.10%        
 213,933   Bill.com Holdings, Inc.*  (a)   17,358,524 
 366,981   SS&C Technologies Holdings, Inc.  (a)   20,723,417 
 1,535,640   UiPath, Inc., Class A*      26,965,838 
            65,047,779 
     Finance - Credit Card – 4.66%        
 123,834   Mastercard, Inc., Class A  (a)   45,002,514 
 234,155   Visa, Inc., Class A  (a)   52,792,586 
            97,795,100 
     Finance - Other Services – 1.31%        
 262,997   Intercontinental Exchange, Inc.  (a)   27,427,957 
     Human Resources – 0.43%        
 45,324   Paylocity Holding Corp.*  (a)   9,009,505 
     Internet Content - Entertainment – 9.32%        
 922,152   Meta Platforms, Inc., Class A*  (a)   195,440,895 
     Medical - Biomedical / Genetics – 3.56%        
 435,044   Akero Therapeutics, Inc.*  (a)   16,644,783 
 640,678   Allovir, Inc.*  (a)   2,524,271 
 176,502   BioCryst Pharmaceuticals, Inc.*      1,472,027 
 49,576   Blueprint Medicines Corp.*      2,230,424 
 143,851   Caribou Biosciences, Inc.*      763,849 
 103,698   Cerevel Therapeutics Holdings, Inc.*      2,529,194 
 178,871   Certara, Inc.*      4,312,580 
- 2 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Portfolio Investments (continued)

 

Shares      March 31, 2023
Fair Value
     Common Stock – (continued)        
     United States – (continued)        
     Medical - Biomedical / Genetics – (continued)        
 145,648   DICE Therapeutics, Inc.*     $4,172,815 
 95,175   IGM Biosciences, Inc.*      1,307,705 
 210,759   Keros Therapeutics, Inc.*      8,999,409 
 100,345   Sarepta Therapeutics, Inc.*  (a)   13,830,551 
 374,600   TG Therapeutics, Inc.*      5,633,984 
 255,225   Ultragenyx Pharmaceutical, Inc.*      10,234,523 
            74,656,115 
     Medical - Drugs – 0.37%        
 336,001   ORIC Pharmaceuticals, Inc.*      1,915,206 
 185,983   PMV Pharmaceuticals, Inc.*      887,139 
 283,786   Rhythm Pharmaceuticals, Inc.*      5,062,742 
            7,865,087 
     Metal Processors & Fabrication – 0.10%        
 140,896   Xometry, Inc., Class A*      2,109,213 
     Private Equity – 0.84%        
 349,239   The Carlyle Group, Inc.  (a)   10,847,363 
 130,600   KKR & Co., Inc.      6,859,112 
            17,706,475 
     REITs - Diversified – 2.31%        
 98,172   American Tower Corp.      20,060,467 
 39,134   Equinix, Inc.      28,217,179 
            48,277,646 
     Retail - Apparel / Shoes – 1.31%        
 259,168   Ross Stores, Inc.  (a)   27,505,500 
     Retail - Building Products – 0.86%        
 90,192   Lowe’s Cos., Inc.  (a)   18,035,694 
     Retail - Major Department Stores – 2.67%        
 713,441   The TJX Cos., Inc.  (a)   55,905,237 
     Retail - Restaurants – 1.54%        
 11,953   Chipotle Mexican Grill, Inc.*  (a)   20,419,190 
 90,788   Yum! Brands, Inc.      11,991,279 
            32,410,469 
     Semiconductor Components - Integrated Circuits – 6.32%        
 379,190   Analog Devices, Inc.  (a)   74,783,852 
 452,644   QUALCOMM, Inc.  (a)   57,748,322 
            132,532,174 
- 3 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Portfolio Investments (continued)

 

Shares      March 31, 2023
Fair Value
     Common Stock – (continued)        
     United States – (continued)        
     Semiconductor Equipment – 3.80%        
 77,765   KLA Corp.  (a)  $31,041,455 
 56,486   Lam Research Corp.  (a)   29,944,358 
 173,748   Teradyne, Inc.  (a)   18,679,647 
            79,665,460 
     Total United States (Cost $1,001,820,352)     $1,456,029,525 
              
     Brazil – 0.27%        
     Finance - Investment Banker / Broker – 0.27%        
 471,518   XP, Inc., Class A*      5,596,919 
     Total Brazil (Cost $12,141,882)     $5,596,919 
              
     Canada – 0.64%        
     Internet Application Software – 0.64%        
 280,192   Shopify, Inc., Class A*  (a)   13,432,404 
     Total Canada (Cost $10,151,869)     $13,432,404 
              
     China – 12.34%        
     Transport Services – 1.00%        
 2,746,643   Full Truck Alliance Co., Ltd. - Sponsored ADR*      20,901,953 
     E-Commerce / Products – 5.73%        
 625,045   Alibaba Group Holding, Ltd. - Sponsored ADR*      63,867,098 
 520,528   JD.com, Inc., Class A - Sponsored ADR*      22,845,974 
 439,801   Pinduoduo, Inc. - Sponsored ADR*      33,380,896 
            120,093,968 
     Enterprise Software / Services – 0.13%        
 4,241,447   Ming Yuan Cloud Group Holdings, Ltd.      2,717,785 
     Entertainment Software – 1.20%        
 285,132   NetEase, Inc. - Sponsored ADR      25,217,074 
     Real Estate Management / Services – 1.31%        
 1,457,315   KE Holdings, Inc. - Sponsored ADR*      27,455,815 
     Schools – 0.32%        
 175,408   New Oriental Education & Technology Group, Inc. - Sponsored ADR*      6,772,503 
     Web Portals / ISP – 2.65%        
 368,734   Baidu, Inc. - Sponsored ADR*      55,649,335 
     Total China (Cost $261,493,974)     $258,808,433 
- 4 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Portfolio Investments (continued)

 

Shares       March 31, 2023
Fair Value
     Common Stock – (continued)         
     France – 8.61%         
     Aerospace / Defense - Equipment – 6.95%         
 520,649   Airbus SE      $69,734,454 
 513,005   Safran SA       76,101,154 
             145,835,608 
     Apparel Manufacturers – 0.36%         
 11,743   Kering SA       7,654,909 
     Textile - Apparel – 1.30%         
 29,725   LVMH Moet Hennessy Louis Vuitton SE       27,269,667 
     Total France (Cost $144,570,236)      $180,760,184 
               
     Germany – 2.04%         
     Aerospace / Defense – 1.22%         
 101,745   MTU Aero Engines AG       25,490,721 
     Athletic Footwear – 0.82%         
 97,376   adidas AG       17,221,173 
     Total Germany (Cost $40,565,950)      $42,711,894 
               
     Hong Kong – 1.36%         
     Casino Hotels – 1.36%         
 4,271,000   Galaxy Entertainment Group, Ltd.       28,536,991 
     Total Hong Kong (Cost $26,061,363)      $28,536,991 
               
     Israel – 0.09%         
     Applications Software – 0.09%         
 96,123   JFrog, Ltd.*       1,893,623 
     Total Israel (Cost $5,284,324)      $1,893,623 
               
     Japan – 3.76%         
     Audio / Video Products – 3.42%         
 795,700   Sony Group Corp.       71,654,253 
     Web Portals / ISP – 0.34%         
 2,508,903   Z Holdings Corp.       7,027,718 
     Total Japan (Cost $66,210,132)      $78,681,971 
               
     Netherlands – 2.92%         
     Semiconductor Equipment – 2.92%         
 90,029   ASML Holding NV       61,283,641 
     Total Netherlands (Cost $49,765,927)      $61,283,641 
               
     Singapore – 0.63%         
     E-Commerce / Products – 0.63%         
 152,183   Sea, Ltd. - Sponsored ADR*       13,171,439 
     Total Singapore (Cost $7,494,570)      $13,171,439 
- 5 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Portfolio Investments (concluded)

 

Shares      March 31, 2023
Fair Value
     Common Stock – (continued)        
     Taiwan – 4.11%        
              
     Semiconductor Components - Integrated Circuits – 4.11%        
 927,187   Taiwan Semiconductor Manufacturing Co., Ltd. - Sponsored ADR     $86,246,935 
     Total Taiwan (Cost $71,673,218)     $86,246,935 
              
     Uruguay – 3.85%        
     Commercial Services - Finance – 0.11%        
 148,035   Dlocal, Ltd.*      2,401,128 
     E-Commerce / Services – 3.74%        
 59,593   MercadoLibre, Inc.*  (a)   78,547,149 
     Total Uruguay (Cost $42,889,176)     $80,948,277 
     Total Common Stock (Cost $1,740,122,973)     $2,308,102,236 
              
     Total Investments in Securities (Cost $1,740,122,973) – 110.03%     $2,308,102,236 
     Total Purchased Options ( Cost $330,431,262) - 14.82%      310,902,797 
     Total Securities Sold, Not Yet Purchased (Proceeds $958,768,968) - (43.69)%      (916,451,345)
     Total Written Options (Proceeds $1,255,932) - (0.01)%      (233,260)
     Other Assets, in Excess of Liabilities – 18.85%**      395,334,404 
     Members’ Capital – 100.00%     $2,097,654,832 

 

 
             
(a)     Partially or wholly held in a pledge account by the Custodian, the assets of which are pledged as collateral for securities sold, not yet purchased.
*     Non-income producing security
**     Includes $193,922,776 invested in U.S. Dollar Cash Reserve Account at the Bank of New York Mellon (the “Custodian”), which is 9.24% of Members’ Capital, and foreign currency with a U.S. Dollar value of $1,323,034 held in a Foreign Cash Account with the Custodian which is 0.06% of Members’ Capital, $192,340,279 of those amounts is held as restricted cash and is in a segregated account with the Custodian, primarily as collateral for swap contracts, in each case as at March 31, 2023.
ADR     American Depository Receipt
REIT     Real Estate Investment Trust
- 6 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Purchased Options (Unaudited)

 

Notional
Amount (USD)
   Contracts  Expiration
Date
Strike Price
   March 31, 2023
Fair Value
           Purchased Options – 14.82%     
           Equity Options – 14.80%     
           Equity Call Options – 11.67%     
           United States – 10.30%     
           Applications Software - 0.88%     
$52,911,500   2,461  6/16/2023
$215
  Microsoft Corp.  $18,395,975 
           Auto - Cars / Light Trucks - 2.35%     
 27,904,000   3,488  4/21/2023
$80
  Tesla, Inc.   44,280,160 
 9,744,000   696  7/21/2023
$140
  Tesla, Inc.   5,077,320 
               49,357,480 
           Casino Hotels - 0.65%     
 23,634,000   5,252  6/16/2023
$45
  Las Vegas Sands Corp.   6,985,160 
 24,894,000   2,766  6/16/2023
$90
  Wynn Resorts, Ltd.   6,707,550 
               13,692,710 
           Commercial Services - Finance - 0.13%     
 12,684,000   2,114  6/16/2023
$60
  H&R Block, Inc.   2,737,630 
           Communications Software - 0.02%     
 5,740,000   1,640  7/21/2023
$35
  RingCentral, Inc., Class A   410,000 
           E-Commerce / Products - 0.73%     
 113,249,500   11,921  6/16/2023
$95
  Amazon.com, Inc.   15,199,275 
           E-Commerce / Services - 1.87%     
 87,200,000   436  6/16/2023
$2,000
  Booking Holdings, Inc.   29,822,400 
 21,942,000   4,876  5/19/2023
$45
  DoorDash, Inc., Class A   9,435,060 
               39,257,460 
           Electronic Component - Semiconductor - 0.41%     
 19,705,000   2,815  7/21/2023
$70
  Advanced Micro Devices, Inc.   8,557,600 
           Enterprise Software / Services - 0.37%     
 16,084,000   4,021  5/19/2023
$40
  Alteryx, Inc., Class A   7,760,530 
           Finance - Credit Card - 0.96%     
 60,975,000   4,878  6/16/2023
$125
  American Express Co.   20,170,530 
           Hotels & Motels - 0.66%     
 57,075,000   4,566  6/16/2023
$125
  Hilton Worldwide Holdings, Inc.   8,081,820 
 23,530,500   1,743  5/19/2023
$135
  Marriott International, Inc., Class A   5,629,890 
               13,711,710 
           Internet Content - Entertainment - 0.98%     
 100,458,000   5,581  5/19/2023
$180
  Meta Platforms, Inc., Class A   20,621,795 
- 7 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Purchased Options (Unaudited)(continued)

 

Notional
Amount (USD)
   Contracts  Expiration
Date
Strike Price
   March 31, 2023
Fair Value
           Purchased Options – (continued)     
           Equity Options – (continued)     
           Equity Call Options – (continued)     
           United States – (continued)     
           Medical - Drugs - 0.00%     
$23,851,000   1,403  6/16/2023
$170
  Johnson & Johnson  $67,344 
           Multimedia - 0.29%     
 22,424,000   2,803  6/16/2023
$80
  The Walt Disney Co.   6,026,450 
           Total United States (Cost $171,881,316)  $215,966,489 
                 
           Australia - 0.19%     
           Enterprise Software / Services - 0.19%     
 8,580,000   715  6/16/2023
$120
  Atlassian Corp. PLC, Class A   3,918,200 
           Total Australia (Cost $3,532,113)  $3,918,200 
                 
           Canada - 0.36%     
           Internet Application Software - 0.36%     
 12,198,000   4,066  6/16/2023
$30
  Shopify, Inc., Class A   7,542,430 
           Total Canada (Cost $5,106,970)  $7,542,430 
                 
           China - 0.17%     
                 
           E-Commerce / Products - 0.17%     
 9,044,750   2,783  9/15/2023
$32.50
  JD.com, Inc., Class A - Sponsored ADR   3,645,730 
           Total China (Cost $2,902,750)  $3,645,730 
                 
           Taiwan - 0.65%     
           Semiconductor Components - Integrated     
           Circuits - 0.65%     
 40,530,000   5,790  5/19/2023
$70
  Taiwan Semiconductor Manufacturing Co., Ltd. - Sponsored ADR   13,635,450 
           Total Taiwan (Cost $10,989,588)  $13,635,450 
           Total Equity Call Options (Cost $194,412,737)  $244,708,299 
                 
           Equity Put Options - 3.13%     
           United States - 3.13%     
           Communications Software - 0.36%     
 47,863,500   5,631  6/16/2023
$85
  Zoom Video Communications, Inc., Class A   7,573,695 
           Enterprise Software / Services - 0.65%     
 37,550,000   3,004  8/18/2023
$125
  Bill.com Holdings, Inc.   13,578,080 
           Growth & Income - Large Cap - 0.66%     
 354,004,500   10,261  6/16/2023
$345
  SPDR S&P 500 ETF Trust   1,713,587 
 325,120,000   8,128  9/15/2023
$400
  SPDR S&P 500 ETF Trust   12,183,872 
               13,897,459 
           Sector Fund - Technology - 1.46%     
 983,712,000   40,988  6/16/2023
$240
  Invesco QQQ Trust Series 1   3,033,112 
 523,687,500   18,375  9/15/2023
$285
  Invesco QQQ Trust Series 1   14,626,500 
 274,809,600   8,808  9/15/2023
$312
  Invesco QQQ Trust Series 1   12,921,336 
               30,580,948 
- 8 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Purchased Options (Unaudited)(concluded)

 

Notional
Amount (USD)
   Contracts  Expiration Date
Strike Price
   March 31, 2023
Fair Value
           Purchased Options – (continued)     
           Equity Options – (continued)     
           Equity Put Options - (continued)     
           Total United States (Cost $129,690,893)  $65,630,182 
           Total Equity Put Options (Cost $129,690,893)  $65,630,182 
           Total Equity Options (Cost $324,103,630)  $310,338,481 
                 
           Currency Put Options - 0.02%     
           United States - 0.02%     
$5,494,179   95,550,944  6/16/2023
$5.75
  USD-BRL   501,414 
 12,780,589   171,551,524  6/16/2023
$7.45
  USD-CNH   62,902 
           Total United States (Cost $6,327,632)  $564,316 
           Total Currency Put Options (Cost $6,327,632)  $564,316 
           Total Purchased Options (Cost $330,431,262)  $310,902,797 

 

 
       
  ADR   American Depository Receipt
  BRL   Brazilian Real
  CNH   Chinese Renminbi Yuan
  ETF   Exchange-Traded Fund
  SPDR   Standard & Poor’s Depository Receipt
  USD   United States Dollar
- 9 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Securities Sold, Not Yet Purchased

 

Shares    March 31, 2023
Fair Value
   Securities Sold, Not Yet Purchased – 43.69%     
     Common Stock – 43.69%     
     United States – 36.92%     
     Advertising Agencies – 0.42%     
 94,439   Omnicom Group, Inc.  $8,909,375 
     Advertising Services – 0.44%     
 180,557   The Interpublic Group of Cos., Inc.   6,723,943 
 41,928   The Trade Desk, Inc., Class A*   2,553,834 
         9,277,777 
     Apparel Manufacturers – 0.14%     
 567,337   Hanesbrands, Inc.   2,984,193 
     Appliances – 0.24%     
 37,766   Whirlpool Corp.   4,985,867 
     Applications Software – 0.89%     
 344,905   C3.ai, Inc., Class A*   11,578,461 
 15,318   ServiceNow, Inc.*   7,118,581 
        18,697,042 
     Auto - Cars / Light Trucks – 3.64%     
 368,332   Tesla, Inc.*   76,414,157 
     Cable / Satellite TV – 0.61%     
 35,741   Charter Communications, Inc., Class A*   12,781,339 
   Cellular Telecommunications – 1.08%     
 156,508   T-Mobile US, Inc.*   22,668,619 
   Commercial Banks - Central US – 0.21%     
 41,681   Cullen/Frost Bankers, Inc.   4,390,677 
   Commercial Banks - Western US – 0.03%     
 40,542   CVB Financial Corp.   676,241 
   Commercial Services - Finance – 0.24%     
 141,364   H&R Block, Inc.   4,983,081 
     Computer Data Security – 0.98%     
 62,633   Qualys, Inc.*   8,143,543 
 48,858   Rapid7, Inc.*   2,243,071 
 86,261   Zscaler, Inc.*   10,077,872 
        20,464,486 
     Computer Software – 2.04%     
 93,906   Akamai Technologies, Inc.*   7,352,840 
 4,240   Bandwidth, Inc., Class A*   64,448 
 28,344   Braze, Inc., Class A*   979,852 
 173,609   Cloudflare, Inc., Class A*   10,704,731 
 100,881   Datadog, Inc., Class A*   7,330,013 
 45,087   Fastly, Inc., Class A*   800,745 
 98,289   SolarWinds Corp.*   845,285 
 121,392   Splunk, Inc.*   11,639,065 
- 10 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Securities Sold, Not Yet Purchased (continued)

 

Shares    March 31, 2023
Fair Value
     Common Stock – (continued)     
     United States – (continued)     
     Computer Software – (continued)     
 79,604   Teradata Corp.*  $3,206,449 
        42,923,428 
     Computers – 0.04%     
 25,667   HP, Inc.   753,326 
     Consulting Services – 0.39%     
 42,682   Verisk Analytics, Inc.   8,188,969 
    Consumer Products - Miscellaneous – 1.05%     
 163,373   Kimberly-Clark Corp.   21,927,924 
     Cosmetics & Toiletries – 0.72%     
 96,031   Colgate-Palmolive Co.   7,216,730 
 53,110   The Procter & Gamble Co.   7,896,926 
         15,113,656 
    Diversified Manufacturing Operations – 0.35%     
 105,824   A.O. Smith Corp.   7,317,730 
     E-Commerce / Products – 0.40%     
 243,062   Wayfair, Inc., Class A*   8,346,749 
     E-Commerce / Services – 0.05%     
 57,347   TripAdvisor, Inc.*   1,138,911 
     Electric - Distribution – 0.40%     
 88,050   Consolidated Edison, Inc.   8,423,744 
    Electric - Integrated – 1.05%     
 45,357   Duke Energy Corp.   4,375,590 
 60,382   Entergy Corp.   6,505,557 
 117,048   PPL Corp.   3,252,764 
 114,052   The Southern Co.   7,935,738 
         22,069,649 
     Electronic Components - Semiconductors – 5.64%     
 130,972   GLOBALFOUNDRIES, Inc.*   9,453,559 
 79,407   Marvell Technology, Inc.   3,438,323 
 177,826   NVIDIA Corp.   49,394,728 
 301,724   Texas Instruments, Inc.   56,123,681 
        118,410,291 
     Electronic Forms – 0.77%     
 41,692   Adobe, Inc.*   16,066,846 
     Enterprise Software / Services – 0.37%     
 8,214   HubSpot, Inc.*   3,521,752 
 501,570   Palantir Technologies Inc., Class A*   4,238,267 
         7,760,019 

 

- 11 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Securities Sold, Not Yet Purchased (continued)

 

Shares    March 31, 2023
Fair Value
     Common Stock – (continued)     
     United States – (continued)     
     Finance - Credit Card – 0.18%     
 341,601   The Western Union Co.  $3,808,851 
     Food - Confectionery – 0.24%     
 31,501   The J M Smucker Co.   4,957,312 
     Food - Miscellaneous / Diversified – 2.48%     
 260,725   Campbell Soup Co.   14,334,660 
 278,730   Conagra Brands, Inc.   10,469,099 
 160,979   General Mills, Inc.   13,757,265 
 200,058   Kellogg Co.   13,395,884 
         51,956,908 
     Internet Applications Software – 0.37%     
 89,322   Okta, Inc.*   7,703,129 
     Internet Content - Entertainment – 0.41%     
 768,552   Snap, Inc., Class A*   8,615,468 
     Internet Infrastructure Software – 0.19%     
 27,908   F5, Inc.*   4,065,917 
     Investment Management / Advisory Services – 1.57%     
 179,104   Invesco, Ltd.   2,937,306 
 266,469   T Rowe Price Group, Inc.   30,084,350 
         33,021,656 
     Medical - Biomedical / Genetics – 0.74%     
 63,788   Amgen, Inc.   15,420,749 
     Medical - Drugs – 0.84%     
 114,299   Johnson & Johnson   17,716,345 
     Networking Products – 0.33%     
 130,422   Cisco Systems, Inc.   6,817,810 
     Private Equity – 0.06%     
 15,607   Ares Management Corp., Class A   1,302,248 
     Real Estate Management / Services – 0.23%     
 179,683   Anywhere Real Estate, Inc.*   948,726 
 371,710   Cushman & Wakefield PLC*   3,917,823 
        4,866,549 
     REITs - Health Care – 0.11%     
 54,834   Ventas, Inc.   2,377,054 
     REITs - Office Property – 0.93%     
 186,596   Boston Properties, Inc.   10,098,576 
 144,219   Brandywine Realty Trust   682,156 
 248,004   Douglas Emmett, Inc.   3,057,889 
 116,735   Hudson Pacific Properties, Inc.   776,288 
 42,231   JBG SMITH Properties   635,999 
 106,172   SL Green Realty Corp.   2,497,165 
- 12 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Securities Sold, Not Yet Purchased (continued)

 

Shares    March 31, 2023
Fair Value
     Common Stock – (continued)     
     United States – (continued)     
     REITs - Office Property – (continued)     
 106,352   Vornado Realty Trust  $1,634,630 
         19,382,703 
     REITs - Shopping Centers –  0.77%     
 48,811   Federal Realty Investment Trust   4,823,991 
 243,399   Kimco Realty Corp.   4,753,582 
 105,828   Regency Centers Corp.   6,474,557 
         16,052,130 
     REITs - Storage – 1.23%     
 22,444   Extra Space Storage, Inc.   3,656,801 
 73,650   Public Storage   22,252,611 
         25,909,412 
     REITs - Warehouse / Industrial  – 0.46%     
 77,634   Prologis, Inc.   9,686,394 
     Retail - Apparel / Shoes – 0.03%     
 105,358   Chico’s FAS, Inc.*   579,469 
     Retail - Bedding – 0.00%     
 26,784   Bed, Bath & Beyond, Inc.*   11,447 
     Retail - Major Department  Stores – 0.23%     
 297,522   Nordstrom, Inc.   4,840,683 
     Retail - Miscellaneous /  Diversified – 0.23%     
 308,322   Sally Beauty Holdings, Inc.*   4,803,657 
     Retail - Regional Department  Stores – 0.40%     
 300,279   Kohl’s Corp.   7,068,568 
 70,585   Macy’s, Inc.   1,234,532 
         8,303,100 
     Retail - Restaurants – 0.12%     
 72,316   The Cheesecake Factory, Inc.   2,534,676 
     Telephone - Integrated – 1.03%     
 296,147   AT&T, Inc.   5,700,830 
 408,085   Verizon Communications, Inc.   15,870,426 
         21,571,256 
     Transport - Services – 1.55%     
 327,839   CH Robinson Worldwide, Inc.   32,577,361 
     Total United States (Proceeds $809,448,525)  $774,556,380 
           
     Canada – 0.28%     
     Investment Management / Advisory Services – 0.06%     
 35,462   Brookfield Asset Management, Ltd., Class A*   1,160,317 
     Medical - Drugs – 0.00%     
 81,234   Canopy Growth Corp.*   142,188 

 

- 13 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Securities Sold, Not Yet Purchased (continued)

 

Shares    March 31, 2023
Fair Value
     Common Stock – (continued)     
     Canada – (continued)     
     Private Equity – 0.22%     
 141,852   Brookfield Corp.  $4,622,957 
     Total Canada (Proceeds $9,701,878)  $5,925,462 
           
     China – 1.82%     
     Auto - Cars / Light Trucks – 1.00%     
 489,672   Li Auto, Inc. - Sponsored ADR*   12,217,316 
 415,068   NIO, Inc. - Sponsored ADR*   4,362,365 
 397,510   Xpeng, Inc. - Sponsored ADR*   4,416,336 
         20,996,017 
     Internet Content - Information / Network –  0.49%     
 22,600   Meituan, Class B*   413,136 
 201,400   Tencent Holdings, Ltd.   9,898,168 
         10,311,304 
     Metal - Aluminum – 0.04%     
 4,170,000   China Zhongwang Holdings, Ltd.*   892,439 
     Retail - Drug Stores – 0.04%     
 359,600   Ping An Healthcare and Technology Co., Ltd.*   909,771 
     Wireless Equipment – 0.25%     
 3,413,800   Xiaomi Corp., Class B*   5,262,069 
     Total China (Proceeds $42,382,201)  $38,371,600 
           
     France – 0.11%     
     REITs - Regional Malls – 0.11%     
 97,637   Klepierre SA   2,211,720 
     Total France (Proceeds $1,582,846)  $2,211,720 
           
     Germany – 1.23%     
     Enterprise Software / Services – 1.23%     
 204,264   SAP SE   25,756,340 
     Total Germany (Proceeds $27,682,571)  $25,756,340 
           
     Hong Kong – 0.42%     
     Auto - Cars / Light Trucks – 0.25%     
 4,053,000   Geely Automobile Holdings, Ltd.   5,214,721 
     Electric - Integrated – 0.17%     
 661,000   Power Assets Holdings, Ltd.   3,545,003 
     Total Hong Kong (Proceeds $10,119,729)  $8,759,724 
           
     Israel – 0.65%     
     Auto/Truck Parts & Equipment - Original – 0.43%     
 207,367   Mobileye Global, Inc., Class A*   8,972,770 
- 14 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Securities Sold, Not Yet Purchased (concluded)

 

Shares    March 31, 2023
Fair Value
     Common Stock – (continued)     
     Israel – (continued)     
     Computer Data Security – 0.22%     
 35,989   Check Point Software Technologies, Ltd.*  $4,678,570 
     Total Israel (Proceeds $10,549,909)  $13,651,340 
           
     Japan – 1.11%     
     Auto - Cars / Light Trucks – 1.11%     
 1,643,100   Toyota Motor Corp.   23,210,068 
     Total Japan (Proceeds $22,544,607)  $23,210,068 
           
     Netherlands – 0.45%     
    Semiconductor Components - Integrated Circuits – 0.45%     
 50,628   NXP Semiconductors NV   9,440,856 
     Total Netherlands (Proceeds $9,652,376)  $9,440,856 
           
     Switzerland – 0.35%     
     Medical - Drugs – 0.35%     
 78,886   Novartis AG - Sponsored ADR   7,257,512 
     Total Switzerland (Proceeds $6,710,288)  $7,257,512 
           
     Taiwan – 0.35%     
     Semiconductor Components - Integrated Circuits – 0.35%     
 834,514   United Microelectronics Corp. - Sponsored ADR   7,310,343 
     Total Taiwan (Proceeds $8,394,038)  $7,310,343 
     Total Common Stock (Proceeds  $958,768,968)  $916,451,345 
     Total Securities Sold, Not Yet Purchased (Proceeds $958,768,968)  $916,451,345 

 

 

 

* Non-income producing security
ADR American Depository Receipt
REIT Real Estate Investment Trust
- 15 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Written Options

 

Notional
Amount (USD)
   Contracts  Expiration
Date
Strike Price
   March 31, 2023
Fair Value
           Written Options – 0.01%     
           Equity Options – 0.01%     
           Equity Put Options – 0.01%     
           United States – 0.00%     
           Enterprise Software / Services - 0.00%     
        5/19/2023        
$16,084,000   4,021  $40  Alteryx, Inc., Class A  $40,210 
           Total United States (Proceeds $641,774)  $40,210 
                 
           Australia – 0.01%     
           Enterprise Software / Services - 0.01%     
        6/16/2023        
 8,580,000   715  $120  Atlassian Corp. PLC, Class A  $193,050 
           Total Australia (Proceeds $614,158)  $193,050 
           Total Equity Put Options (Proceeds - $1,255,932)  $233,260 
           Total Equity Options (Proceeds - $1,255,932)  $233,260 
           Total Written Options (Proceeds - $1,255,932)  $233,260 

 

 

 

  * Counterparty to all written options is Morgan Stanley
- 16 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Swap Contracts

 

Notional
Amount
  Maturity
Date*
     March 31, 2023
Unrealized Gain ***
        Swap Contracts -2.54%      
        Total Return Swap Contracts - Unrealized Gain - 3.42%      
        United States – 2.30%      
     Web Portals / ISP - 2.30%      
                
$30,537,522   6/3/2024  Alphabet, Inc., Class A    $48,300,877 
                
        Agreement with Morgan Stanley, dated 07/08/2011 to deliver the total return of the shares of Alphabet Inc., Class A in exchange for interest based on the Daily Fed Funds Effective Rate plus 0.45%**.       
                
   Total United States    $48,300,877 
                
    Australia - 0.23%       
    Commercial Banks - Non-US - 0.23%       
                
 (7,996,523)  12/27/2024  Bank of Queensland, Ltd.     2,427,919 
                
        Agreement with Morgan Stanley, dated 06/20/2018 to deliver the total return of the shares of Bank of Queensland, Ltd. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.       
                
 (18,549,418)  12/27/2024  Westpac Banking Corp.     2,416,830 
                
        Agreement with Morgan Stanley, dated 08/14/2015 to deliver the total return of the shares of Westpac Banking Corp. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.       
                
    Total Australia    $4,844,749 
                
    Brazil – 0.10%       
    Commercial Services - Finance - 0.10%       
                
 (3,584,998)  2/3/2026  Cielo SA     2,071,598 
                
        Agreement with Morgan Stanley, dated 02/12/2019 to deliver the total return of the shares of Cielo SA in exchange for interest based on the Daily Fed Funds Effective Rate less 1.00%**.       
                
    Total Brazil    $2,071,598 
                
    Japan - 0.20%       
    Audio / Video Products - 0.11%       
                
 (10,007,511)  12/24/2024  Sharp Corp.     2,358,580 
                
        Agreement with Morgan Stanley, dated 08/03/2012 to deliver the total return of the shares of Sharp Corp. in exchange for interest based on the Daily Fed Funds Effective Rate less 1.25%**.       
                
    Bicycle Manufacturing - 0.01%       
                
 (7,204,501)  12/24/2024  Shimano, Inc.    $126,462 
                
        Agreement with Morgan Stanley, dated 05/09/2022 to deliver the total return of the shares of Shimano, Inc. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.       
- 17 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Swap Contracts (continued)

 

Notional
Amount
  Maturity
Date*
     March 31, 2023
Unrealized Gain ***
    Swap Contracts - (continued)        
    Total Return Swap Contracts - Unrealized Gain - (continued)        
    Japan – (continued)        
    Computer Services - 0.01%        
                
$(2,725,140)  12/24/2024  Ricoh Co., Ltd.    $151,369 
                
        Agreement with Morgan Stanley, dated 05/24/2012 to deliver the total return of the shares of Ricoh Co., Ltd. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.       
                
    E-Commerce / Products - 0.05%        
                
 (1,934,885)  12/24/2024  Rakuten Group, Inc.     1,094,051 
                
        Agreement with Morgan Stanley, dated 08/16/2021 to deliver the total return of the shares of Rakuten Group, Inc. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.       
                
    Electric - Integrated - 0.01%        
             
 (1,390,265)  12/24/2024  Chubu Electric Power Co., Inc.     99,102 
                
        Agreement with Morgan Stanley, dated 07/28/2021 to deliver the total return of the shares of Chubu Electric Power Co., Inc. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.       
                
 (956,585)  12/24/2024  Tokyo Electric Power Co. Holdings, Inc.     92,368 
                
        Agreement with Morgan Stanley, dated 02/17/2016 to deliver the total return of the shares of Tokyo Electric Power Co. Holdings, Inc. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.       
              191,470 
                
    Office Automation & Equipment - 0.01%        
                
 (12,633,411)  12/24/2024  Canon, Inc.     177,667 
                
        Agreement with Morgan Stanley, dated 03/31/2020 to deliver the total return of the shares of Canon, Inc. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.       
                
    Total Japan    $4,099,599 
                
    South Korea – 0.10%        
    Petrochemicals - 0.10%        
                
 35,653,869   8/14/2023  LG Chem, Ltd.     2,203,699 
                
        Agreement with Morgan Stanley, dated 01/07/2022 to deliver the total return of the shares of LG Chem, Ltd. in exchange for interest based on the Daily Fed Funds Effective Rate plus 0.90%**.       
                
    Total South Korea    $2,203,699 
- 18 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Swap Contracts (continued)

 

Notional
Amount
  Maturity
Date*
     March 31, 2023
Unrealized Gain ***
    Swap Contracts - (continued)        
    Total Return Swap Contracts - Unrealized Gain - (continued)        
    Spain – 0.35%        
    Building - Heavy Construction - 0.35%        
                
$6,463,308   1/4/2024  Cellnex Telecom SA    $7,375,894 
                
        Agreement with Morgan Stanley, dated 05/06/2015 to deliver the total return of the shares of Cellnex Telecom SA in exchange for interest based on the Daily Fed Funds Effective Rate plus 0.65%**.       
                
    Total Spain    $7,375,894 
                
    Taiwan – 0.01%        
    Semiconductor Components - Integrated Circuits - 0.01%        
                
 (1,747,089)  1/25/2024  Novatek Microelectronics, Ltd.     130,767 
                
        Agreement with Morgan Stanley, dated 07/19/2013 to deliver the total return of the shares of Novatek Microelectronics, Ltd. in exchange for interest based on the Daily Fed Funds Effective Rate less 3.38%**.       
                
    Total Taiwan    $130,767 
                
    United Kingdom – 0.13%        
    Cosmetics & Toiletries - 0.02%        
                
 (10,861,867)  1/4/2024  Unilever PLC     385,070 
                
        Agreement with Morgan Stanley, dated 12/23/2019 to deliver the total return of the shares of Unilever PLC in exchange for interest based on the Daily Fed Funds Effective Rate less 0.35%**.       
                
    Food - Retail - 0.09%        
                
 (3,303,148)  12/14/2023  Marks & Spencer Group PLC     1,884,422 
                
        Agreement with Morgan Stanley, dated 02/16/2016 to deliver the total return of the shares of Marks & Spencer Group PLC in exchange for interest based on the Daily Fed Funds Effective Rate less 0.30%**.       
                
    Retail - Apparel / Shoes - 0.02%        
                
 (3,471,304)  12/14/2023  Next PLC     505,171 
                
        Agreement with Morgan Stanley, dated 03/24/2016 to deliver the total return of the shares of Next PLC in exchange for interest based on the Daily Fed Funds Effective Rate less 0.30%**.       
                
    Total United Kingdom    $2,774,663 
    Total Return Swap Contracts - Unrealized Gain****    $71,801,846 
- 19 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Swap Contracts (continued)

 

Notional
Amount
  Maturity
Date*
     March 31, 2023
Unrealized Loss ***
    Swap Contracts - (continued)        
    Total Return Swap Contracts - Unrealized Loss - (0.88%)        
    United States – (0.06%)        
    Private Equity - (0.06%)        
                
$53,959,412   6/3/2024  The Carlyle Group, Inc.    $(1,280,239)
                
        Agreement with Morgan Stanley, dated 11/16/2017 to receive the total return of the shares of The Carlyle Group, Inc. in exchange for interest based on the Daily Fed Funds Effective Rate plus 0.45%**.       
                
    Total United States    $(1,280,239)
                
    Australia - (0.01%)        
    Commercial Banks - Non-US - (0.00%)        
                
 (9,219,617)  12/27/2024  Commonwealth Bank of Australia     (64,861)
                
        Agreement with Morgan Stanley, dated 02/24/2016 to receive the total return of the shares of Bank of Queensland, Ltd. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.       
                
    Retail - Building Products - (0.01%)        
                
 (5,002,122)  12/27/2024  Wesfarmers, Ltd.     (229,270)
                
        Agreement with Morgan Stanley, dated 12/23/2014 to receive the total return of the shares of Westfarmers, Ltd. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.       
                
    Total Australia    $(294,131)
                
    Brazil – (0.41%)        
    Finance - Other Services - (0.26%)        
                
 21,994,674   2/3/2026  B3 SA-Brasil Bolsa Balcao     (5,328,242)
                
        Agreement with Morgan Stanley, dated 01/30/2019 to receive the total return of the shares of B3 SA-Brasil Bolsa Balcao in exchange for interest based on the Daily Fed Funds Effective Rate plus 1.00%**.       
                
    Retail - Discount - (0.15%)        
                
 18,994,063   2/3/2026  Magazine Luiza SA     (3,065,611)
                
        Agreement with Morgan Stanley, dated 07/02/2019 to receive the total return of the shares of Magazine Luiza SA in exchange for interest based on the Daily Fed Funds Effective Rate plus 1.00%**.       
                
    Total Brazil    $(8,393,853)
- 20 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Swap Contracts (continued)

 

Notional
Amount
  Maturity
Date*
     March 31, 2023
Unrealized Loss ***
    Swap Contracts - (continued)        
    Total Return Swap Contracts - Unrealized Loss - (continued)        
    China – (0.04%)        
    Applications Software - (0.04%)        
                
$32,033,453   7/16/2024  Glodon Co., Ltd., Class A    $(889,657)
                
        Agreement with Morgan Stanley, dated 07/10/2020 to receive the total return of the shares of Glodon Co., Ltd., Class A in exchange for interest based on the Daily Fed Funds Effective Rate plus 1.25%**.       
                
    Total China    $(889,657)
                
    Ireland – (0.06%)        
    Commercial Services - Finance - (0.06%)        
                
 5,003,703   12/14/2023  Experian PLC     (1,322,380)
                
        Agreement with Morgan Stanley, dated 09/07/2021 to receive the total return of the shares of Experian PLC in exchange for interest based on the Daily Fed Funds Effective Rate plus 0.65%**.       
                
    Total Ireland    $(1,322,380)
                
    Japan – (0.20%)        
    Building Products - Air & Heating - (0.03%)        
                
 (5,179,412)  12/24/2024  Daikin Industries, Ltd.     (547,038)
                
        Agreement with Morgan Stanley, dated 04/22/2022 to receive the total return of the shares of Daikin Industries, Ltd. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.       
                
    Office Automation & Equipment - (0.01%)        
                
 (1,077,912)  12/24/2024  Konica Minolta, Inc.     (292,530)
                
        Agreement with Morgan Stanley, dated 04/13/2011 to receive the total return of the shares of Konica Minolta, Inc. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.       
                
    Photo Equipment & Supplies - (0.00%)        
                
 (2,162,740)  12/24/2024  Nikon Corp.     (43,152)
                
        Agreement with Morgan Stanley, dated 10/29/2013 to receive the total return of the shares of Nikon Corp. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.       
- 21 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Swap Contracts (continued)

 

Notional
Amount
  Maturity
Date*
     March 31, 2023
Unrealized Loss ***
    Swap Contracts - (continued)        
    Total Return Swap Contracts - Unrealized Loss - (continued)        
    Japan – (continued)        
    Semiconductor Equipment - (0.16%)        
                
$(14,471,441)  12/24/2024  Advantest Corp.    $(3,037,096)
                
        Agreement with Morgan Stanley, dated 08/26/2011 to receive the total return of the shares of Advantest Corp. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.       
                
 (18,464,837)  12/24/2024  Tokyo Electron, Ltd.     (321,958)
                
        Agreement with Morgan Stanley, dated 1/10/2020 to receive the total return of the shares of Tokyo Electron, Ltd. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.44%**.       
              (3,359,054)
                
    Total Japan    $(4,241,774)
                
    Netherlands – (0.09%)        
    Music - (0.09%)        
                
 (6,040,646)  12/14/2023  Universal Music Group NV     (1,812,177)
                
        Agreement with Morgan Stanley, dated 08/22/2022 to receive the total return of the shares of Universal Music Group NV in exchange for interest based on the Daily Fed Funds Effective Rate less 0.35%**.       
                
    Total Netherlands    $(1,812,177)
                
    Sweden – (0.00%)        
    Auto - Cars / Light Trucks - (0.00%)        
                
 (169,292)  1/4/2024  Volvo Car AB     (11,614)
                
        Agreement with Morgan Stanley, dated 10/24/2022 to receive the total return of the shares of Volvo Car AB in exchange for interest based on the Daily Fed Funds Effective Rate less 2.38%**.       
                
    Total Sweden    $(11,614)
- 22 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Swap Contracts (concluded)

 

Notional
Amount
  Maturity
Date*
     March 31, 2023
Unrealized Loss ***
    Swap Contracts - (continued)        
    Total Return Swap Contracts - Unrealized Loss - (continued)        
    Taiwan – (0.01%)        
    Electronic Components - Miscellaneous - (0.01%)        
             
$(1,372,771)  1/25/2024  AUO Corp.    $(228,405)
                
        Agreement with Morgan Stanley, dated 07/26/2012 to receive the total return of the shares of AUO Corp. in exchange for interest based on the Daily Fed Funds Effective Rate less 3.95%**.       
                
 (960,755)  1/25/2024  United Microelectronics Corp.     (51,744)
                
        Agreement with Morgan Stanley, dated 08/08/2013 to receive the total return of the shares of United Microelectronics Corp. in exchange for interest based on the Daily Fed Funds Effective Rate less 2.00%**.       
                
    Total Taiwan    $(280,149)
    Total Return Swap Contracts - Unrealized Loss*****    $(18,525,974)
    Total Swap Contracts, net    $53,275,872 

 

 

 

  * Per the terms of the executed swap agreement, no periodic payments were made. A single payment is made upon the maturity of each swap contract.
  ** Financing rate is variable. Rate indicated is as of March 31, 2023.
  *** The fair value of the Total Return Swap Contracts is the same as the unrealized gain/(loss). For this reason, fair value has not been separately shown. Additionally, there were no upfront payments or receipts related to any of the Total Return Swap Contracts.
  **** Includes all Total Return Swap Contracts in a gain position. The unrealized gain on these contracts are included as part of unrealized gain on Total Return Swap Contracts in the Statement of Assets, Liabilities and Members’ Capital.
  ***** Includes all Total Return Swap Contracts in a loss position. The unrealized loss on these contracts are included as part of unrealized loss on Total Return Swap Contracts in the Statement of Assets, Liabilities and Members’ Capital.
- 23 -

The following is a summary of the inputs used, as of March 31, 2023, in valuing the Company’s investments at fair value

 

Assets:     
Valuation Inputs     
Level 1 - Quoted Prices     
Investments in Securities     
Common Stock  $2,308,102,236 
Equity Options   310,338,481 
Level 2 - Other Significant     
Observable Inputs     
Total Return Swaps   71,801,846 
Currency Options   564,316 
Level 3 - Other Significant     
Unobservable Inputs   - 
Total  $2,690,806,879 
Liabilities:     
Valuation Inputs     
Level 1 - Quoted Prices     
Securities Sold, Not Yet Purchased     
Common Stock  $916,451,345 
Equity Options   233,260 
Level 2 - Other Significant     
Observable Inputs     
Total Return Swaps   18,525,974 
Currency Options   - 
Level 3 - Other Significant     
Unobservable Inputs   - 
Total  $935,210,579 


- 24 -