0001145549-23-066529.txt : 20231109 0001145549-23-066529.hdr.sgml : 20231109 20231109114435 ACCESSION NUMBER: 0001145549-23-066529 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230930 FILED AS OF DATE: 20231109 DATE AS OF CHANGE: 20231109 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: 231391228 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 2023-09-30 N 3162062480.000000000000 1142460645.000000000000 2019601835.000000000000 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 215056898.000000000000 N MSCI World Index MXWO B3 S.A. - Brasil Bolsa Balcao N/A Total Return Swap N/A 20365724.21 OU Notional USD -2104263.6500000004 -0.1041920053 N/A DE BR N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2026-02-03 0.000000000000 USD 0.000000000000 USD 20365724.21 USD -2104263.6500000004 N N N Canon Inc N/A Total Return Swap N/A -12681242.66 OU Notional USD 492486.29000000004 0.0243853160 N/A DE JP N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-12-24 0.000000000000 USD 0.000000000000 USD -12681242.66 USD 492486.29000000004 N N N Carlyle Group Inc N/A Total Return Swap N/A 33447532.67 OU Notional USD 5854908.390000001 0.2899040934 N/A DE US N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-06-03 0.000000000000 USD 0.000000000000 USD 33447532.67 USD 5854908.390000001 N N N Cellnex Telecom SA N/A Total Return Swap N/A 5453250.61 OU Notional USD 4914651 0.2433475210 N/A DE ES N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-01-04 0.000000000000 USD 0.000000000000 USD 5453250.61 USD 4914651 N N N Cielo SA N/A Total Return Swap N/A -3156940.5 OU Notional USD 2196386.8 0.1087534563 N/A DE BR N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2026-02-03 0.000000000000 USD 0.000000000000 USD -3156940.5 USD 2196386.8 N N N Commonwealth Bank of Australia N/A Total Return Swap N/A -7908498.41 OU Notional USD 192331.40999999997 0.0095232341 N/A DE AU N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-12-27 0.000000000000 USD 0.000000000000 USD -7908498.41 USD 192331.40999999997 N N N Delta Electronics Inc N/A Total Return Swap N/A 22420209.44 OU Notional USD -3462020.5899999994 -0.1714209469 N/A DE TW N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-01-25 0.000000000000 USD 0.000000000000 USD 22420209.44 USD -3462020.5899999994 N N N Experian Plc N/A Total Return Swap N/A 4203853.45 OU Notional USD -1163133.74 -0.0575922303 N/A DE IE N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2023-12-14 0.000000000000 USD 0.000000000000 USD 4203853.45 USD -1163133.74 N N N Glodon Co. 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-0.3111911968 Short EC CORP CN Y 1 N N N Xometry Inc N/A Common Stock 98423F109 157374 NS USD 2672210.52 0.1323137300 Long EC CORP US N 1 N N N Advantest Corp N/A Total Return Swap N/A -27950666.31 OU Notional USD -3512157.5000000005 -0.1739034615 N/A DE JP N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-12-24 0.000000000000 USD 0.000000000000 USD -27950666.31 USD -3512157.5000000005 N N N Alphabet Inc N/A Total Return Swap N/A 88741949.13 OU Notional USD 77179745.44 3.8215327448 N/A DE US N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-06-03 0.000000000000 USD 0.000000000000 USD 88741949.13 USD 77179745.44 N N N Auo Corp N/A Total Return Swap N/A -2157363.74 OU Notional USD 73416.26000000001 0.0036351849 N/A DE TW N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-01-25 0.000000000000 USD 0.000000000000 USD -2157363.74 USD 73416.26000000001 N N N Wesfarmers Ltd N/A Total Return Swap N/A -4256224.5 OU Notional USD -233737.16 -0.0115734278 N/A DE AU N 2 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Y 2024-12-27 0.000000000000 USD 0.000000000000 USD -4256224.5 USD -233737.16 N N N Amazon.com Inc N/A Equity Option N/A 19447 NC USD 22752990 1.1266077108 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased Amazon.com Inc Equity Option 1944700 120.000000000000 USD 2023-11-17 XXXX -19827045.39 N N N Block Inc N/A Equity Option N/A 2264 NC USD 538832 0.0266801104 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased Block Inc Equity Option 226400 50.000000000000 USD 2023-12-15 XXXX -3509268.03 N N N Booking Holdings Inc N/A Equity Option N/A 171 NC USD 13414950 0.6642373644 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased Booking Holdings Inc Equity Option 17100 2300.000000000000 USD 2023-10-20 XXXX 5967382.04 N N N DoorDash Inc N/A Equity Option N/A 6343 NC USD 10085370 0.4993741749 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased DoorDash Inc Equity Option 634300 65.000000000000 USD 2023-11-17 XXXX -1227994.61 N N N Hilton Worldwide Holdings Inc N/A Equity Option N/A 2479 NC USD 7263470 0.3596486136 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased Hilton Worldwide Holdings Inc Equity Option 247900 120.000000000000 USD 2023-10-20 XXXX 1705480 N N N Intel Corp N/A Equity Option N/A 15472 NC USD 8509600 0.4213503797 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased Intel Corp Equity Option 1547200 31.000000000000 USD 2023-12-15 XXXX -1101831.77 N N N Invesco QQQ Trust Series 1 N/A Equity Option N/A 10380 NC USD 1505100 0.0745245906 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Put Purchased Invesco QQQ Trust Series 1 Equity Option 1038000 300.000000000000 USD 2023-12-15 XXXX -9414961.54 N N N Invesco QQQ Trust Series 1 N/A Equity Option N/A 7432 NC USD 2668088 0.1321096047 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Put Purchased Invesco QQQ Trust Series 1 Equity Option 743200 325.000000000000 USD 2023-12-15 XXXX -6265391.9 N N N Invesco QQQ Trust Series 1 N/A Equity Option N/A 31095 NC USD 13433040 0.6651330855 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Put Purchased Invesco QQQ Trust Series 1 Equity Option 3109500 330.000000000000 USD 2023-12-15 XXXX -7643363.31 N N N Invesco QQQ Trust Series 1 N/A Equity Option N/A 8867 NC USD 9806902 0.4855859125 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Put Purchased Invesco QQQ Trust Series 1 Equity Option 886700 350.000000000000 USD 2024-01-19 XXXX 2952453.41 N N N Invesco QQQ Trust Series 1 N/A Equity Option N/A 48523 NC USD 62109440 3.0753309352 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Put Purchased Invesco QQQ Trust Series 1 Equity Option 4852300 345.000000000000 USD 2024-03-15 XXXX 9665200.94 N N N JD.com Inc N/A Equity Option N/A 1742 NC USD 280462 0.0138869947 N/A DE CN N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased JD.com Inc Equity Option 174200 32.500000000000 USD 2024-01-19 XXXX -522652.7 N N N Las Vegas Sands Corporation N/A Equity Option N/A 6055 NC USD 841645 0.0416738084 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased Las Vegas Sands Corporation Equity Option 605500 50.000000000000 USD 2023-12-15 XXXX -4474826.95 N N N Marriott International Inc N/A Equity Option N/A 1562 NC USD 9621920 0.4764265824 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased Marriott International Inc Equity Option 156200 135.000000000000 USD 2023-10-20 XXXX 2650668.62 N N N Marriott International Inc N/A Equity Option N/A 354 NC USD 1132800 0.0560902640 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased Marriott International Inc Equity Option 35400 170.000000000000 USD 2024-01-19 XXXX -376312.64 N N N Meta Platforms Inc N/A Equity Option N/A 7057 NC USD 26322610 1.3033564113 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased Meta Platforms Inc Equity Option 705700 270.000000000000 USD 2023-11-17 XXXX -19533981.01 N N N Ford Motor Co 20S05OYHG0MQM4VUIC57 Common Stock 345370860 -1034571 NS USD -12849371.82 -0.6362329246 Short EC CORP US N 1 N N N Galaxy Entertainment Group Ltd 549300ZSEBV3HR826S10 Common Stock N/A 3743000 NS 22533941.54 1.1157615897 Long EC CORP HK N 1 N N N General Mills Inc 2TGYMUGI08PO8X8L6150 Common Stock 370334104 -281662 NS USD -18023551.38 -0.8924309271 Short EC CORP US N 1 N N N Global Payments Inc 549300NOMHGVQBX6S778 Common Stock 37940X102 152833 NS USD 17635399.87 0.8732117175 Long EC CORP US N 1 N N N GLOBALFOUNDRIES Inc 549300BA76VK784VMX48 Common Stock G39387108 -120690 NS USD -7022951.1 -0.3477393899 Short EC CORP US N 1 N N N H&R Block Inc 549300CE3KUCWLZBG404 Common Stock 093671105 -229437 NS USD -9879557.22 -0.4891834147 Short EC CORP US N 1 N N N Hanesbrands Inc GX5LWVWZLL5S4W1L2F20 Common Stock 410345102 -496660 NS USD -1966773.6 -0.0973842252 Short EC CORP US N 1 N N N Mobileye Global Inc N/A Common Stock 60741F104 -280951 NS USD -11673514.05 -0.5780106676 Short EC CORP IL N 1 N N N MTU Aero Engines AG 529900807L67JY81RD65 Common Stock N/A 107039 NS 19464005.22 0.9637545819 Long EC CORP DE N 1 N N N Nordstrom Inc 549300S3IZB5P35KNV16 Common Stock 655664100 -465972 NS USD -6961621.68 -0.3447026815 Short EC CORP US N 1 N N N NVIDIA Corp 549300S4KLFTLO7GSQ80 Common Stock 67066G104 -55228 NS USD -24023627.72 -1.1895229695 Short EC CORP US N 1 N N N NXP Semiconductors NV 724500M9BY5293JDF951 Common Stock N6596X109 -16205 NS USD -3239703.6 -0.1604129856 Short EC CORP NL N 1 N N N Omnicom Group Inc HKUPACFHSSASQK8HLS17 Common Stock 681919106 -125267 NS USD -9329886.16 -0.4619666114 Short EC CORP US N 1 N N N ON Semiconductor Corp ZV20P4CNJVT8V1ZGJ064 Common Stock 682189105 -239623 NS USD -22272957.85 -1.1028390579 Short EC CORP US N 1 N N N ORIC Pharmaceuticals Inc 54930033FJRNEYBW0L25 Common Stock 68622P109 492368 NS USD 2978826.4 0.1474957266 Long EC CORP US N 1 N N N Palantir Technologies Inc 549300UVN46B3BBDHO85 Common Stock 69608A108 -392570 NS USD -6281120 -0.3110078378 Short EC CORP US N 1 N N N Paylocity Holding Corp 549300VH75FTB4DIEE07 Common Stock 70438V106 39678 NS USD 7209492.6 0.3569759383 Long EC CORP US N 1 N N N Ping An Healthcare and Technology Co Ltd 2549009NW1LO017CP285 Common Stock N/A -305400 NS -712821.62 -0.0352951561 Short EC CORP CN Y 1 N N N PMV Pharmaceuticals Inc N/A Common Stock 69353Y103 329949 NS USD 2025886.86 0.1003112012 Long EC CORP US N 1 N N N Power Assets Holdings Ltd N/A Common Stock N/A -578500 NS -2799485.43 -0.1386157104 Short EC CORP HK N 1 N N N Procter & Gamble Co/The 2572IBTT8CCZW6AU4141 Common Stock 742718109 -45098 NS USD -6577994.28 -0.3257074818 Short EC CORP US N 1 N N N QUALCOMM Inc H1J8DDZKZP6H7RWC0H53 Common Stock 747525103 198453 NS USD 22040190.18 1.0913136341 Long EC CORP US N 1 N N N Qualys Inc 549300EMBXYOW9W1XA17 Common Stock 74758T303 -55985 NS USD -8540511.75 -0.4228809660 Short EC CORP US N 1 N N N Rapid7 Inc 549300GNVG5D60KEYN14 Common Stock 753422104 -66043 NS USD -3023448.54 -0.1497051789 Short EC CORP US N 1 N N N Rhythm Pharmaceuticals Inc 529900JPNWXQ8DPLA551 Common Stock 76243J105 247501 NS USD 5673960.49 0.2809445105 Long EC CORP US N 1 N N N RingCentral Inc 549300C8EH0H1614VE84 Common Stock 76680R206 499221 NS USD 14791918.23 0.7324175475 Long EC CORP US N 1 N N N Ross Stores Inc 549300ENZFLPGRDFZQ60 Common Stock 778296103 269141 NS USD 30399475.95 1.5052212482 Long EC CORP US N 1 N N N S&P Global Inc Y6X4K52KMJMZE7I7MY94 Common Stock 78409V104 24266 NS USD 8867039.06 0.4390488712 Long EC CORP US N 1 N N N Safran SA 969500UIC89GT3UL7L24 Common Stock N/A 543812 NS 85581108.36 4.2375237969 Long EC CORP FR N 1 N N N Sally Beauty Holdings Inc 529900VXW6E8ONDIQ271 Common Stock 79546E104 -278261 NS USD -2331827.18 -0.1154597475 Short EC CORP US N 1 N N N Toyota Motor Corp Z2VZBHUMB7PWWJ63I008 Common Stock N/A -682900 NS -12253072.55 -0.6067073389 Short EC CORP JP N 1 N N N TransDigm Group Inc 88Q84GB3X55CF5OC7582 Common Stock 893641100 25936 NS USD 21867419.68 1.0827589528 Long EC CORP US N 1 N N N TripAdvisor Inc 549300QB8O3XV4AYBY08 Common Stock 896945201 -50203 NS USD -832365.74 -0.0412143486 Short EC CORP US N 1 N N N Twilio Inc 5493004W8TRGD63APX93 Common Stock 90138F102 141514 NS USD 8282814.42 0.4101211574 Long EC CORP US N 1 N N N Microsoft Corp N/A Equity Option N/A 3184 NC USD 12656400 0.6266779808 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased Microsoft Corp Equity Option 318400 280.000000000000 USD 2023-11-17 XXXX -1617567.68 N N N NVIDIA Corp N/A Equity Option N/A 5887 NC USD 24283875 1.2024090382 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased NVIDIA Corp Equity Option 588700 430.000000000000 USD 2023-12-15 XXXX -29110597.89 N N N SPDR S&P 500 ETF Trust N/A Equity Option N/A 8183 NC USD 4860702 0.2406762519 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Put Purchased SPDR S&P 500 ETF Trust Equity Option 818300 400.000000000000 USD 2024-01-19 XXXX 785330.28 N N N Taiwan Semiconductor Manufacturing Co Ltd N/A Equity Option N/A 2617 NC USD 675186 0.0334316393 N/A DE TW N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased Taiwan Semiconductor Manufacturing Co Ltd Equity Option 261700 90.000000000000 USD 2023-11-17 XXXX -2329206.03 N N N Tesla Inc N/A Equity Option N/A 4205 NC USD 22917250 1.1347409971 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased Tesla Inc Equity Option 420500 200.000000000000 USD 2023-11-17 XXXX -8230861.16 N N N Wynn Resorts, Limited N/A Equity Option N/A 3487 NC USD 5178195 0.2563968259 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Call Purchased Wynn Resorts, Limited Equity Option 348700 80.000000000000 USD 2023-12-15 XXXX -1213580.79 N N N Zoom Video Communications, Inc N/A Equity Option N/A 5661 NC USD 5944050 0.2943179144 N/A DE US N 1 Morgan Stanley & Co Inc 9R7GPTSO7KV3UQJZQ078 Put Purchased Zoom Video Communications, Inc Equity Option 566100 80.000000000000 USD 2023-11-17 XXXX -1064438.11 N N N FXOPTION USD CALL/BRL PUT STR 5.50 EXP 12/15/2023 N/A Currency Option N/A 97867052 NC USD 541189.39 0.0267968359 N/A DFE US N 2 Bank of America Merrill Lynch 8NAV47T0Y26Q87Y0QP81 Call Purchased FXOPTION USD CALL/BRL PUT STR 5.50 EXP 12/15/2023 Currency Option 978670.52 5.500000000000 USD 2023-12-15 XXXX -1837782.48 N N N FXOPTION USD CALL/CNH PUT STR 7.50 EXP 12/15/2023 N/A Currency Option N/A 175709851 NC USD 323422.41 0.0160141670 N/A DFE US N 2 Bank of America Merrill Lynch 8NAV47T0Y26Q87Y0QP81 Call Purchased FXOPTION USD CALL/CNH PUT STR 7.50 EXP 12/15/2023 Currency Option 1757098.51 7.500000000000 USD 2023-12-15 XXXX -187541.84 N N N Alibaba Group Holding Ltd 5493001NTNQJDH60PM02 Common Stock 01609W102 233149 NS USD 20223344.26 1.0013530345 Long EC CORP CN N 1 N N N Baidu Inc 2138005MCCNYXACCH441 Common Stock 056752108 343295 NS USD 46121683.25 2.2837017897 Long EC CORP CN N 1 N N N Full Truck Alliance Co Ltd N/A Common Stock 35969L108 3105183 NS USD 21860488.32 1.0824157485 Long EC CORP CN N 1 N N N JD.com Inc 549300HVTWB0GJZ16V92 Common Stock 47215P106 284641 NS USD 8291592.33 0.4105557930 Long EC CORP CN N 1 N N N KE Holdings Inc 254900RHVY072XPAZE03 Common Stock 482497104 1285067 NS USD 19944239.84 0.9875332600 Long EC CORP CN N 1 N N N Li Auto Inc 2549003R73Q70J5H4I65 Common Stock 50202M102 -239040 NS USD -8521776 -0.4219532708 Short EC CORP CN N 1 N N N NetEase Inc N/A Common Stock 64110W102 212795 NS USD 21313547.2 1.0553341174 Long EC CORP CN N 1 N N N New Oriental Education & Technology Group Inc 529900NHZVBZQZ8EKN29 Common Stock 647581206 550131 NS USD 32210170.05 1.5948772422 Long EC CORP CN N 1 N N N NIO Inc 549300JBU4TV5OCKJV96 Common Stock 62914V106 -999602 NS USD -9036402.08 -0.4474348321 Short EC CORP CN N 1 N N N Novartis AG 5493007HIVTX6SY6XD66 Common Stock 66987V109 -69059 NS USD -7034349.74 -0.3483037903 Short EC CORP CH N 1 N N N BYD Co Ltd 5299005557VL7ULJ7A69 Common Stock N/A 514500 NS 15897776.38 0.7871737936 Long EC CORP CN N 1 N N N C3.ai Inc 549300YDLK0YQO5B1V80 Common Stock 12468P104 -415565 NS USD -10605218.8 -0.5251143377 Short EC CORP US N 1 N N N Cadence Design Systems Inc GCT7RXJOGLXPV0NXZY22 Common Stock 127387108 215870 NS USD 50578341 2.5043719075 Long EC CORP US N 1 N N N Campbell Soup Co 5493007JDSMX8Z5Z1902 Common Stock 134429109 -308435 NS USD -12670509.8 -0.6273766235 Short EC CORP US N 1 N N N Canopy Growth Corp 529900CSD7NH1UBC9X07 Common Stock N/A -20600 NS -15998.52 -0.0007921621 Short EC CORP CA N 1 N N N Canopy Growth Corp 529900CSD7NH1UBC9X07 Common Stock 138035100 -50103 NS USD -39220.64 -0.0019419986 Short EC CORP CA N 1 N N N Caribou Biosciences Inc N/A Common Stock 142038108 231133 NS USD 1104815.74 0.0547046314 Long EC CORP US N 1 N N N Carlyle Group Inc/The 529900NGGVF94UK6PG95 Common Stock 14316J108 349239 NS USD 10533048.24 0.5215408333 Long EC CORP US N 1 N N N Cathay General Bancorp 549300K1SLJ8C97H5L68 Common Stock 149150104 -95404 NS USD -3316243.04 -0.1642028138 Short EC CORP US N 1 N N N CBRE Group Inc 52990016II9MJ2OSWA10 Common Stock 12504L109 -124535 NS USD -9198155.1 -0.4554439861 Short EC CORP US N 1 N N N CH Robinson Worldwide Inc N/A Common Stock 12541W209 -327839 NS USD -28236773.07 -1.3981356414 Short EC CORP US N 1 N N N Charter Communications Inc 0J0XRGZE3PBRFEZ7MV65 Common Stock 16119P108 -64944 NS USD -28563670.08 -1.4143218522 Short EC CORP US N 1 N N N Check Point Software Technologies Ltd N/A Common Stock M22465104 -93876 NS USD -12511793.28 -0.6195178209 Short EC CORP IL N 1 N N N Cheesecake Factory Inc/The 529900872XMLK10SY247 Common Stock 163072101 -63307 NS USD -1918202.1 -0.0949792215 Short EC CORP US N 1 N N N Chico's FAS Inc 5299003ESGN5T1MFXY13 Common Stock 168615102 -92232 NS USD -689895.36 -0.0341599690 Short EC CORP US N 1 N N N China Zhongwang Holdings Ltd 529900J21TD2P9K4YC63 Common Stock N/A -730400 NS -156677.16 -0.0077578242 Short EC CORP CN N 1 N N N Chipotle Mexican Grill Inc 5493007DZOMUBASCBX97 Common Stock 169656105 8085 NS USD 14810345.55 0.7333299710 Long EC CORP US N 1 N N N Cintas Corp 549300QVUQTTKMTE0G41 Common Stock 172908105 8312 NS USD 3998155.12 0.1979674929 Long EC CORP US N 1 N N N Conagra Brands Inc 54930035UDEIH090K650 Common Stock 205887102 -292575 NS USD -8022406.5 -0.3972271346 Short EC CORP US N 1 N N N Consolidated Edison Inc 54930033SBW53OO8T749 Common Stock 209115104 -39635 NS USD -3389981.55 -0.1678539547 Short EC CORP US N 1 N N N Cullen/Frost Bankers Inc 529900V2E9G9AY665O34 Common Stock 229899109 -68057 NS USD -6207478.97 -0.3073615236 Short EC CORP US N 1 N N N Cushman & Wakefield PLC N/A Common Stock N/A -446017 NS USD -3398649.54 -0.1682831478 Short EC CORP US N 1 N N N CVB Financial Corp N/A Common Stock 126600105 -180748 NS USD -2994994.36 -0.1482962784 Short EC CORP US N 1 N N N XP Inc 5493008KDA8NBZRJST80 Common Stock G98239109 412779 NS USD 9514555.95 0.4711104825 Long EC CORP BR N 1 N N N Yum! Brands Inc 549300JE8XHZZ7OHN517 Common Stock 988498101 79479 NS USD 9930106.26 0.4916863358 Long EC CORP US N 1 N N N Zoom Video Communications Inc 549300T9GCHU0ODOM055 Common Stock 98980L101 457527 NS USD 31999438.38 1.5844429246 Long EC CORP US N 1 N N N American Tower Corp 5493006ORUSIL88JOE18 Common Stock 03027X100 85942 NS USD 14133161.9 0.6997994186 Long EC CORP US N 1 N N N Boston Properties Inc 549300OF70FSEUQBT254 Common Stock 101121101 -195229 NS USD -11612220.92 -0.5749757561 Short EC CORP US N 1 N N N Brandywine Realty Trust 5UZ46ZCYUFYYAC0DS831 Common Stock 105368203 -126253 NS USD -573188.62 -0.0283812685 Short EC CORP US N 1 N N N Douglas Emmett Inc N/A Common Stock 25960P109 -474102 NS USD -6049541.52 -0.2995412965 Short EC CORP US N 1 N N N Equinix Inc 549300EVUN2BTLJ3GT74 Common Stock 29444U700 45605 NS USD 33121087.3 1.6399810461 Long EC CORP US N 1 N N N Hudson Pacific Properties Inc N/A Common Stock 444097109 -102192 NS USD -679576.8 -0.0336490485 Short EC CORP US N 1 N N N Kilroy Realty Corp 549300CXXI18B214UN80 Common Stock 49427F108 -160790 NS USD -5082571.9 -0.2516620758 Short EC CORP US N 1 N N N Kimco Realty Corp 549300EA7I6T15IBYS12 Common Stock 49446R109 -152301 NS USD -2678974.59 -0.1326486510 Short EC CORP US N 1 N N N Klepierre SA 969500PIZVAO9HXSA049 Common Stock N/A -85473 NS -2102188.12 -0.1040892360 Short EC CORP FR N 1 N N N Prologis Inc 529900DFH19P073LZ636 Common Stock 74340W103 -44965 NS USD -5045522.65 -0.2498275929 Short EC CORP US N 1 N N N Public Storage 549300LMZF40TKJ6DM64 Common Stock 74460D109 -64475 NS USD -16990452 -0.8412773105 Short EC CORP US N 1 N N N Ventas Inc ORQTRC074CWLT3DKHT41 Common Stock 92276F100 -111622 NS USD -4702634.86 -0.2328496032 Short EC CORP US N 1 N N N Vornado Realty Trust 549300BMOJ05INE4YK86 Common Stock 929042109 -218990 NS USD -4966693.2 -0.2459243755 Short EC CORP US N 1 N N N 2023-11-09 Advantage Advisers Xanthus Fund, L.L.C. Bryan McKigney Bryan McKigney Principal Executive Officer XXXX NPORT-EX 2 c107240_nportex.htm

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Portfolio Investments

 

Shares      September 30, 2023
Fair Value
 
     Common Stock – 110.87%        
     United States – 76.52%        
     Aerospace / Defense – 1.08%        
 25,936   TransDigm Group, Inc.*  (a)  $21,867,420 
     Applications Software – 4.16%        
 280,506   Elastic NV*      22,788,307 
 169,971   Microsoft Corp.  (a)   53,668,343 
 187,912   Smartsheet, Inc., Class A*      7,602,920 
            84,059,570 
     Building Products - Cement / Aggregate – 1.99%        
 51,394   Martin Marietta Materials, Inc.  (a)   21,096,209 
 94,227   Vulcan Materials Co.      19,035,739 
            40,131,948 
     Coatings / Paint – 0.60%        
 47,393   The Sherwin-Williams Co.      12,087,585 
     Commercial Services – 0.20%        
 8,312   Cintas Corp.  (a)   3,998,155 
     Commercial Services - Finance – 1.71%        
 82,520   Block, Inc.*      3,652,335 
 152,833   Global Payments, Inc.  (a)   17,635,400 
 726,572   Marqeta, Inc., Class A*      4,344,901 
 24,266   S&P Global, Inc.  (a)   8,867,039 
            34,499,675 
     Communications Software – 2.32%        
 499,221   RingCentral, Inc., Class A*  (a)   14,791,918 
 457,527   Zoom Video Communications, Inc., Class A*  (a)   31,999,439 
            46,791,357 
     Computer Aided Design – 5.29%        
 215,870   Cadence Design Systems, Inc.*      50,578,341 
 122,704   Synopsys, Inc.*  (a)   56,317,455 
            106,895,796 
     Computer Software – 1.91%        
 197,130   Datadog, Inc., Class A*      17,956,572 
 265,514   Dynatrace, Inc.*  (a)   12,407,469 
 141,514   Twilio, Inc., Class A*      8,282,814 
            38,646,855 
     Computers – 1.99%        
 584,421   Dell Technologies, Inc.     40,266,607 
     E-Commerce / Products – 5.55%        
 881,428   Amazon.com, Inc.*  (a)  112,047,127 
     E-Commerce / Services – 4.51%        
 424,933   Expedia Group, Inc.*  (a)   43,797,845 
 1,029,075   Uber Technologies, Inc.*  (a)   47,327,159 
            91,125,004 
- 1 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Portfolio Investments (continued)

 

Shares      September 30, 2023
Fair Value
 
     Common Stock – (continued)        
     United States – (continued)        
     Electronic Components - Semiconductors – 3.94%        
 371,713   Analog Devices, Inc.  (a)  $65,083,229 
 267,801   Marvell Technology, Inc.  (a)   14,496,068 
            79,579,297 
     Electronic Forms – 1.06%        
 42,126   Adobe, Inc.*      21,480,047 
     Energy - Alternate Sources – 0.12%        
 550,293   Stem, Inc.*  (a)   2,333,242 
     Enterprise Software / Services – 1.91%        
 320,972   SS&C Technologies Holdings, Inc.  (a)   16,863,869 
 383,182   UiPath, Inc., Class A*      6,556,244 
 70,564   Workday, Inc., Class A*      15,160,675 
            38,580,788 
     Finance - Credit Card – 4.33%        
 105,155   Mastercard, Inc., Class A  (a)   41,631,916 
 198,835   Visa, Inc., Class A  (a)   45,734,038 
            87,365,954 
     Finance - Other Services – 1.35%        
 248,414   Intercontinental Exchange, Inc.  (a)   27,330,508 
     Human Resources – 0.36%        
 39,678   Paylocity Holding Corp.*  (a)   7,209,493 
     Internet Content - Entertainment – 12.42%        
 835,202   Meta Platforms, Inc., Class A*  (a)   250,735,992 
     Medical - Biomedical / Genetics – 3.04%        
 513,225   Akero Therapeutics, Inc.*      25,958,921 
 640,678   Allovir, Inc.*  (a)   1,377,458 
 238,228   BioCryst Pharmaceuticals, Inc.*      1,686,654 
 135,184   Blueprint Medicines Corp.*      6,788,940 
 231,133   Caribou Biosciences, Inc.*      1,104,816 
 210,759   Keros Therapeutics, Inc.*      6,718,997 
 64,948   Sarepta Therapeutics, Inc.*  (a)   7,872,997 
 277,250   Ultragenyx Pharmaceutical, Inc.*  (a)   9,883,962 
            61,392,745 
     Medical - Drugs – 0.53%        
 492,368   ORIC Pharmaceuticals, Inc.*      2,978,827 
 329,949   PMV Pharmaceuticals, Inc.*      2,025,887 
 247,501   Rhythm Pharmaceuticals, Inc.*      5,673,960 
            10,678,674 
     Metal Processors & Fabrication – 0.13%        
 157,374   Xometry, Inc., Class A*      2,672,211 
     Private Equity – 0.52%        
 349,239   The Carlyle Group, Inc.      10,533,048 
- 2 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Portfolio Investments (continued)

 

Shares     September 30, 2023
Fair Value
     Common Stock – (continued)        
     United States – (continued)        
     REITs - Diversified – 2.34%        
 85,942   American Tower Corp.     $14,133,162 
 45,605   Equinix, Inc.      33,121,087 
            47,254,249 
     Retail - Apparel / Shoes – 1.51%        
 269,141   Ross Stores, Inc.  (a)   30,399,476 
     Retail - Building Products – 0.65%        
 63,338   Lowe’s Cos., Inc.  (a)   13,164,170 
     Retail - Major Department Stores – 3.21%        
 729,292   The TJX Cos., Inc.  (a)   64,819,473 
     Retail - Restaurants – 1.22%        
 8,085   Chipotle Mexican Grill, Inc.*      14,810,346 
 79,479   Yum! Brands, Inc.      9,930,106 
            24,740,452 
     Semiconductor Components - Integrated Circuits – 1.09%        
 198,453   QUALCOMM, Inc.  (a)   22,040,190 
     Semiconductor Equipment – 5.48%        
 153,284   KLA Corp.  (a)   70,305,239 
 40,184   Lam Research Corp.  (a)   25,186,126 
 152,104   Teradyne, Inc.  (a)   15,280,368 
            110,771,733 
     Total United States (Cost $1,030,977,381)     $1,545,498,841 
              
     Brazil – 0.47%        
     Finance - Investment Banker / Broker – 0.47%        
 412,779   XP, Inc., Class A*  (a)   9,514,556 
     Total Brazil (Cost $10,361,932)     $9,514,556 
              
     China – 9.32%        
     Auto - Cars / Light Trucks – 0.79%        
 514,500   BYD Co., Ltd.      15,897,776 
     E-Commerce / Products – 1.41%        
 233,149   Alibaba Group Holding, Ltd. - Sponsored ADR*      20,223,344 
 284,641   JD.com, Inc., Class A - Sponsored ADR*      8,291,593 
            28,514,937 
     Enterprise Software /  Services – 0.11%        
 5,229,447   Ming Yuan Cloud Group Holdings, Ltd.      2,290,264 
     Entertainment Software – 1.06%        
 212,795   NetEase, Inc. - Sponsored ADR  (a)   21,313,547 
     Transport Services – 1.08%        
 3,105,183   Full Truck Alliance Co., Ltd. - Sponsored ADR*      21,860,488 
     Real Estate Management / Services – 0.99%        
 1,285,067   KE Holdings, Inc.  - Sponsored ADR*      19,944,240 
- 3 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Portfolio Investments (continued)

 

Shares        September 30, 2023
Fair Value
 
     Common Stock – (continued)         
     China – (continued)         
     Schools – 1.60%         
 550,131   New Oriental Education & Technology Group, Inc. - Sponsored ADR*      $32,210,170 
     Web Portals / ISP – 2.28%         
 343,295   Baidu, Inc. - Sponsored ADR*       46,121,683 
     Total China (Cost $196,872,171)      $188,153,105 
               
     France – 8.83%         
     Aerospace / Defense - Equipment – 7.76%         
 529,162   Airbus SE       71,140,579 
 543,812   Safran SA       85,581,108 
             156,721,687 
     Apparel Manufacturers – 0.22%         
 9,972   Kering SA       4,559,938 
     Textile - Apparel – 0.85%         
 22,614   LVMH Moet Hennessy Louis Vuitton SE       17,152,459 
     Total France (Cost $145,920,125)      $178,434,084 
               
     Germany – 1.69%         
     Aerospace / Defense – 0.97%         
 107,039   MTU Aero Engines AG       19,464,005 
     Athletic Footwear – 0.72%         
 82,689   adidas AG       14,587,078 
     Total Germany (Cost $38,668,246)      $34,051,083 
               
     Hong Kong – 1.12%         
     Casino Hotels – 1.12%         
 3,743,000   Galaxy Entertainment Group, Ltd.*       22,533,941 
     Total Hong Kong (Cost $22,504,387)      $22,533,941 
               
     Japan – 3.43%         
     Audio / Video Products – 2.74%         
 675,700   Sony Group Corp.       55,423,475 
     Web Portals / ISP – 0.69%         
 4,988,103   Z Holdings Corp.       13,888,804 
     Total Japan (Cost $59,396,195)      $69,312,279 
               
     Netherlands – 2.71%         
     Semiconductor Equipment – 2.71%         
 92,851   ASML Holding NV       54,657,669 
     Total Netherlands (Cost $51,226,489)      $54,657,669 
- 4 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Portfolio Investments (concluded)

 

Shares       September 30, 2023
Fair Value
     Common Stock – (continued)        
     Taiwan – 3.49%        
     Semiconductor Components - Integrated Circuits – 3.49%        
 811,683   Taiwan Semiconductor Manufacturing Co., Ltd. - Sponsored ADR     $70,535,253 
     Total Taiwan (Cost $64,138,574)     $70,535,253 
              
     Uruguay – 3.29%        
     Commercial Services - Finance – 0.61%        
 639,336   Dlocal, Ltd.*      12,256,071 
     E-Commerce / Services – 2.68%        
 42,778   MercadoLibre, Inc.*  (a)   54,237,371 
     Total Uruguay (Cost $38,806,906)     $66,493,442 
     Total Common Stock (Cost $1,658,872,406)     $2,239,184,253 
              
     Total Investments in Securities  (Cost $1,658,872,406) – 110.87%     $2,239,184,253 
     Total Purchased Options ( Cost $363,430,179) - 13.25%      267,667,489 
     Total Securities Sold, Not Yet Purchased (Proceeds $934,458,542) - (43.77)%      (883,956,518)
     Other Assets, in Excess of Liabilities – 19.65%**      396,706,611 
     Members’ Capital – 100.00%     $2,019,601,835 

 

 
     
(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 $215,056,898 invested in U.S. Dollar Cash Reserve Account at the Bank of New York Mellon (the “Custodian”), which is 10.65% of Members’ Capital. $137,977,896 of the amount 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 September 30, 2023.
ADR   American Depository Receipt
REIT   Real Estate Investment Trust
- 5 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Purchased Options

 

Notional
Amount (USD)
   Contracts  Expiration
Date
Strike Price
     September 30, 2023
Fair Value
           Purchased Options – 13.25%     
           Equity Options – 13.21%     
           Equity Call Options – 8.24%     
           United States – 8.20%     
           Applications Software - 0.63%     
$89,152,000   3,184  11/17/2023
$280
  Microsoft Corp.  $12,656,400 
           Auto - Cars / Light Trucks - 1.13%     
 84,100,000   4,205  11/17/2023
$200
  Tesla, Inc.   22,917,250 
           Casino Hotels - 0.30%     
 30,275,000   6,055  12/15/2023
$50
  Las Vegas Sands Corp.   841,645 
 27,896,000   3,487  12/15/2023
$80
  Wynn Resorts, Ltd.   5,178,195 
               6,019,840 
           Commercial Services - Finance - 0.03%     
 11,320,000   2,264  12/15/2023
$50
  Block, Inc.   538,832 
           E-Commerce / Products - 1.13%     
 233,364,000   19,447  11/17/2023
$120
  Amazon.com, Inc.   22,752,990 
           E-Commerce / Services - 1.16%     
 39,330,000   171  10/20/2023
$2,300
  Booking Holdings, Inc.   13,414,950 
 41,229,500   6,343  11/17/2023
$65
  DoorDash, Inc., Class A   10,085,370 
               23,500,320 
           Electronic Component - Semiconductor - 1.62% 
 47,963,200   15,472  12/15/2023
$31
  Intel Corp.   8,509,600 
 253,141,000   5,887  12/15/2023
$430
  NVIDIA Corp.   24,283,875 
               32,793,475 
           Hotels & Motels - 0.90%     
 29,748,000   2,479  10/20/2023
$120
  Hilton Worldwide Holdings, Inc.   7,263,470 
 21,087,000   1,562  10/20/2023
$135
  Marriott International, Inc. of Maryland, Class A   9,621,920 
 6,018,000   354  1/19/2024
$170
  Marriott International, Inc. of Maryland, Class A   1,132,800 
               18,018,190 
           Internet Content - Entertainment - 1.30%     
 190,539,000   7,057  11/17/2023
$270
  Meta Platforms, Inc., Class A   26,322,610 
           Total United States (Cost $245,420,244)  $165,519,907 
- 6 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Purchased Options (continued)

 

Notional
Amount (USD)
   Contracts  Expiration
Date
Strike Price
     September 30, 2023
Fair Value
           Purchased Options – (continued)     
           Equity Options – (continued)     
           Equity Call Options – (continued)     
           China - 0.01%     
                 
           E-Commerce / Products - 0.01%     
$5,661,500   1,742  1/19/2024
$32.50
  JD.com, Inc., Class A - Sponsored ADR  $280,462 
           Total China (Cost $803,115)  $280,462 
                 
           Taiwan - 0.03%     
           Semiconductor Components - Integrated Circuits - 0.03% 
 23,553,000   2,617  11/17/2023
$90
  Taiwan Semiconductor Manufacturing Co., Ltd. - Sponsored ADR   675,186 
           Total Taiwan (Cost $3,004,392)  $675,186 
           Total Equity Call Options (Cost $249,227,751)  $166,475,555 
                 
           Equity Put Options - 4.97%     
           United States - 4.97%     
           Communications Software - 0.29%     
 45,288,000   5,661  11/17/2023
$80
  Zoom Video Communications, Inc., Class A   5,944,050 
           Growth & Income - Large Cap - 0.24%     
 327,320,000   8,183  1/19/2024
$400
  SPDR S&P 500 ETF Trust   4,860,702 
           Sector Fund - Technology - 4.44%     
 311,400,000   10,380  12/15/2023
$300
  Invesco QQQ Trust Series 1   1,505,100 
 241,540,000   7,432  12/15/2023
$325
  Invesco QQQ Trust Series 1   2,668,088 
 1,026,135,000   31,095  12/15/2023
$330
  Invesco QQQ Trust Series 1   13,433,040 
 310,345,000   8,867  1/19/2024
$350
  Invesco QQQ Trust Series 1   9,806,902 
 1,674,043,500   48,523  3/15/2024
$345
  Invesco QQQ Trust Series 1   62,109,440 
               89,522,570 
           Total United States (Cost $111,312,492)  $100,327,322 
           Total Equity Put Options (Cost $111,312,492)  $100,327,322 
           Total Equity Options (Cost $360,540,243)  $266,802,877 
- 7 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Purchased Options (concluded)

 

Notional
Amount (USD)
   Contracts  Expiration
Date
Strike Price
     September 30, 2023
Fair Value
           Currency Put Options - 0.04%     
           United States - 0.04%     
$5,382,688   97,867,052  12/15/2023
$5.50
  USD-BRL  $541,189 
 13,178,239   175,709,851  12/15/2023
$7.50
  USD-CNH   323,423 
           Total United States (Cost $2,889,936)  $864,612 
           Total Currency Put Options (Cost $2,889,936)  $864,612 
           Total Purchased Options (Cost $363,430,179)  $267,667,489 

 

 

 

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
- 8 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Securities Sold, Not Yet Purchased

 

Shares     September 30, 2023
Fair Value
   Securities Sold, Not Yet Purchased – 43.77%       
   Common Stock – 43.77%       
   United States – 37.06%       
   Advertising Agencies – 0.46%       
125,267  Omnicom Group, Inc.    $9,329,886 
   Advertising Services – 0.29%       
200,993  The Interpublic Group of Cos., Inc.     5,760,459 
   Apparel Manufacturers – 0.10%       
496,660  Hanesbrands, Inc.*     1,966,774 
   Applications Software – 0.15%       
169,352  Asana, Inc., Class A*     3,100,835 
   Auto - Cars / Light Trucks – 5.24%       
1,034,571  Ford Motor Co.     12,849,372 
371,505  Tesla, Inc.*     92,957,981 
         105,807,353 
   Cable / Satellite TV – 1.41%       
64,944  Charter Communications, Inc., Class A*     28,563,670 
   Cellular Telecommunications – 1.75%       
252,242  T-Mobile US, Inc.*     35,326,492 
   Commercial Banks – 0.96%       
95,404  Cathay General Bancorp     3,316,243 
68,057  Cullen/Frost Bankers, Inc.     6,207,479 
180,748  CVB Financial Corp.     2,994,994 
66,100  East West Bancorp, Inc.     3,484,131 
406,514  Valley National Bancorp     3,479,760 
         19,482,607 
   Commercial Services - Finance – 0.49%       
229,437  H&R Block, Inc.     9,879,557 
   Computer Data Security – 0.75%       
55,985  Qualys, Inc.*     8,540,512 
66,043  Rapid7, Inc.*     3,023,449 
79,878  Tenable Holdings, Inc.*     3,578,534 
         15,142,495 
   Computer Services  – 0.51%       
40,633  EPAM Systems, Inc.*     10,389,452 
- 9 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Securities Sold, Not Yet Purchased (continued)

 

Shares     September 30, 2023
Fair Value
   Common Stock – (continued)       
   United States – (continued)       
   Computer Software – 1.60%       
3,712  Bandwidth, Inc., Class A*    $41,834 
415,565  C3.ai, Inc., Class A*     10,605,219 
86,045  SolarWinds Corp.*     812,265 
120,908  Splunk, Inc.*     17,682,795 
69,688  Teradata Corp.*     3,137,354 
         32,279,467 
   Consulting Services – 0.42%       
36,244  Verisk Analytics, Inc.     8,562,283 
   Consumer Products - Miscellaneous – 0.95%       
158,913  Kimberly-Clark Corp.     19,204,636 
   Cosmetics & Toiletries – 0.33%       
45,098  The Procter & Gamble Co.     6,577,994 
   Diversified Manufacturing Operations – 0.29%       
89,862  A.O. Smith Corp.     5,942,574 
   E-Commerce / Products – 0.64%       
212,783  Wayfair, Inc., Class A*     12,888,266 
   E-Commerce / Services – 0.04%       
50,203  TripAdvisor, Inc.*     832,366 
   Electric - Distribution – 0.17%       
39,635  Consolidated Edison, Inc.     3,389,982 
   Electric - Integrated – 0.31%       
96,849  The Southern Co.     6,268,067 
   Electronic Components - Semiconductors – 5.59%       
120,690  GLOBALFOUNDRIES, Inc.*     7,022,951 
55,228  NVIDIA Corp.     24,023,628 
239,623  ON Semiconductor Corp.*     22,272,958 
374,794  Texas Instruments, Inc.     59,595,994 
         112,915,531 
   Enterprise Software / Services – 0.31%       
392,570  Palantir Technologies Inc., Class A*     6,281,120 
   Finance - Credit Card – 0.20%       
299,046  The Western Union Co.     3,941,426 
   Food - Miscellaneous / Diversified – 2.99%       
308,435  Campbell Soup Co.     12,670,510 
292,575  Conagra Brands, Inc.     8,022,406 
281,662  General Mills, Inc.     18,023,551 
206,868  Kellogg Co.     12,310,715 
280,842  The Kraft Heinz Co.     9,447,525 
         60,474,707 
- 10 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Securities Sold, Not Yet Purchased (continued)

 

Shares     September 30, 2023
Fair Value
   Common Stock – (continued)       
   United States – (continued)       
   Internet Content - Entertainment – 0.42%       
949,503  Snap, Inc., Class A*    $8,460,072 
   Investment Management / Advisory Services – 1.37%       
264,057  T Rowe Price Group, Inc.     27,691,658 
   Medical - Biomedical / Genetics – 0.38%       
28,158  Amgen, Inc.     7,567,744 
   Medical - Drugs – 1.08%       
106,284  Bristol-Myers Squibb Co.     6,168,723 
100,060  Johnson & Johnson     15,584,345 
         21,753,068 
   Real Estate Management / Services – 0.67%       
152,580  Anywhere Real Estate, Inc.*     981,089 
124,535  CBRE Group, Inc., Class A*     9,198,155 
446,017  Cushman & Wakefield PLC*     3,398,650 
         13,577,894 
   REITs - Health Care – 0.23%       
111,622  Ventas, Inc.     4,702,635 
   REITs - Office Property – 1.82%       
195,229  Boston Properties, Inc.     11,612,221 
126,253  Brandywine Realty Trust     573,189 
474,102  Douglas Emmett, Inc.     6,049,541 
102,192  Hudson Pacific Properties, Inc.     679,577 
160,790  Kilroy Realty Corp.     5,082,572 
209,177  SL Green Realty Corp.     7,802,302 
218,990  Vornado Realty Trust     4,966,693 
         36,766,095 
   REITs - Shopping Centers – 0.32%       
42,729  Federal Realty Investment Trust     3,872,529 
152,301  Kimco Realty Corp.     2,678,975 
         6,551,504 
   REITs - Storage – 0.84%       
64,475  Public Storage     16,990,452 
   REITs - Warehouse / Industrial – 0.25%       
44,965  Prologis, Inc.     5,045,523 
   Retail - Apparel / Shoes – 0.03%       
92,232  Chico’s FAS, Inc.*     689,895 
   Retail - Bedding – 0.00%       
24,173  Bed, Bath & Beyond, Inc.*     1,907 
- 11 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Securities Sold, Not Yet Purchased (continued)

 

Shares     September 30, 2023
Fair Value
   Common Stock – (continued)       
   United States – (continued)       
   Retail - Major Department Stores – 0.35%       
465,972  Nordstrom, Inc.    $6,961,622 
   Retail - Miscellaneous / Diversified – 0.12%       
278,261  Sally Beauty Holdings, Inc.*     2,331,827 
   Retail - Regional Department Stores – 0.60%       
347,129  Kohl’s Corp.     7,275,824 
411,520  Macy’s, Inc.     4,777,747 
         12,053,571 
   Retail - Restaurants – 0.10%       
63,307  The Cheesecake Factory, Inc.     1,918,202 
   Telephone - Integrated – 1.13%       
530,351  AT&T, Inc.     7,965,872 
457,988  Verizon Communications, Inc.     14,843,391 
         22,809,263 
   Transport - Services – 1.40%       
327,839  CH Robinson Worldwide, Inc.     28,236,773 
   Total United States (Proceeds $793,562,144)    $748,417,704 
           
   Canada – 0.25%       
   Medical - Drugs – 0.00%       
70,703  Canopy Growth Corp.*     55,219 
   Private Equity – 0.25%       
163,064  Brookfield Corp.     5,099,011 
   Total Canada (Proceeds $8,396,310)    $5,154,230 
           
   China – 1.98%       
   Auto - Cars / Light Trucks – 1.15%       
239,040  Li Auto, Inc. - Sponsored ADR*     8,521,776 
999,602  NIO, Inc. - Sponsored ADR*     9,036,402 
310,481  Xpeng, Inc. - Sponsored ADR*     5,700,431 
         23,258,609 
   Internet Content - Information / Network – 0.47%       
243,900  Tencent Holdings, Ltd.     9,535,701 
   Metal Processors & Fabricates – 0.01%       
730,400  China Zhongwang Holdings, Ltd.*     156,677 
   Retail - Drug Stores – 0.04%       
305,400  Ping An Healthcare and Technology Co., Ltd.*     712,822 
   Wireless Equipment – 0.31%       
3,988,800  Xiaomi Corp., Class B*     6,284,823 
   Total China (Proceeds $45,893,900)    $39,948,632 
- 12 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Securities Sold, Not Yet Purchased (continued)

 

Shares     September 30, 2023
Fair Value
   Common Stock – (continued)       
   France – 0.47%       
   Electronic Components - Semiconductors – 0.13%       
58,701  STMicroelectronics NV    $2,533,535 
   REITs - Regional Malls – 0.10%       
85,473  Klepierre SA*     2,102,188 
   REITs - Shopping Centers – 0.24%       
97,193  Unibail-Rodamco-Westfield*     4,810,720 
   Total France (Proceeds $9,167,389)    $9,446,443 
           
   Germany – 1.12%       
   Enterprise Software / Services – 1.12%       
173,453  SAP SE     22,555,078 
   Total Germany (Proceeds $23,134,282)    $22,555,078 
           
   Hong Kong – 0.14%       
   Electric - Integrated – 0.14%       
578,500  Power Assets Holdings, Ltd.     2,799,485 
   Total Hong Kong (Proceeds $3,940,158)    $2,799,485 
           
   Israel – 1.20%       
   Auto / Truck Parts & Equipment - Original – 0.58%       
280,951  Mobileye Global, Inc., Class A*     11,673,514 
   Computer Data Security – 0.62%       
93,876  Check Point Software Technologies, Ltd.*     12,511,793 
   Total Israel (Proceeds $20,333,156)    $24,185,307 
           
   Japan – 0.60%       
   Auto - Cars / Light Trucks – 0.60%       
682,900  Toyota Motor Corp.     12,253,072 
   Total Japan (Proceeds $9,375,311)    $12,253,072 
           
   Netherlands – 0.16%       
   Semiconductor Components - Integrated Circuits – 0.16%       
16,205  NXP Semiconductors NV     3,239,704 
   Total Netherlands (Proceeds $3,101,789)    $3,239,704 
           
   Switzerland – 0.35%       
   Medical - Drugs – 0.35%       
69,059  Novartis AG - Sponsored ADR     7,034,350 
   Total Switzerland (Proceeds $5,845,402)    $7,034,350 
- 13 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Securities Sold, Not Yet Purchased (concluded)

 

Shares     September 30, 2023
Fair Value
   Common Stock – (continued)       
   Taiwan – 0.44%       
   Semiconductor Components - Integrated Circuits – 0.44%       
1,263,812  United Microelectronics Corp. - Sponsored ADR    $8,922,513 
   Total Taiwan (Proceeds $11,708,701)    $8,922,513 
   Total Common Stock (Proceeds  $934,458,542)    $883,956,518 
   Total Securities Sold, Not Yet Purchased (Proceeds $934,458,542)       
        $883,956,518 
           

 

* Non-income producing security
ADR American Depository Receipt
REIT Real Estate Investment Trust
- 14 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Swap Contracts

 

Notional
Amount
   Maturity
Date*
     September 30, 2023
Unrealized Gain ***
 
     Swap Contracts -2.76%        
    Total Return Swap Contracts - Unrealized Gain - 4.85%       
    United States – 4.11%        
    Private Equity - 0.29%        
              
$33,447,533   6/3/2024  The Carlyle Group, Inc.  $5,854,908 
        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%**.     
              
     Web Portals / ISP - 3.82%        
              
 88,741,949   6/3/2024  Alphabet, Inc., Class A   77,179,745 
        Agreement with Morgan Stanley, dated 07/08/2011 to receive 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   $83,034,653 
              
     Australia - 0.01%        
     Commercial Banks - Non-US - 0.01%        
              
 (7,908,498)  12/27/2024  Commonwealth Bank of Australia   192,331 
        Agreement with Morgan Stanley, dated 02/24/2016 to deliver the total return of the shares of Commonwealth Bank of Australia in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.     
              
     Total Australia   $192,331 
              
     Brazil – 0.11%       
     Commercial Services - Finance - 0.11%       
              
 (3,156,941)  2/3/2026  Cielo SA   2,196,387 
        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   $2,196,387 
              
     Japan - 0.24%      
     Audio / Video Products - 0.17%      
              
 (9,745,536)  12/24/2024  Sharp Corp.   3,459,007 
        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 0.88%**.     
              
     Bicycle Manufacturing - 0.05%      
              
 (3,652,101)  12/24/2024  Shimano, Inc.   901,844 
        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%**.     
- 15 -

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)      
       Office Automation & Equipment - 0.02%      
              
$(12,681,243)  12/24/2024  Canon, Inc.  $492,486 
        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%**.     
              
 (458,097)  12/24/2024  Konica Minolta, Inc.   82,758 
        Agreement with Morgan Stanley, dated 04/13/2011 to deliver 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%**.     
              
       Total Japan   $4,936,095 
              
       Spain – 0.24%      
       Building - Heavy Construction - 0.24%      
              
 5,453,251   1/4/2024  Cellnex Telecom SA   4,914,651 
        Agreement with Morgan Stanley, dated 05/06/2015 to receive 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   $4,914,651 
              
       Taiwan – 0.01%      
       Electronic Components - Miscellaneous - 0.00%      
              
 (2,157,364)  1/25/2024  AUO Corp.   73,416 
        Agreement with Morgan Stanley, dated 07/26/2012 to deliver the total return of the shares of AUO Corp. in exchange for interest based on the Daily Fed Funds Effective Rate less 2.65%**.     
              
       Semiconductor Components - Integrated Circuits - 0.01%      
              
 (816,219)  1/25/2024  United Microelectronics Corp. - Sponsored ADR   75,669 
        Agreement with Morgan Stanley, dated 08/08/2013 to deliver the total return of the shares of United Microelectronics Corp. in exchange for interest based on the Daily Fed Funds Effective Rate less 2.13%**.     
              
       Total Taiwan   $149,085 
- 16 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Swap Contracts (continued)

 

Notional
Amount
   Maturity
Date*
     September 30, 2023
Unrealized Gain ***
 
       Swap Contracts - (continued)      
       Total Return Swap Contracts - Unrealized Gain - (continued)      
       United Kingdom – 0.13%      
       Cosmetics & Toiletries - 0.05%      
              
$(12,736,595)  1/4/2024  Unilever PLC  $886,183 
        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 - 0.06%      
              
 (2,809,668)  12/14/2023  Marks & Spencer Group PLC   1,291,035 
        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%      
              
 (3,044,565)  12/14/2023  Next PLC   360,852 
        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   $2,538,070 
       Total Return Swap Contracts - Unrealized Gain****   $97,961,272 
- 17 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Swap Contracts (continued)

 

Notional
Amount
   Maturity
Date*
     September 30, 2023
Unrealized Loss ***
     Swap Contracts - (continued)     
     Total Return Swap Contracts - Unrealized Loss - (2.09%)     
     Australia - (0.01%)     
     Retail - Building Products - (0.01%)     
           
$(4,256,225)  12/27/2024  Wesfarmers, Ltd.  $(233,737)
        Agreement with Morgan Stanley, dated 12/23/2014 to deliver 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  $(233,737)
           
     Brazil – (0.48%)     
     Finance - Other Services - (0.10%)     
              
 20,365,724   2/3/2026  B3 SA-Brasil Bolsa Balcao   (2,104,264)
        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 - (0.38%)     
           
 15,817,888   2/3/2026  Magazine Luiza SA   (7,647,544)
        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  $(9,751,808)
           
     China – (0.94%)     
     Applications Software - (0.94%)     
              
 29,159,188   7/16/2024  Glodon Co., Ltd., Class A   (18,851,583)
        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 0.85%**.     
              
     Total China  $(18,851,583)
           
     Ireland – (0.06%)     
     Commercial Services - Finance - (0.06%)     
           
 4,203,853   12/14/2023  Experian PLC   (1,163,134)
        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  $(1,163,134)
- 18 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Swap Contracts (continued)

 

Notional
Amount
  Maturity
Date*
     September 30, 2023
Unrealized Loss ***
       Swap Contracts - (continued)      
       Total Return Swap Contracts - Unrealized Loss - (continued)      
       Japan – (0.35%)      
       Office Automation & Equipment - (0.02%)      
              
$(7,323,581)  12/24/2024  Ricoh Co., Ltd.  $(469,756)
        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%**.     
              
       Semiconductor Equipment - (0.33%)      
              
 (27,950,666)  12/24/2024  Advantest Corp.   (3,512,158)
        Agreement with Morgan Stanley, dated 08/26/2011 to deliver the total return of the shares of Advantest Corp. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.     
              
 (28,257,925)  12/24/2024  Tokyo Electron, Ltd.   (3,000,097)
        Agreement with Morgan Stanley, dated 11/10/2020 to deliver the total return of the shares of Tokyo Electron, Ltd. in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.     
              
       Total Japan   $(6,982,011)
              
       South Korea – (0.06%)      
       Petrochemicals - (0.06%)      
              
 6,034,007   8/14/2028  LG Chem, Ltd.   (1,221,281)
        Agreement with Morgan Stanley, dated 01/07/2022 to receive 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   $(1,221,281)
              
       Sweden – (0.00%)      
       Auto - Cars / Light Trucks - (0.00%)      
              
 (1,511,193)  1/4/2024  Volvo Car AB   (1,094)
        Agreement with Morgan Stanley, dated 10/24/2022 to deliver the total return of the shares of Volvo Car AB in exchange for interest based on the Daily Fed Funds Effective Rate less 0.40%**.     
              
       Total Sweden   $(1,094)
- 19 -

Advantage Advisers Xanthus Fund, L.L.C.

 

Schedule of Swap Contracts (concluded)

 

Notional
Amount
  Maturity
Date*
     September 30, 2023
Unrealized Loss ***
       Swap Contracts - (continued)      
       Total Return Swap Contracts - Unrealized Loss - (continued)      
       Taiwan – (0.17%)      
       Power Conversion / Supply Equipment - (0.17%)      
              
$22,420,209   1/25/2024  Delta Electronics, Inc.  $(3,462,020)
        Agreement with Morgan Stanley, dated 06/14/2023 to receive the total return of the shares of Delta Electronics, Inc, in exchange for interest based on the Daily Fed Funds Effective Rate plus 1.25%**.     
              
       Semiconductor Components - Integrated Circuits - (0.00%)      
              
 (7,986,212)  1/25/2024  Novatek Microelectronics, Ltd.   (42,099)
        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 $(3,504,119 )
       United Kingdom – (0.02%)      
       Building - Maintenance & Service - (0.02%)      
              
 5,708,270   12/14/2023  Rentokil Initial PLC   (457,508)
        Agreement with Morgan Stanley, dated 07/12/2023 to receive the total return of the shares of Rentokil Initial PLC in exchange for interest based on the Daily Fed Funds Effective Rate plus 0.65%**.     
              
       Total United Kingdom $(457,508 )
       Total Return Swap Contracts - Unrealized Loss***** $(42,166,275 )
       Total Swap Contracts, net $55,794,997  

 

 

 

  * 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 September 30, 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.
- 20 -

The following is a summary of the inputs used, as of September 30, 2023, in valuing the Company’s investments at fair value

 

Assets:      Liabilities:    
Valuation Inputs       Valuation Inputs     
Level 1 - Quoted Prices       Level 1 - Quoted Prices     
Investments in Securities       Securities Sold, Not Yet Purchased     
Common Stock  $2,239,184,253   Common Stock  $883,956,518 
Equity Options   266,802,877   Equity Options   - 
Level 2 - Other Significant       Level 2 - Other Significant     
Observable Inputs       Observable Inputs     
Total Return Swaps   97,961,272   Total Return Swaps   42,166,275 
Currency Options   864,612   Currency Options   - 
Level 3 - Other Significant       Level 3 - Other Significant     
Unobservable Inputs   -   Unobservable Inputs   - 
Total  $2,604,813,014   Total  $926,122,793 
- 21 -