Mackay Shields LLC Top Holdings and 13F Report (2026) About Mackay Shields LLCInvestment ActivityMackay Shields LLC has $2.73 billion in total holdings as of March 31, 2026.Mackay Shields LLC owns shares of 111 different stocks, but just 53 companies or ETFs make up 80% of its holdings.Approximately 8.42% of the portfolio was purchased this quarter.About 19.30% of the portfolio was sold this quarter.This quarter, Mackay Shields LLC has purchased 132 new stocks and bought additional shares in 27 stocks.Mackay Shields LLC sold shares of 55 stocks and completely divested from 28 stocks this quarter.Largest Holdings LUMENTUM HLDGS INC $143,553,199WESTERN DIGITAL CORP $110,830,313ADVANCED ENERGY INDS $95,383,178MIRUM PHARMACEUTICALS INC $68,958,198QXO INC $65,257,945 Largest New Holdings this Quarter 45826HAD1 - INTEGER HLDGS CORP $43,284,902 Holding68389X204 - ORACLE CORP $29,719,538 Holding91332UAH4 - UNITY SOFTWARE INC $26,841,871 Holding70614WAD2 - PELOTON INTERACTIVE INC $26,005,440 Holding65441V200 - NINE ENERGY SERVICE INC $25,144,758 Holding Largest Purchases this Quarter INTEGER HLDGS CORP 45,159,000 shares (about $43.28M)ORACLE CORP 646,846 shares (about $29.72M)UNITY SOFTWARE INC 26,902,000 shares (about $26.84M)PELOTON INTERACTIVE INC 19,417,000 shares (about $26.01M)NINE ENERGY SERVICE INC 3,066,434 shares (about $25.14M) Largest Sales this Quarter SEAGATE HDD CAYMAN 6,655,000 shares (about $31.62M)Talos Energy 1,679,338 shares (about $26.47M)WESTERN DIGITAL CORP 3,406,000 shares (about $24.39M)SHIFT4 PMTS INC 19,960,000 shares (about $18.79M)LUMENTUM HLDGS INC 2,596,000 shares (about $18.35M) Sector Allocation Over TimeMap of 500 Largest Holdings ofMackay Shields LLC Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorLUMENTUM HLDGS INC$143,553,199$17,422,962 ▼-10.8%26,786,0005.3%NOTE 0.500% 6/1WESTERN DIGITAL CORP$110,830,313$24,391,835 ▼-18.0%15,476,0004.1%NOTE 3.000%11/1ADVANCED ENERGY INDS$95,383,178$12,015,528 ▼-11.2%39,644,0003.5%NOTE 2.500% 9/1MIRUM PHARMACEUTICALS INC$68,958,198$7,412,094 ▼-9.7%23,054,0002.5%NOTE 4.000% 5/0QXO INC$65,257,945$44,496 ▼-0.1%1,170,3612.4%5.50 DEP PFDLANTHEUS HLDGS INC$61,196,398$6,992,775 ▼-10.3%50,898,0002.2%NOTE 2.625%12/1MKS INC.$60,398,440$62,863 ▼-0.1%36,510,0002.2%NOTE 1.250% 6/0CABLE ONE INC$58,367,366$6,005,820 ▲11.5%77,359,0002.1%NOTE 1.125% 3/1TETRA TECH INC NEW$57,176,031$5,353,895 ▼-8.6%54,518,0002.1%DBCV 2.250% 8/1UBER TECHNOLOGIES INC$54,602,805$3,260,372 ▲6.4%45,352,0002.0%NOTE 0.875%12/0BOEING CO$53,888,370$44,376 ▼-0.1%829,4142.0%DEP CONV PFD AON SEMICONDUCTOR CORP$50,596,799$269,963 ▼-0.5%39,171,0001.9%NOTE 5/0PG&E CORP$48,059,496$5,250,032 ▼-9.8%46,384,0001.8%NOTE 4.250%12/0POST HLDGS INC$43,617,687$10,068,456 ▼-18.8%40,228,0001.6%NOTE 2.500% 8/1INTEGER HLDGS CORP$43,284,902$43,284,902 ▲New Holding45,159,0001.6%DBCV 1.875% 3/1APOLLO GLOBAL MGMT INC$41,972,244$28,401 ▼-0.1%713,8091.5%SER A MAND CNVLIBERTY MEDIA CORP DEL$39,259,692$73,962 ▼-0.2%33,972,0001.4%NOTE 2.250% 8/1AKAMAI TECHNOLOGIES INC$39,249,674$46,423 ▼-0.1%33,819,0001.4%NOTE 0.375% 9/0HEWLETT PACKARD ENTERPRISE C$39,017,575$258,861 ▲0.7%601,8561.4%7.625 MAND CONVSNOWFLAKE INC$38,519,136$3,213,279 ▲9.1%32,570,0001.4%NOTE 10/0NCL CORP LTD$37,977,0620.0%38,891,0001.4%NOTE 1.125% 2/1BRIDGEBIO PHARMA INC$37,363,518$5,200,499 ▲16.2%33,315,0001.4%NOTE 2.250% 2/0NORTHERN OIL & GAS INC$36,612,868$3,599,048 ▲10.9%33,296,0001.3%NOTE 3.625% 4/1FRESHPET INC$36,577,109$12,016,336 ▲48.9%31,791,0001.3%NOTE 3.000% 4/0IRHYTHM HOLDINGS INC$35,753,016$55,879 ▼-0.2%32,631,0001.3%NOTE 1.500% 9/0BTTBlackrock Municipal 2030 Target Term Trust$35,554,147$4,588,464 ▲14.8%1,566,2621.3%Financial ServicesCHEFS WHSE INC$35,100,896$51,730 ▼-0.1%23,749,0001.3%NOTE 2.375%12/1IAUiShares Gold Trust$34,395,624$7,480,376 ▼-17.9%390,1501.3%FinanceMICROCHIP TECHNOLOGY INC.$34,317,119$24,380 ▼-0.1%601,0471.3%DEP SHS REPSTGBURLINGTON STORES INC$33,727,2450.0%20,379,0001.2%NOTE 1.250%12/1PATRICK INDS INC$33,200,623$3,490,785 ▼-9.5%19,136,0001.2%NOTE 1.750%12/0DATADOG INC$32,796,3900.0%33,802,0001.2%NOTE 12/0FLUOR CORP$32,483,988$17,284 ▲0.1%26,312,0001.2%NOTE 1.125% 8/1LIVE NATION ENTERTAINMENT IN$32,115,960$56,160 ▲0.2%29,737,0001.2%NOTE 2.875% 1/1ETSY INC$32,002,036$4,212,389 ▼-11.6%32,736,0001.2%NOTE 0.125%10/0SEAGATE HDD CAYMAN$31,536,807$31,617,573 ▼-50.1%6,638,0001.2%NOTE 3.500% 6/0ORACLE CORP$29,719,538$29,719,538 ▲New Holding646,8461.1%6.5 DEP CUM SR DDEXCOM INC$27,631,980$6,401,363 ▼-18.8%29,970,0001.0%NOTE 0.375% 5/1MERITAGE HOMES CORP$27,195,970$7,972,650 ▼-22.7%28,125,0001.0%NOTE 1.750% 5/1UNITY SOFTWARE INC$26,841,871$26,841,871 ▲New Holding26,902,0001.0%NOTE 3/1NUTANIX INC$26,814,055$31,658 ▲0.1%29,645,0001.0%NOTE 0.500%12/1NEXTERA ENERGY INC$26,667,570$540,810 ▲2.1%472,9361.0%UNIT 06/01/2027PELOTON INTERACTIVE INC$26,005,440$26,005,440 ▲New Holding19,417,0001.0%NOTE 5.500%12/0PARSONS CORP DEL$25,780,2050.0%26,133,0000.9%NOTE 2.625% 3/0BIOMARIN PHARMACEUTICAL INC$25,563,296$7,864,220 ▼-23.5%26,502,0000.9%NOTE 1.250% 5/1PROGRESS SOFTWARE CORP$25,556,214$45,425 ▲0.2%28,693,0000.9%NOTE 3.500% 3/0LIBERTY MEDIA CORP DEL$25,477,319$5,330,258 ▼-17.3%24,458,0000.9%NOTE 3.750% 3/1AFFIRM HLDGS INC$25,467,276$2,711,819 ▲11.9%27,150,0000.9%NOTE 0.750%12/1NINE ENERGY SERVICE INC$25,144,758$25,144,758 ▲New Holding3,066,4340.9%COMMON STOCKGUIDEWIRE SOFTWARE INC$25,099,8500.0%25,147,0000.9%NOTE 1.250%11/0BANK AMERICA CORP$24,884,836$71,553 ▼-0.3%20,8670.9%7.25%CNV PFD LDROPBOX INC$23,119,0120.0%24,323,0000.8%NOTE 3/0MYNBlackRock MuniYield New York Quality Fund$22,556,995$11,284,953 ▲100.1%2,349,6870.8%FinanceMHDBlackRock MuniHoldings Fund$22,360,965$2,074,561 ▼-8.5%1,982,3550.8%Financial ServicesGREENBRIER COS INC$22,046,6690.0%19,032,0000.8%NOTE 2.875% 4/1TALOTalos Energy$20,946,569$26,466,367 ▼-55.8%1,329,0970.8%EnergyGULFPORT ENERGY CORP$20,859,109$2,115,700 ▼-9.2%98,5920.8%COMMON SHARESRIVIAN AUTOMOTIVE INC$19,937,965$6,436 ▲0.0%18,587,0000.7%NOTE 4.625% 3/1ALNYLAM PHARMACEUTICALS INC$19,053,164$7,701 ▲0.0%14,844,0000.7%NOTE 1.000% 9/1SHIFT4 PMTS INC$18,384,496$18,787,351 ▼-50.5%19,532,0000.7%NOTE 0.500% 8/0UPSTART HLDGS INC$17,929,1240.0%25,168,0000.7%NOTE 1.000%11/1ARES MANAGEMENT CORPORATION$17,810,582$259,311 ▲1.5%480,0340.7%6.75 SE B PFDMQYBlackRock MuniYield Quality Fund$17,502,329$13,573,279 ▲345.5%1,594,0190.6%FinanceWFC.PLWells Fargo & Co. Pfd. Series L$17,127,153$11,604 ▼-0.1%14,7600.6%FinanceSYNAPTICS INC$16,763,2110.0%16,169,0000.6%NOTE 0.750%12/0JAZZ INVESTMENTS I LTD$15,907,2490.0%13,087,0000.6%NOTE 2.000% 6/1WORKIVA INC$15,817,9380.0%16,850,0000.6%NOTE 1.250% 8/1IONIS PHARMACEUTICALS INC$15,706,0870.0%10,410,0000.6%NOTE 1.750% 6/1LUMENTUM HLDGS INC$15,551,800$18,351,124 ▼-54.1%2,200,0000.6%NOTE 0.500%12/1CHEESECAKE FACTORY INC$15,177,582$62,139 ▼-0.4%15,388,0000.6%NOTE 0.375% 6/1MGP INGREDIENTS INC NEW$13,763,534$62,618 ▲0.5%14,287,0000.5%NOTE 1.875%11/1BILL HOLDINGS INC$13,467,2090.0%15,102,0000.5%NOTE 4/0MUJBlackRock MuniHoldings New Jersey Quality Fund$13,281,574$982,767 ▼-6.9%1,147,9320.5%FinanceQ2 HLDGS INC$13,226,538$12,198,770 ▼-48.0%13,281,0000.5%NOTE 0.750% 6/0AEROVIRONMENT INC$12,961,296$2,951,097 ▲29.5%13,220,0000.5%NOTE 7/1GLOBAL PMTS INC$11,372,815$4,185,662 ▼-26.9%12,879,0000.4%NOTE 1.500% 3/0VERTEX INC$7,995,543$7,780,529 ▼-49.3%9,185,0000.3%NOTE 0.750% 5/0SPECTRUM BRANDS INC$7,861,3220.0%7,857,0000.3%NOTE 3.375% 6/0MIYBlackRock MuniYield Michigan Quality Fund$7,828,551$69,498 ▼-0.9%658,9690.3%FinanceTELADOC HEALTH INC$7,197,295$7,373,751 ▼-50.6%7,505,0000.3%NOTE 1.250% 6/0LIVE NATION ENTERTAINMENT IN$7,178,794$95,697 ▼-1.3%4,726,0000.3%NOTE 3.125% 1/1OSI SYSTEMS INC$6,930,211$4,595 ▲0.1%4,525,0000.3%NOTE 2.250% 8/0CLOUDFLARE INC$6,648,780$40,970 ▼-0.6%5,680,0000.2%NOTE 8/1GLDSPDR Gold Shares$6,598,9270.0%15,3360.2%FinanceWEC ENERGY GROUP INC$6,514,430$84,121 ▼-1.3%5,266,0000.2%NOTE 4.375% 6/0NEUBERGER MUN FD INC$6,326,262$6,194,556 ▼-49.5%623,2770.2%COMSOUTHERN CO$6,264,936$46,654 ▲0.8%5,640,0000.2%NOTE 4.500% 6/1WBDWarner Bros. Discovery$6,212,8250.0%226,2500.2%Consumer DiscretionaryHALOZYME THERAPEUTICS INC$5,615,982$183,536 ▲3.4%5,416,0000.2%NOTE 0.250% 3/0MYIBlackRock MuniYield Quality Fund III$5,530,951$5,530,951 ▲New Holding526,2560.2%FinanceFIVE9 INC$5,466,213$5,706,151 ▼-51.1%6,265,0000.2%NOTE 1.000% 3/1NRKNuveen New York AMT-Free Quality Municipal Income Fund$5,307,974$1,237,707 ▼-18.9%519,8800.2%Financial ServicesNUTANIX INC$4,688,713$71,288 ▲1.5%4,604,0000.2%NOTE 0.250%10/0INTEGER HLDGS CORP$4,541,170$140,546 ▲3.2%3,845,0000.2%NOTE 2.125% 2/1VFLabrdn National Municipal Income Fund$4,000,8820.0%401,6950.1%FinanceARROWHEAD PHARMACEUTICALS IN$3,111,300$3,111,300 ▲New Holding3,000,0000.1%NOTE 1/1VGMInv Vk Tr Inv$2,064,479$980,841 ▼-32.2%209,1670.1%FinanceVKQInv Vk Mun Tr$1,987,909$1,107,109 ▼-35.8%208,8140.1%FinanceMFMMfs Muni Inc Tr$1,795,705$35,046 ▼-1.9%333,1550.1%FinanceMUCBlackRock MuniHoldings California Quality Fund$1,527,136$8,678,654 ▼-85.0%146,8400.1%FinanceShowing largest 100 holdings. 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