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Mackay Shields LLC

SEC CIK
0000061227
Latest filing
Jul 28, 2026

Holdings in Q2 2023

Holdings as of Jun 30, 2023, filed Jul 27, 2023. Long positions only; changes compare share counts with Q1 2023.

Institution overview
Positions
147
−7 vs. Q1 2023
Portfolio value
$3.58B
−$65.1M (−1.8%) vs. Q1 2023
Filed
Jul 27, 2023
SEC
Holdings of Mackay Shields LLC in Q2 2023
SecurityClassSharesValue% of portfolioShare changeActionHistory
GPORGulfport Energy CorpCOMMON SHARES1,603,070$168.4M4.7%−499,720−23.8%ReducedHistory
NICE Ltd.653656AB4NOTE 9/1–$107.6M3.0%–––
EQT Corp26884LAK5NOTE 1.750% 5/0–$103.5M2.9%–––
Microchip Technology Inc595017AU8NOTE 0.125%11/1–$90.0M2.5%–––
Pioneer Nat Res Co723787AP2NOTE 0.250% 5/1–$81.5M2.3%–––
DISH Network CORP25470MAD1NOTE 2.375% 3/1–$79.4M2.2%–––
Ford MTR Co Del345370CZ1NOTE 3/1–$78.0M2.2%–––
Biomarin Pharmaceutical Inc09061GAK7NOTE 1.250% 5/1–$77.1M2.2%–––
Southwest Airls Co844741BG2NOTE 1.250% 5/0–$75.0M2.1%–––
Helix Energy Solutions Grp I42330PAK3NOTE 6.750% 2/1–$70.7M2.0%–––
Palo Alto Networks Inc697435AF2NOTE 0.375% 6/0–$68.3M1.9%–––
NRG Energy, Inc.629377CG5DBCV 2.750% 6/0–$66.6M1.9%–––
Vail Resorts Inc91879QAN9NOTE 1/0–$62.6M1.7%–––
PG&E Corp69331C140UNIT 99/99/9999403,751$60.5M1.7%−3,760−0.9%Reduced–
MGP Ingredients Inc55303JAB2NOTE 1.875%11/1–$60.2M1.7%–––
NICENICE Ltd.SPONSORED ADR286,433$59.1M1.7%+52,045+22.2%AddedHistory
Centennial Resource Dev Inc15136AAA0NOTE 3.250% 4/0–$58.6M1.6%–––
Oil STS Intl Inc678026AK1NOTE 4.750% 4/0–$58.5M1.6%–––
CONMED Corp207410AH4NOTE 2.250% 6/1–$55.5M1.6%–New–
Lumentum Hldgs Inc55024UAD1NOTE 0.500%12/1–$55.3M1.5%–––
Exact Sciences Corp30063PAC9NOTE 0.375% 3/0–$54.3M1.5%–––
Teladoc Health, Inc.87918AAF2NOTE 1.250% 6/0–$46.3M1.3%–––
Dexcom Inc252131AK3NOTE 0.250%11/1–$45.2M1.3%–––
Zillow Group, Inc.98954MAH4NOTE 2.750% 5/1–$45.1M1.3%–––
Chart Inds Inc16115QAE0NOTE 1.000%11/1–$43.8M1.2%–––
TALOTalos Energy Inc.COM3,152,973$43.7M1.2%−129,838−4.0%ReducedHistory
Square Inc852234AF0NOTE 0.125% 3/0–$43.4M1.2%–––
Patk703343AG812/01/2028–$43.2M1.2%–––
Etsy Inc29786AAN6NOTE 0.250% 6/1–$42.1M1.2%–––
SHIFT4 PMTS Inc82452JAB5NOTE 12/1–$41.1M1.2%–––
KKR and Co Inc 6 McOnv PFD C48251W401CONVERTIBLE PREFERRED STOCK608,607$40.3M1.1%−6,327−1.0%Reduced–
Splunk Inc848637AD6NOTE 1.125% 9/1–$40.1M1.1%–––
Illumina, Inc.452327AK5NOTE 8/1–$39.2M1.1%–––
Enphase Energy, Inc.29355AAH0NOTE 3/0–$38.8M1.1%–––
Bank of Amer Corp0605056827.25%CNV PFD L32,074$37.7M1.1%−140.0%Reduced–
DHRDanaher CorpStock150,217$36.1M1.0%+150,217NewHistory
Akamai Technologies Inc00971TAL5NOTE 0.375% 9/0–$35.5M1.0%–––
Forum Energy Technologies IN34984VAC4NOTE 9.000% 8/0–$35.4M1.0%–––
WFC.PLWells Fargo & CompanyPERP PFD CNV A29,384$34.0M0.9%+50+0.2%AddedHistory
Booking Holdings Inc.09857LAN8NOTE 0.750% 5/0–$33.9M0.9%–––
IAUiShares Gold TrustETF929,500$33.8M0.9%00.0%UnchangedHistory
Datadog, Inc.23804LAB9NOTE 0.125% 6/1–$33.5M0.9%–––
Pacira BioSciences, Inc.695127AF7NOTE 0.750% 8/0–$33.2M0.9%–––
Viavi Solutions Inc.925550AB1NOTE 1.000% 3/0–$32.5M0.9%–––
Nextera Energy Inc65339F713UNIT 09/01/2025715,626$32.3M0.9%−5,150−0.7%Reduced–
Chart Inds Inc16115Q4076.75DP CNV PFD B494,856$32.2M0.9%+957+0.2%Added–
AES Corp00130H204UNIT 99/99/9999386,344$31.5M0.9%−2,478−0.6%Reduced–
DISH Network CORP25470MAB5NOTE 3.375% 8/1–$31.1M0.9%–––
MongoDB, Inc.60937PAD8NOTE 0.250% 1/1–$30.7M0.9%–––
Zscaler, Inc.98980GAB8NOTE 0.125% 7/0–$30.0M0.8%–––
BTTBlackRock Municipal 2030 Target Term TrustCOM SHS BEN IN1,401,701$29.1M0.8%00.0%UnchangedHistory
Everbridge, Inc.29978AAC8NOTE 0.125%12/1–$27.6M0.8%–––
FETForum Energy Technologies, Inc.COM1,061,621$27.2M0.8%−54,575−4.9%ReducedHistory
Nuvasive Inc670704AJ4NOTE 0.375% 3/1–$26.9M0.8%–––
Uber Technologies, Inc90353TAJ9NOTE 12/1–$26.8M0.7%–––
Array Technologies, Inc.04271TAB6NOTE 1.000%12/0–$26.3M0.7%–––
Burlington Stores, Inc.122017AB2NOTE 2.250% 4/1–$26.1M0.7%–––
Haemonetics Corp Mass405024AB6NOTE 3/0–$25.2M0.7%–––
Euronet Worldwide, Inc.298736AL3NOTE 0.750% 3/1–$24.2M0.7%–––
Cheesecake Factory Inc163072AA9NOTE 0.375% 6/1–$24.1M0.7%–––
Integra Lifesciences Hldgs C457985AM1NOTE 0.500% 8/1–$24.1M0.7%–––
Dropbox, Inc.26210CAD6NOTE 3/0–$23.9M0.7%–––
Summit Hotel Pptys Inc866082AA8NOTE 1.500% 2/1–$23.1M0.6%–––
Ionis Pharmaceuticals Inc462222AD2NOTE 4/0–$22.7M0.6%–––
Wolfspeed, Inc.977852AB8NOTE 0.250% 2/1–$22.2M0.6%–––
Omnicell Com68213NAD1NOTE 0.250% 9/1–$20.7M0.6%–––
Solaredge Technologies, Inc.83417MAD6NOTE 9/1–$20.2M0.6%–––
NCL Corp Ltd62886HAX9NOTE 5.375% 8/0–$19.1M0.5%–––
Greenbrier Cos Inc393657AM3NOTE 2.875% 4/1–$19.1M0.5%–––
Snap Inc83304AAH9NOTE 0.125% 3/0–$18.6M0.5%–––
American Airls Group Inc02376RAF9NOTE 6.500% 7/0–$18.4M0.5%–––
CHRDChord Energy CorpCOM NEW115,748$17.8M0.5%−20,814−15.2%ReducedHistory
Snap Inc83304AAF3NOTE 5/0–$16.1M0.5%–––
Ares Capital Corp04010LAW3NOTE 4.625% 3/0–$15.5M0.4%–––
Okta, Inc.679295AD7NOTE 0.125% 9/0–$12.9M0.4%–––
MHNBlackRock Muniholdings New York Quality Fund, Inc.COM1,111,764$11.7M0.3%−174,190−13.5%ReducedHistory
Pebblebrook Hotel Tr70509VAA8NOTE 1.750%12/1–$11.4M0.3%–––
BridgeBio Pharma, Inc.10806XAB8NOTE 2.500% 3/1–$11.3M0.3%–––
MUJBlackRock Muniholdings New Jersey Quality Fund, Inc.COM1,003,043$11.2M0.3%00.0%UnchangedHistory
Infinera Corp45667GAE3NOTE 2.500% 3/0–$11.2M0.3%–––
Guardant Health, Inc.40131MAB5NOTE 11/1–$11.0M0.3%–––
Bill Com Hldgs Inc090043AB6NOTE 12/0–$11.0M0.3%–––
Impinj Inc453204AD1NOTE 1.125% 5/1–$10.9M0.3%–––
Digitalocean Hldgs Inc25402DAB8NOTE 12/0–$10.3M0.3%–––
NEANuveen AMT-Free Quality Municipal Income FundCOM930,320$10.2M0.3%−400,000−30.1%ReducedHistory
MQTBlackRock Muniyield Quality Fund II, Inc.COM992,093$9.98M0.3%−136,842−12.1%ReducedHistory
Biomarin Pharmaceutical Inc09061GAH4NOTE 0.599% 8/0–$9.94M0.3%–––
Cable One, Inc.12685JAE5NOTE 3/1–$9.87M0.3%–––
GLDSPDR Gold TrustETF55,336$9.86M0.3%00.0%UnchangedHistory
InterDigital, Inc.45867GAB7NOTE 2.000% 6/0–$9.34M0.3%–––
Parsons Corp70202LAB8NOTE 0.250% 8/1–$9.27M0.3%–––
CONMED Corp207410AF8NOTE 2.625% 2/0–$9.26M0.3%–––
KOSKosmos Energy Ltd.COM1,503,656$9.01M0.3%00.0%UnchangedHistory
MYNBlackRock Muniyield New York Quality Fund, Inc.COM814,624$8.25M0.2%−132,809−14.0%ReducedHistory
JetBlue Airways Corp477143AP6NOTE 0.500% 4/0–$8.16M0.2%–––
Bentley Sys Inc08265TAB5NOTE 0.125% 1/1–$7.93M0.2%–––
NCL Corp Ltd62886HAT8NOTE 6.000% 5/1–$7.84M0.2%–––
Dropbox, Inc.26210CAC8NOTE 3/0–$7.50M0.2%–New–
MHDBlackRock Muniholdings Fund, Inc.COM638,616$7.43M0.2%00.0%UnchangedHistory
MIYBlackRock Muniyield Michigan Quality Fund, Inc.COM664,819$7.35M0.2%−128,015−16.1%ReducedHistory

Sold out since Q1 2023 (10)

Positions held at the end of Q1 2023 that are gone from this filing.

Positions of Mackay Shields LLC sold out since Q1 2023
SecurityClassShares in Q1 2023Value in Q1 2023% of portfolio in Q1 2023History
Danaher Corp2358514095% CONV PFD B85,206$108.6M3.0%–
Palo Alto Networks Inc697435AD7NOTE 0.750% 7/0–$63.4M1.7%–
Silicon Laboratories Inc.826919AD4NOTE 0.625% 6/1–$37.5M1.0%–
Zynga Inc98986TAD0NOTE 12/1–$18.2M0.5%–
BDX 6 06/01/23 Pfd075887406CONVERTIBLE PREFERRED STOCK351,857$17.6M0.5%–
Five9, Inc.338307AD3NOTE 0.500% 6/0–$9.21M0.3%–
Envestnet, Inc.29404KAB2NOTE 1.750% 6/0–$7.10M0.2%–
Royal Caribbean Group780153BB7NOTE 4.250% 6/1–$6.22M0.2%–
Boston Scientific Corp1011372065.50% CNV PFD A3,400$410.7K<0.1%–
EIMEaton Vance Municipal Bond FundCOM29,175$303.4K<0.1%History