SEC FORM 13F-HR

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

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

FORM 13F COVER PAGE

OMB APPROVAL
OMB Number:3235-0006
Expires:Oct 31, 2018
Estimated average burden
hours per response:23.8

Report for the Calendar Year or Quarter Ended:03-31-2016
Check here if Amendment  Amendment Number:
This Amendment (Check only one.):  is a restatement.
  adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name:AMERICAN FINANCIAL GROUP INC
Address:GREAT AMERICAN INSURANCE GROUP TOWER
301 E. 4TH STREET
CINCINNATI, OH  45202
Form 13F File Number:028-04389

The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:
Name:Brian S. Hertzman
Title:Vice President and Controller
Phone:513-579-2153
Signature, Place, and Date of Signing:
/s/ Brian S. HertzmanCincinnatiOH05-11-2016
[Signature][City, State][Date]
Report Type (Check only one.):
X13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.)
  13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).)
  13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).)
Form 13F Summary Page
Report Summary:
Number of Other Included Managers:3
Form 13F Information Table Entry Total:258
Form 13F Information Table Value Total:1,343,838
(thousands)
List of Other Included Managers:
Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report.
[If there are no entries in this list, state “NONE” and omit the column headings and list entries.]
No.Form 13F File NumberName
128-498Great American Insurance Company
228-1258Great American Life Insurance Company
328-17123Great American Holding, Inc

SEC FORM 13-F Information Table

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

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

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number:3235-0006
Expires:Oct 31, 2018
Estimated average burden
hours per response:23.8

COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
DEUTSCHE BANK AGNAMEN AKTD181908987,135421,193SH DFND1421,19300
DEUTSCHE BANK AGNAMEN AKTD181908988,772517,800SH DFND2517,80000
DEUTSCHE BANK AGNAMEN AKTD181908982,050121,007SH DFND3121,00700
ARRIS INTL INCSHSG0551A10326111,396SH DFND111,39600
AXOVANT SCIENCES LTDCOMG0750W10499086,197SH DFND186,19700
AXOVANT SCIENCES LTDCOMG0750W10499086,198SH DFND286,19800
ENDO INTL PLCSHSG304011066,621235,190SH DFND1235,19000
ENDO INTL PLCSHSG304011065,987212,690SH DFND2212,69000
MALLINCKRODT PUB LTD COSHSG5785G1077,660125,000SH DFND1125,00000
MALLINCKRODT PUB LTD COSHSG5785G10712,256200,000SH DFND2200,00000
MEDTRONIC PLCSHSG5960L1036,37585,000SH DFND185,00000
CHUBB LIMITEDCOMH1467J10412,59863,000SH SOLE 63,00000
LYONDELLBASELL INDUSTRIES NSHS - A -N537451003,42340,000SH DFND140,00000
ABBVIE INCCOM00287Y1093,77066,000SH DFND166,00000
ABBVIE INCCOM00287Y1098,797154,000SH DFND2154,00000
AFFILIATED MANAGERS GROUPCOM0082521083,89824,000SH DFND124,00000
AFFILIATED MANAGERS GROUPCOM0082521089,09456,000SH DFND256,00000
ALLIANCE RES PARTNER L PUT LTD PART01877R10835830,716SH DFND130,71600
ALLIANCE RES PARTNER L PUT LTD PART01877R1081,934165,985SH DFND2165,98500
ALLY FINL INCCOM02005N1006,926370,000SH DFND1370,00000
ALLY FINL INCCOM02005N1006,926370,000SH DFND2370,00000
AMERICAN CAPITAL AGENCY CORPCOM02503X1053,561191,167SH DFND1191,16700
AMERICAN CAPITAL AGENCY CORPCOM02503X1058,284444,666SH DFND2444,66600
AMERICAN CAPITAL AGENCY CORPCOM02503X1053,148168,967SH DFND3168,96700
AMERICAN CAP MTG INVT CORPCOM02504A1046,027410,585SH DFND1410,58500
AMERICAN CAP MTG INVT CORPCOM02504A1049,423641,920SH DFND2641,92000
AMERICAN CAP MTG INVT CORPCOM02504A1042,654180,795SH DFND3180,79500
ANNALY CAP MGMT INCCOM0357104091,521148,260SH DFND2148,26000
ANWORTH MORTGAGE ASSET CPCOM0373471013,160678,200SH DFND1678,20000
ANWORTH MORTGAGE ASSET CPCOM0373471011,731371,450SH DFND2371,45000
ANWORTH MORTGAGE ASSET CPCOM0373471011,716368,300SH DFND3368,30000
APOLLO RESIDENTIAL MTG INCCOM03763V1025,790431,437SH DFND1431,43700
APOLLO RESIDENTIAL MTG INCCOM03763V1026,269467,157SH DFND2467,15700
APPLE INCCOM03783310017,547161,000SH DFND1161,00000
APPLE INCCOM03783310017,547161,000SH DFND2161,00000
ARCELORMITTAL SA LUXEMBOURGNY REGISTRY SH03938L1041,832400,000SH DFND1400,00000
ARCELORMITTAL SA LUXEMBOURGNY REGISTRY SH03938L1041,832400,000SH DFND2400,00000
ARLINGTON ASSET INVT CORPCL A NEW04135620511,557922,342SH DFND1922,34200
ARLINGTON ASSET INVT CORPCL A NEW0413562056,033481,506SH DFND3481,50600
BP PLCSPONSORED ADR0556221042,49082,500SH DFND282,50000
BAKER HUGHES INCCOM0572241079,204210,000SH DFND1210,00000
BAKER HUGHES INCCOM0572241079,204210,000SH DFND2210,00000
BANK AMER CORPCOM0605051046,667493,120SH DFND1493,12000
BANK AMER CORPCOM0605051041,06178,480SH DFND378,48000
BANK OF NOVA SCOTIANOTE 4.500%12/1064159HB529,98830,000,000PRN DFND230,000,00000
BARCLAYS PLCADR06738E2041,771205,500SH DFND1205,50000
BARCLAYS PLCADR06738E2043,310384,000SH DFND2384,00000
BARCLAYS PLCADR06738E2041,452168,500SH DFND3168,50000
BERKLEY W R CORPCOM0844231026,575117,000SH SOLE 117,00000
BIOGEN INCCOM09062X1039113,500SH DFND13,50000
BIOGEN INCCOM09062X1039113,500SH DFND23,50000
BLACKSTONE GROUP L PCOM UNIT LTD09253U1081,24544,400SH DFND144,40000
BLACKSTONE GROUP L PCOM UNIT LTD09253U1089,750347,600SH DFND2347,60000
CYS INVTS INCCOM12673A1089,0071,106,500SH DFND11,106,50000
CYS INVTS INCCOM12673A10811,9251,465,000SH DFND21,465,00000
CYS INVTS INCCOM12673A1086,166757,500SH DFND3757,50000
CAPITOL FED FINL INCCOM14057J10147736,000SH DFND136,00000
CARLYLE GROUP L PCOM UTS LTD PTN14309L1021,51589,773SH DFND189,77300
CARLYLE GROUP L PCOM UTS LTD PTN14309L10222,0311,305,141SH DFND21,305,14100
CARRIAGE SVCS INCCOM14390510729013,438SH DFND113,43800
CEDAR REALTY TRUST INCCOM NEW15060220933746,654SH DFND146,65400
CELGENE CORPCOM1510201041,00110,000SH DFND210,00000
CELGENE CORPCOM1510201041,50115,000SH DFND315,00000
CENTURY CMNTYS INCCOM1565043007,263425,500SH DFND1425,50000
CENTURY CMNTYS INCCOM1565043007,263425,500SH DFND2425,50000
CHEVRON CORP NEWCOM1667641003,70238,800SH DFND138,80000
CISCO SYS INCCOM17275R1023,132110,000SH DFND1110,00000
CISCO SYS INCCOM17275R1027,118250,000SH DFND2250,00000
CITIGROUP INCCOM NEW17296742416,992407,000SH DFND1407,00000
CITIGROUP INCCOM NEW1729674249,519228,000SH DFND2228,00000
COACH INCCOM1897541047,280181,600SH DFND1181,60000
COACH INCCOM1897541048,154203,400SH DFND3203,40000
COLONY CAP INCCL A19624R10647028,000SH DFND128,00000
COLONY CAP INCCL A19624R10658735,000SH DFND235,00000
COMCAST CORP NEWCL A20030N1016,322103,500SH DFND1103,50000
CONOCOPHILLIPSCOM20825C1042827,000SH DFND17,00000
CORPORATE OFFICE PPTYS TRSH BEN INT22002T10833512,776SH DFND112,77600
CYRUSONE INCCOM23283R1003597,874SH DFND17,87400
DARLING INGREDIENTS INCCOM23726610115912,098SH DFND112,09800
DELTA AIR LINES INC DELCOM NEW2473617022,08442,804SH DFND142,80400
DELTA AIR LINES INC DELCOM NEW2473617021,86238,244SH DFND238,24400
E M C CORP MASSCOM2686481025,197195,000SH DFND1195,00000
E M C CORP MASSCOM2686481025,330200,000SH DFND2200,00000
E M C CORP MASSCOM2686481021,46655,000SH DFND355,00000
EBAY INCCOM2786421031,38458,000SH DFND158,00000
ELLINGTON FINANCIAL LLCCOM2885223035,447312,700SH DFND1312,70000
ELLINGTON FINANCIAL LLCCOM28852230312,841737,153SH DFND2737,15300
EMCOR GROUP INCCOM29084Q1002895,946SH DFND15,94600
EMPLOYERS HOLDINGS INCCOM29221810434112,121SH DFND112,12100
ENBRIDGE ENERGY PARTNERS L PCOM29250R106925,000SH DFND15,00000
ENBRIDGE ENERGY PARTNERS L PCOM29250R10682445,000SH DFND245,00000
ENERGY TRANSFER PRTNRS L PUNIT LTD PARTN29273R1091,16436,000SH DFND136,00000
ENERGY TRANSFER PRTNRS L PUNIT LTD PARTN29273R10910,478324,000SH DFND2324,00000
EVERI HLDGS INCCOM30034T103231100,957SH DFND1100,95700
FIRST FINL BANCORP OHCOM32020910923012,636SH DFND112,63600
FIRST MERCHANTS CORPCOM32081710930713,042SH DFND113,04200
FLUSHING FINL CORPCOM34387310527612,749SH DFND112,74900
FRANKLIN RES INCCOM3546131016,180158,250SH DFND1158,25000
FRANKLIN RES INCCOM3546131019,187235,250SH DFND2235,25000
FRANKLIN RES INCCOM3546131013,37886,500SH DFND386,50000
FREEPORT-MCMORAN INCCL B35671D8572,171210,000SH DFND1210,00000
FREEPORT-MCMORAN INCCL B35671D85793190,000SH DFND390,00000
FULL HOUSE RESORTS INCCOM3596781095135,331SH DFND135,33100
FULL HOUSE RESORTS INCCOM3596781094631,617SH DFND231,61700
GENERAC HLDGS INCCOM3687361042727,312SH DFND17,31200
GENERAL CABLE CORP DEL NEWCOM36930010812,2631,004,350SH DFND11,004,35000
GENERAL CABLE CORP DEL NEWCOM36930010899881,750SH DFND281,75000
GENERAL CABLE CORP DEL NEWCOM36930010810,151831,361SH DFND3831,36100
GENERAL MTRS COCOM37045V10021,669689,450SH DFND1689,45000
GENERAL MTRS COCOM37045V10012,589400,550SH DFND3400,55000
GILEAD SCIENCES INCCOM3755581037,08677,143SH DFND177,14300
GILEAD SCIENCES INCCOM3755581032,88731,428SH DFND231,42800
GILEAD SCIENCES INCCOM3755581031,05011,429SH DFND311,42900
GLOBAL X FDSGLB X MLP ENRG I37950E22621118,369SH DFND118,36900
GRAY TELEVISION INCCOM38937510623920,407SH DFND120,40700
GREAT AJAX CORPCOM38983D30084075,050SH DFND175,05000
GREAT AJAX CORPCOM38983D3008,791785,571SH DFND2785,57100
GREAT AJAX CORPCOM38983D3007,767694,067SH DFND3694,06700
GREAT PLAINS ENERGY INCCOM3911641002457,602SH DFND17,60200
GREAT WESTN BANCORP INCCOM39141610430911,326SH DFND111,32600
HC2 HLDGS INCCOM4041391073,8481,007,421SH DFND21,007,42100
HSBC HLDGS PLCSDCV 5.625%12/2404280AR09611,000,000PRN DFND11,000,00000
HSBC HLDGS PLCSDCV 5.625%12/2404280AR08,6509,000,000PRN DFND39,000,00000
HP INCCOM40434L1055,067411,250SH DFND1411,25000
HP INCCOM40434L1051,241100,750SH DFND2100,75000
HP INCCOM40434L10571558,000SH DFND358,00000
HEWLETT PACKARD ENTERPRISE CCOM42824C1097,291411,250SH DFND1411,25000
HEWLETT PACKARD ENTERPRISE CCOM42824C1091,786100,750SH DFND2100,75000
HEWLETT PACKARD ENTERPRISE CCOM42824C1091,02858,000SH DFND358,00000
HOMESTREET INCCOM43785V1021,21558,406SH DFND158,40600
HOMESTREET INCCOM43785V1025,460262,374SH DFND2262,37400
HOMESTREET INCCOM43785V1023,213154,391SH DFND3154,39100
HUNTSMAN CORPCOM4470111073,525265,000SH DFND1265,00000
HUNTSMAN CORPCOM4470111077,648575,000SH DFND3575,00000
INFINITY PHARMACEUTICALS INCCOM45665G30310520,000SH DFND120,00000
INFINITY PHARMACEUTICALS INCCOM45665G30310520,000SH DFND220,00000
INSTEEL INDUSTRIES INCCOM45774W10875224,609SH DFND124,60900
INSTEEL INDUSTRIES INCCOM45774W10867922,216SH DFND222,21600
INTERVAL LEISURE GROUP INCCOM46113M10821114,571SH DFND114,57100
INVESCO MORTGAGE CAPITAL INCCOM46131B10098480,800SH DFND180,80000
INVESCO MORTGAGE CAPITAL INCCOM46131B1001,497122,900SH DFND2122,90000
JPMORGAN CHASE & COCOM46625H10015,397260,000SH DFND1260,00000
JPMORGAN CHASE & COCOM46625H1002,96150,000SH DFND350,00000
KKR & CO L P DELCOM UNITS48248M1023,101211,115SH DFND1211,11500
KKR & CO L P DELCOM UNITS48248M1027,722525,685SH DFND2525,68500
KKR & CO L P DELCOM UNITS48248M1024,316293,800SH DFND3293,80000
KELLOGG COCOM4878361082,97438,850SH DFND138,85000
LCNB CORPCOM50181P1001,845114,785SH DFND1114,78500
LCNB CORPCOM50181P100322,000SH DFND32,00000
LEGG MASON INCCOM5249011052,87983,000SH DFND183,00000
LEGG MASON INCCOM5249011052,84482,000SH DFND282,00000
LEUCADIA NATL CORPCOM5272881041287,896SH DFND17,89600
LEUCADIA NATL CORPCOM5272881041348,315SH DFND28,31500
LEUCADIA NATL CORPCOM5272881044263SH DFND326300
LINN ENERGY LLCUNIT LTD LIAB5360201002671,631SH DFND271,63100
LIVE OAK BANCSHARES INCCOM53803X10517511,634SH DFND111,63400
MDC PARTNERS INCCL A SUB VTG55269710424110,220SH DFND110,22000
MFA FINL INCCOM55272X10217125,000SH DFND125,00000
MFA FINL INCCOM55272X10217125,000SH DFND225,00000
MYR GROUP INC DELCOM55405W10447919,060SH DFND119,06000
MARATHON OIL CORPCOM5658491062,206198,000SH DFND2198,00000
MASTEC INCCOM57632310922010,884SH DFND110,88400
MEDLEY CAP CORPCOM58503F1067,3211,109,285SH DFND11,109,28500
MEDLEY CAP CORPCOM58503F1067,1981,090,573SH DFND21,090,57300
MEDLEY MGMT INCCL A COM58503T1061,665302,750SH DFND1302,75000
MEDLEY MGMT INCCL A COM58503T1061,520276,350SH DFND3276,35000
MERCER INTL INCCOM58805610124826,188SH DFND126,18800
METLIFE INCCOM59156R1087,690175,000SH DFND1175,00000
MICROSEMI CORPCOM5951371003729,699SH DFND19,69900
NII HLDGS INCCOM PAR $0.00162913F50815327,642SH DFND127,64200
NII HLDGS INCCOM PAR $0.00162913F50843879,223SH DFND279,22300
NMI HLDGS INCCL A6292093052,333462,000SH DFND1462,00000
NMI HLDGS INCCL A6292093054,676926,000SH DFND2926,00000
NATIONAL INTERSTATE CORPCOM63654U100305,18410,200,000SH DFND110,200,00000
NEW YORK CMNTY BANCORP INCCOM6494451035,565350,000SH DFND1350,00000
NORTHSTAR RLTY FIN CORPCOM66704R80320,6741,575,750SH DFND11,575,75000
NORTHSTAR RLTY FIN CORPCOM66704R8032,057156,750SH DFND2156,75000
NORTHSTAR REALTY EUROPE CORPCOM66706L1011,730149,166SH DFND1149,16600
OAKTREE CAP GROUP LLCUNIT CL A6740012011,23325,000SH DFND125,00000
OAKTREE CAP GROUP LLCUNIT CL A6740012011,23325,000SH DFND225,00000
OMEROS CORPCOM6821431024,388286,040SH DFND1286,04000
OMEROS CORPCOM6821431026,582429,061SH DFND2429,06100
OPUS BK IRVINE CALIFCOM6840001022557,506SH DFND17,50600
ORGANOVO HLDGS INCCOM68620A10419991,500SH DFND191,50000
ORGANOVO HLDGS INCCOM68620A104347160,000SH DFND2160,00000
PDVWIRELESS INCCOM69290R10414,595425,000SH DFND1425,00000
PDVWIRELESS INCCOM69290R10423,609687,500SH DFND2687,50000
PJT PARTNERS INCCOM CL A69343T107271,110SH DFND11,11000
PJT PARTNERS INCCOM CL A69343T1072098,690SH DFND28,69000
PARTY CITY HOLDCO INCCOM70214910524416,228SH DFND116,22800
PAYPAL HLDGS INCCOM70450Y1032,23958,000SH DFND158,00000
PEAK RESORTS INCCOM70469L1004,2361,245,986SH DFND11,245,98600
PENSKE AUTOMOTIVE GRP INCCOM70959W10375820,000SH DFND120,00000
PERFICIENT INCCOM71375U10136916,995SH DFND116,99500
POTBELLY CORPCOM73754Y10040830,000SH DFND130,00000
POTBELLY CORPCOM73754Y1001,361100,000SH DFND2100,00000
POTBELLY CORPCOM73754Y10095370,000SH DFND370,00000
PROSPECT CAPITAL CORPORATIONNOTE 5.875% 1/174348TAM44750,000PRN DFND150,00000
PROSPECT CAPITAL CORPORATIONNOTE 5.875% 1/174348TAM4795850,000PRN DFND2850,00000
PROSPECT CAPITAL CORPORATIONNOTE 5.875% 1/174348TAM494100,000PRN DFND3100,00000
PROSPECT CAPITAL CORPORATIONNOTE 4.750% 4/174348TAQ5106120,000PRN DFND1120,00000
PROSPECT CAPITAL CORPORATIONNOTE 4.750% 4/174348TAQ510,39211,760,000PRN DFND211,760,00000
PROSPECT CAPITAL CORPORATIONNOTE 4.750% 4/174348TAQ5283320,000PRN DFND3320,00000
PROSPECT CAPITAL CORPORATIONCOM74348T1023,635500,000SH DFND1500,00000
PROSPECT CAPITAL CORPORATIONCOM74348T1023,635500,000SH DFND2500,00000
PROVIDENT FINL SVCS INCCOM74386T10529214,439SH DFND114,43900
PRUDENTIAL FINL INCCOM74432010217,152237,500SH DFND1237,50000
PRUDENTIAL FINL INCCOM7443201028,762121,323SH DFND3121,32300
RAMCO-GERSHENSON PPTYS TRCOM SH BEN INT75145220231317,345SH DFND117,34500
REAL IND INCCOM75601W10422325,678SH DFND125,67800
REGAL BELOIT CORPCOM7587501032003,172SH DFND13,17200
RESOLUTE FST PRODS INCCOM76117W1092,612474,084SH DFND1474,08400
RESOLUTE FST PRODS INCCOM76117W1094,274775,627SH DFND2775,62700
RESOLUTE FST PRODS INCCOM76117W10917131,125SH DFND331,12500
REVOLUTION LIGHTING TECHNOLOCOM NEW76155G2062,847541,285SH DFND1541,28500
REVOLUTION LIGHTING TECHNOLOCOM NEW76155G2062,847541,285SH DFND2541,28500
REXFORD INDL RLTY INCCOM76169C10081745,000SH DFND145,00000
REXFORD INDL RLTY INCCOM76169C1001,907105,000SH DFND2105,00000
ROYAL DUTCH SHELL PLCSPON ADR B7802591073948,000SH DFND18,00000
ROYAL DUTCH SHELL PLCSPON ADR B7802591077,477152,000SH DFND2152,00000
ROYAL DUTCH SHELL PLCSPONS ADR A7802592063156,500SH DFND16,50000
RUDOLPH TECHNOLOGIES INCCOM78127010326319,278SH DFND119,27800
SCRIPPS NETWORKS INTERACT INCL A COM8110651019,956152,000SH DFND1152,00000
SCRIPPS NETWORKS INTERACT INCL A COM8110651016,09293,000SH DFND293,00000
STARWOOD PPTY TR INCCOM85571B10528415,000SH DFND115,00000
STARWOOD PPTY TR INCCOM85571B10528415,000SH DFND215,00000
STONEGATE MTG CORPCOM86181Q3007,5821,320,830SH DFND11,320,83000
STONEGATE MTG CORPCOM86181Q3007,3551,281,281SH DFND21,281,28100
STONERIDGE INCCOM86183P10227618,945SH DFND118,94500
SUNEDISON INCCOM86732Y109263486,000SH DFND2486,00000
SUNEDISON INCCOM86732Y109175324,000SH DFND3324,00000
SYNAPTICS INCCOM87157D1093284,108SH DFND14,10800
TECK RESOURCES LTDCL B87874220456474,100SH DFND174,10000
TECK RESOURCES LTDCL B87874220430540,000SH DFND240,00000
TORTOISE ENERGY INFRA CORPCOM89147L1003,942160,236SH DFND1160,23600
TORTOISE ENERGY INFRA CORPCOM89147L1002,17788,480SH DFND288,48000
TRIBUNE MEDIA COCL A89604750313,039340,000SH DFND1340,00000
TWO HBRS INVT CORPCOM90187B1013,652460,000SH DFND1460,00000
TWO HBRS INVT CORPCOM90187B10110,3621,305,000SH DFND21,305,00000
TWO HBRS INVT CORPCOM90187B1013,136395,000SH DFND3395,00000
USA COMPRESSION PARTNERS LPCOMUNIT LTDPAR90290N10917615,000SH DFND115,00000
USA COMPRESSION PARTNERS LPCOMUNIT LTDPAR90290N1091,879159,871SH DFND2159,87100
VANGUARD INTL EQUITY INDEX FFTSE SMCAP ETF9220427182202,351SH DFND12,35100
VANGUARD INTL EQUITY INDEX FALLWRLD EX US9220427753147,265SH DFND17,26500
VANGUARD INDEX FDSS&P 500 ETF SHS9229083636363,375SH DFND13,37500
VANGUARD INDEX FDSREIT ETF9229085534275,089SH DFND15,08900
VANGUARD INDEX FDSEXTEND MKT ETF9229086524455,380SH DFND15,38000
VERIZON COMMUNICATIONS INCCOM92343V1042,86652,994SH DFND252,99400
VERISK ANALYTICS INCCOM92345Y10614,880186,191SH DFND1186,19100
VIAD CORPCOM NEW92552R4062929,997SH DFND19,99700
VIACOM INC NEWCL B92553P20119,300467,550SH DFND1467,55000
VIACOM INC NEWCL B92553P2019,389227,450SH DFND3227,45000
VOLTARI CORPCOM NEW92870X309225,652SH DFND15,65200
VOLTARI CORPCOM NEW92870X309338,478SH DFND28,47800
VONAGE HLDGS CORPCOM92886T20123751,848SH DFND151,84800
WELLS FARGO & CO NEWCOM94974610113,154272,000SH DFND1272,00000
WEST CORPCOM95235520428512,509SH DFND112,50900
XCERRA CORPCOM98400J10824938,140SH DFND138,14000