DJ CFA SOURCE: SEC 13F-HR 
FILER: Kingdon Capital Management LLC 
QUARTER ENDED: 09/30/2013 
SEC RECEIVED: 11/14/2013 
 

Up to 200 of the largest purchases of Kingdon Capital Management LLC are listed below, ordered by the number of shares bought during the three months ended Sep. 30.

 
Company Name                             Value      Holdings        Change 
 
 
CANADIAN SOLAR INC  COM            $19,198,700     1,130,000     1,130,000 
AMARIN CORP PLC  ADR               $10,536,369     1,667,147       825,000 
GOODRICH PETROLEUM CORP  COM       $16,274,300       670,000       670,000 
PATTERSON COMPANIES INC  COM       $26,120,250       650,000       650,000 
BROCADE COMMUNICATIONS SYSTEMS      $4,830,000       600,000       600,000 
TIBCO SOFTWARE INC  COM            $14,345,754       560,600       560,600 
ADT CORP  COM                      $32,528,000       800,000       550,000 
INTRALINKS HOLDINGS INC  COM        $4,719,994       536,363       536,363 
MACYS INC  COM                     $20,566,404       475,304       475,304 
GRAY TELEVISION INC  COM            $3,532,500       450,000       450,000 
AEROPOSTALE  COM                    $4,721,394       502,276       425,786 
HORIZON PHARMA INC  COM             $3,931,989     1,173,728       425,100 
VANDA PHARMACEUTICALS INC  COM      $9,292,718       848,650       402,800 
EXCO RESOURCES INC  COM             $4,718,000       700,000       400,000 
CEMEX SAB  ADR REP 10 PC 2A/1B      $5,170,750       462,500       400,000 
XOMA CORP  COM                      $6,062,829     1,350,296       375,296 
UNWIRED PLANET INC  COM             $9,022,549     5,215,346       365,346 
ADVANCED ENERGY INDUSTRIES INC      $6,109,992       348,943       348,943 
BOISE CASCADE CO  COM               $8,085,000       300,000       300,000 
LIN MEDIA LLC  CL A                 $6,087,000       300,000       300,000 
NXP SEMICONDUCTORS NV  COM         $22,698,100       610,000       290,000 
WHITING PETROLEUM CORP  COM        $17,356,500       290,000       290,000 
BOEING CO  COM                     $34,010,375       289,450       289,450 
BEST BUY INC  COM                  $12,640,875       337,090       274,100 
TESCO CORP  COM                     $4,352,650       263,000       263,000 
VULCAN MATERIALS CO  COM           $12,952,500       250,000       250,000 
ADTRAN INC  COM                     $6,576,936       246,882       246,882 
NQ MOBILE INC  ADR A                $5,338,550       245,000       245,000 
MELCO CROWN ENTERTAINMENT LTD      $14,323,500       450,000       231,000 
NEWELL RUBBERMAID INC  COM         $12,944,250       470,700       230,000 
SALESFORCE COM INC  COM            $11,835,480       228,000       228,000 
SCHLUMBERGER NV  COM               $19,881,000       225,000       225,000 
WEYERHAEUSER CO  COM                $6,441,750       225,000       225,000 
ONEOK PARTNERS LP  COM             $11,662,200       220,000       220,000 
F5 NETWORKS INC  COM               $18,877,760       220,000       220,000 
CITRIX SYSTEMS INC  COM            $14,122,000       200,000       200,000 
JOHNSON CONTROLS INC  COM           $8,300,000       200,000       200,000 
MAGNACHIP SEMICONDUCTOR  DPT S      $4,299,756       199,710       199,710 
BROADSOFT INC  COM                  $7,057,176       195,598       195,598 
PERRIGO CO  COM                    $24,096,114       195,300       195,300 
BERRY PLASTICS GROUP INC  COM       $5,507,626       275,795       165,000 
LAM RESEARCH CORP  COM              $8,299,674       162,103       162,103 
ARMSTRONG WORLD INDUSTRIES INC     $12,366,000       225,000       160,000 
EAGLE MATERIALS INC  COM           $11,245,250       155,000       155,000 
AVIS BUDGET GROUP INC  COM         $11,698,176       405,764       150,007 
GENERAL MOTORS CO  COM             $16,186,500       450,000       150,000 
NRG YIELD INC  CL A                 $4,543,500       150,000       150,000 
HOME DEPOT INC  COM                $25,612,800       337,677       148,000 
PEPSICO INC  COM                   $11,527,500       145,000       145,000 
MEDIA GENERAL INC  CL A             $2,046,766       143,532       143,532 
ACCENTURE PLC  CL A                 $9,492,196       128,900       128,900 
NATIONAL OILWELL VARCO INC  CO      $9,763,750       125,000       125,000 
MASONITE INTERNATIONAL CORP  C      $6,116,250       125,000       125,000 
ASSURED GUARANTY LTD  COM           $9,093,750       485,000       110,000 
REALOGY HOLDINGS CORP  COM          $4,302,000       100,000       100,000 
GOODYEAR TIRE & RUBBERR  PFD 5      $6,368,000       100,000       100,000 
W R GRACE & CO  COM                 $8,740,000       100,000       100,000 
FRANKS INTERNATIONAL NV  COM        $2,993,000       100,000       100,000 
EATON CORP PLC  COM                 $6,884,000       100,000       100,000 
CVS CAREMARK CORP  COM              $6,526,250       115,000        97,430 
LULULEMON ATHLETICA INC  COM        $6,435,440        88,000        88,000 
REGAL BELOIT CORP  COM              $5,943,875        87,500        87,500 
ANTARES PHARMA INC  COM             $2,334,500       575,000        75,000 
BED BATH & BEYOND INC  COM          $5,415,200        70,000        70,000 
UNITED CONTINENTAL HOLDINGS IN      $9,857,910       321,000        69,750 
ADVENT SOFTWARE INC  COM            $1,905,000        60,000        60,000 
CONCHO RESOURCES INC  COM          $17,409,600       160,000        60,000 
JARDEN CORP  COM                    $2,662,000        55,000        55,000 
TYSON FOODS INC  CL A               $4,242,000       150,000        51,780 
HERBALIFE LTD  COM                  $3,488,500        50,000        50,000 
USG CORP  COM                       $5,716,000       200,000        50,000 
OWENS CORNING  COM                  $1,899,000        50,000        50,000 
TRIUMPH GROUP INC  COM              $2,949,240        42,000        42,000 
SALIX PHARMACEUTICALS LTD  COM      $6,601,056        98,700        40,000 
AGILENT TECHNOLOGIES INC  COM       $2,050,000        40,000        40,000 
KOHLS CORP  COM                     $1,811,250        35,000        35,000 
GRACO INC  COM                      $2,439,462        32,939        32,939 
INTERCONTINENTALEXCHANGE GRO       $33,109,150       182,500        32,250 
SAGENT PHARMACEUTICALS INC  CO        $510,000        25,000        25,000 
TIMKEN CO  COM                      $7,550,000       125,000        25,000 
ACTAVIS PLC  ORD                            $0        57,000        25,000 
ISHARES MSCI MEXICO CAPPED ETF      $1,597,250        25,000        25,000 
AMGEN INC  COM                      $2,238,500        20,000        20,000 
CELGENE CORP  COM                   $2,400,838        15,576        15,576 
HAIN CELESTIAL GROUP INC  COM       $4,234,428        54,907        12,407 
MEDIVATION INC  COM                $16,903,080       282,000         9,806 

13F data provided by: FactSet Research Systems Inc.; Please send questions to lionsharesinfo@factset.com. Copyright, FactSet Research Systems, 2013. All Rights Reserved.

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