DJ CFA SOURCE: SEC 13F-HR 
FILER: CR Intrinsic Investors LLC 
QUARTER ENDED: 09/30/2013 
SEC RECEIVED: 11/14/2013 
 

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

 
Company Name                             Value      Holdings        Change 
 
 
OFFICE DEPOT INC  COM              $13,422,304     2,778,945     2,453,600 
SPRINT CORP  COM                   $11,906,897     1,914,600     1,914,600 
RITE AID CORP  COM                 $12,614,000     2,650,000     1,850,000 
MANNKIND CORP  COM                  $7,410,000     1,300,000     1,300,000 
EMERITUS CORP  COM                 $23,625,750     1,275,000     1,275,000 
QUIKSILVER INC  COM                 $8,189,950     1,165,000     1,165,000 
PGT INC  COM                       $10,380,618     1,048,018     1,048,018 
HERTZ GLOBAL HOLDINGS INC  COM     $31,288,568     1,411,939     1,036,939 
INTERPUBLIC GROUP OF COS  COM      $16,621,650       967,500       967,500 
WEATHERFORD INTERNATIONAL LTD      $24,144,750     1,575,000       875,000 
SUNEDISON INC  COM                  $6,944,261       871,300       871,300 
MGM RESORTS INTERNATIONAL  COM     $17,680,600       865,000       865,000 
ACCRETIVE HEALTH INC  COM           $7,752,000       850,000       850,000 
CADENCE PHARMACEUTICALS INC  C      $4,819,009       764,922       764,922 
RF MICRO DEVICES INC  COM           $4,312,908       764,700       764,700 
VERIZON COMMUNICATIONS INC  CO     $35,006,250       750,000       750,000 
HEALTHWAYS INC  COM                $12,031,500       650,000       650,000 
REALOGY HOLDINGS CORP  COM         $41,522,259       965,185       612,700 
SEAWORLD ENTERTAINMENT INC  CO     $21,839,473       737,073       592,073 
HOME DEPOT INC  COM                $46,304,984       610,481       579,481 
AIR METHODS CORP  COM              $21,281,000       500,000       500,000 
THRESHOLD PHARMACEUTICALS INC       $2,112,300       454,258       454,258 
JDS UNIPHASE INC  COM              $11,615,031       789,601       444,601 
OWENS CORNING  COM                 $35,913,888       945,600       410,300 
PROASSURANCE CORP  COM             $23,601,256       523,774       409,497 
MARRIOTT INTERNATIONAL INC  CL     $21,030,000       500,000       400,000 
PENNEY J C INC  COM                 $3,522,000       400,000       400,000 
21VIANET GROUP INC  ADR A           $6,593,428       399,844       399,844 
EDWARDS LIFESCIENCES CORP  COM     $26,459,400       380,000       380,000 
AGILENT TECHNOLOGIES INC  COM      $19,218,750       375,000       375,000 
WRIGHT MEDICAL GROUP INC  COM      $10,432,000       400,000       370,000 
BARRICK GOLD CORP  COM              $6,703,200       360,000       360,000 
THORATEC CORP  COM                 $13,051,500       350,000       350,000 
MERGE HEALTHCARE INC  COM             $912,928       349,781       349,781 
FINISH LINE INC  CL A               $8,580,150       345,000       345,000 
LIONS GATE ENTERTAINMENT CORP      $11,917,000       340,000       340,000 
DISH NETWORK CORP  CL A            $24,417,925       542,500       335,000 
WELLPOINT INC  COM                 $27,173,250       325,000       325,000 
MYRIAD GENETICS INC  COM            $7,637,500       325,000       325,000 
VERASTEM INC  COM                   $4,006,124       321,777       321,777 
BOISE CASCADE CO  COM              $18,757,200       696,000       321,200 
BLOOMIN BRANDS INC  COM             $7,437,150       315,000       315,000 
THIRD POINT REINSURANCE LTD  C      $4,498,000       310,421       310,421 
HARTFORD FINANCIAL SERVICES GR      $9,491,600       305,000       305,000 
NEWS CORP  CL A                     $4,818,016       300,001       300,001 
AETNA INC  COM                     $19,206,000       300,000       300,000 
ARUBA NETWORKS INC  COM             $8,237,349       495,033       296,985 
RESMED INC  COM                    $15,090,674       285,700       285,700 
GRAPHIC PACKAGING HOLDING  COM      $2,439,600       285,000       285,000 
SILVER SPRING NETWORKS INC  CO      $4,825,642       278,456       278,456 
ONCOMED PHARMACEUTICALS INC  C      $4,142,764       270,592       270,592 
SYNERON MEDICAL LTD  ORD            $2,327,400       270,000       270,000 
ALLERGAN INC  COM                  $24,240,600       268,000       268,000 
WEBMD HEALTH CORP  CL A            $30,548,500     1,070,000       260,000 
AMC NETWORKS INC  CL A             $22,536,500       329,000       256,990 
BERRY PLASTICS GROUP INC  COM       $5,092,350       255,000       255,000 
SEALED AIR CORP  COM                $6,797,500       250,000       250,000 
WHOLE FOODS MARKET INC  COM        $14,625,000       250,000       250,000 
SPROUTS FARMERS MARKETS INC  C     $11,053,110       249,000       249,000 
MACYS INC  COM                     $10,384,800       240,000       240,000 
OLD DOMINION FREIGHT LINES INC     $10,577,700       230,000       230,000 
EMULEX CORP  COM                    $2,135,552       275,200       225,200 
ACHILLION PHARMACEUTICALS INC         $679,500       225,000       225,000 
SBA COMMUNICATIONS CORP  COM       $18,103,500       225,000       225,000 
NORTHSTAR REALTY FINANCE CORP       $7,424,000       800,000       225,000 
CONAGRA FOODS INC  COM             $11,984,300       395,000       225,000 
DOLLAR GENERAL CORP  COM           $20,534,502       363,700       218,500 
FLEETMATICS GROUP PLC  COM          $8,067,918       214,858       214,858 
CHEMTURA CORP  COM                  $4,827,900       210,000       210,000 
HANESBRANDS INC  COM               $12,991,635       208,500       208,500 
LAMAR ADVERTISING CO  CL A         $18,007,787       382,900       207,900 
TENET HEALTHCARE CORP  COM          $8,238,000       200,000       200,000 
SUNPOWER CORP  COM                  $5,232,000       200,000       200,000 
COMPUWARE CORP  COM                $19,023,000     1,700,000       200,000 
CIGNA CORP  COM                    $15,372,000       200,000       200,000 
REGAL ENTERTAINMENT GROUP  CL       $3,796,000       200,000       200,000 
MELLANOX TECHNOLOGIES LTD  ORD      $7,499,607       197,488       197,488 
NEUROCRINE BIOSCIENCES INC  CO      $2,198,887       194,248       194,248 
INSMED INC  COM                     $3,012,730       193,000       193,000 
SERVICESOURCE INTERNATIONAL IN      $2,295,200       190,000       190,000 
VOCERA COMMUNICATIONS INC  COM     $15,531,000       835,000       185,000 
ANHEUSER BUSCH INBEV SA  ADR       $17,310,400       174,500       174,500 
VENTAS INC  COM                    $10,584,150       172,100       172,100 
EBAY INC  COM                      $26,279,501       471,001       170,000 
ESTEE LAUDER COMPANIES INC  CL     $13,980,000       200,000       169,300 
CONSTELLIUM NV  CL A                $3,104,000       160,000       160,000 
MONSTER BEVERAGE CORP  COM          $7,837,500       150,000       150,000 
TIMKEN CO  COM                      $9,060,000       150,000       150,000 
TIM PARTICIPACOES SA  ADR           $3,535,500       150,000       150,000 
AMETEK INC  COM                     $8,283,600       180,000       144,500 
SCIQUEST INC  COM                   $3,201,044       142,522       142,522 
CRANE CO  COM                       $8,633,800       140,000       140,000 
FIDELITY NATIONAL FINANCIAL  C      $3,591,000       135,000       135,000 
BIOMED REALTY TRUST INC  COM        $2,416,700       130,000       130,000 
AON PLC  CL A                       $9,305,000       125,000       125,000 
LYONDELLBASELL INDUSTRIES  ORD     $21,969,000       300,000       125,000 
SANOFI AVENTIS  ADR                 $6,328,750       125,000       125,000 
KONINKLIJKE PHILIPS NV  ADR         $4,031,250       125,000       125,000 
FOREST OIL CORP  COM                $4,575,000       750,000       125,000 
CROWN HOLDINGS INC  COM             $8,417,948       199,100       124,100 
INTUITIVE SURGICAL INC  COM        $48,915,100       130,000       122,600 
COCA COLA CO  COM                   $4,545,600       120,000       120,000 
USG CORP  COM                       $3,429,600       120,000       120,000 
PIER 1 IMPORTS INC  COM             $2,342,400       120,000       120,000 
PTC THERAPEUTICS INC  COM           $2,558,826       119,237       119,237 
ZOETIS INC  CL A                   $44,190,400     1,420,000       118,805 
METHANEX CORP  COM                 $11,535,750       225,000       115,000 
BARNES GROUP INC  COM               $3,841,200       110,000       110,000 
FOSSIL GROUP INC  COM              $16,854,800       145,000       110,000 
ACE LTD  ORD                        $9,889,292       105,700       105,700 
3D SYSTEMS CORP  COM                $7,018,700       130,000       105,000 
EAGLE MATERIALS INC  COM           $10,737,400       148,000       103,000 
AMERICAN EXPRESS CO  COM            $7,627,596       101,001       101,001 
SERVICENOW INC  COM                $10,442,002       201,001       100,000 
QLIK TECHNOLOGIES INC  COM          $3,423,000       100,000       100,000 
DOMINION DIAMOND CORP  COM          $4,571,250       375,000       100,000 
CHARTER COMMUNICATIONS INC  CL     $13,476,000       100,000       100,000 
MEDTRONIC INC  COM                  $5,325,000       100,000       100,000 
GOGO INC  COM                       $1,777,000       100,000       100,000 
OM GROUP INC  COM                   $3,210,553        95,043        95,043 
BROOKDALE SENIOR LIVING INC  C     $19,988,000       760,000        95,000 
EASTMAN CHEMICAL CO  COM           $21,812,000       280,000        90,000 
INTERNATIONAL PAPER CO  COM        $13,198,483       294,609        89,609 
COMCAST CORP  CL A                  $7,443,975       165,000        85,000 
PANERA BREAD CO  CL A              $13,316,520        84,000        84,000 
NATUS MEDICAL INC  COM              $1,164,660        82,134        82,134 
ROCKWOOD HOLDINGS INC  COM         $15,387,000       230,000        80,000 
INGERSOLL RAND PLC  ORD             $5,195,200        80,000        80,000 
BE AEROSPACE INC  COM               $5,905,600        80,000        80,000 
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