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 eliminated positions of CR Intrinsic Investors LLC are listed below, ordered by the number of shares sold during the three months ended Sep. 30.

 
Company Name                    Ticker            Change 
 
 
TALISMAN ENERGY INC  COM        TLM          (1,540,000) 
MYLAN (MYLAN LABS) INC  COM     MYL          (1,200,000) 
MAKO SURGICAL CORP  COM         MAKO         (1,067,948) 
AVANIR PHARMACEUTICALS INC  CL  AVNR           (898,538) 
VOLCANO CORP INC  COM           VOLC           (850,000) 
VIVUS INC  COM                  VVUS           (660,000) 
ROVI CORP  COM                  ROVI           (650,000) 
AMERICAN EAGLE OUTFITTERS INC   AEO            (500,000) 
GENERAL ELECTRIC CO  COM        GE             (500,000) 
GTX INC  COM                    GTXI           (481,166) 
GENERAC HOLDINGS INC  COM       GNRC           (450,000) 
RIVERBED TECHNOLOGY INC  COM    RVBD           (444,700) 
MONDELEZ INTERNATIONAL INC  CL  MDLZ           (420,000) 
FIFTH & PACIFIC COS INC  COM    FNP            (412,000) 
CBS CORP  CL B                  CBS            (400,000) 
MOLINA HEALTHCARE INC  COM      MOH            (394,506) 
OWENS ILLINOIS INC  COM         OI             (390,000) 
CROWN CASTLE INTERNATIONAL COR  CCI            (375,000) 
FREESCALE SEMICONDUCTOR HLDGS   FSL            (370,000) 
BAZAARVOICE INC  COM            BV             (359,600) 
QUALITY SYSTEMS INC  COM        QSII           (350,000) 
ARRIS GROUP INC  COM            ARRS           (330,100) 
WYNDHAM WORLDWIDE CORP  COM     WYN            (326,700) 
GREENWAY MEDICAL TECHNOLOGIES   GWAY           (307,286) 
COPART INC  COM                 CPRT           (300,000) 
TEMPUR SEALY INTERNATIONAL INC  TPX            (280,000) 
DEAN FOODS CO  COM              DF             (275,000) 
FACEBOOK INC  CL A              FB             (270,501) 
AMIRA NATURE FOODS LTD  COM     ANFI           (260,850) 
WEST PHARMACEUTICAL SERVICES    WST            (250,000) 
NEXSTAR BROADCASTING  CL A      NXST           (246,764) 
URBAN OUTFITTERS INC  COM       URBN           (246,000) 
FLUIDIGM CORP  COM              FLDM           (240,993) 
PANDORA MEDIA INC  COM          P              (231,001) 
WALT DISNEY CO  COM             DIS            (230,000) 
VIACOM INC  CL B                VIAB           (225,200) 
RPM INTERNATIONAL INC  COM      RPM            (225,000) 
MEAD JOHNSON NUTRITION CO  COM  MJN            (225,000) 
DISCOVERY COMMUNICATIONS INC    DISCK          (225,000) 
YELP INC  CL A                  YELP           (201,001) 
BELO CORP  CL A                 BLC            (200,000) 
ALIGN TECHNOLOGY INC  COM       ALGN           (200,000) 
SCRIPPS NETWORKS INTERACTIVE    SNI            (200,000) 
INVENSENSE INC  COM             INVN           (184,592) 
ACCELERATE DIAGNOSTICS INC  CO  AXDX           (182,243) 
BED BATH & BEYOND INC  COM      BBBY           (170,000) 
ROBERT HALF INTERNATIONAL INC   RHI            (162,010) 
SHIRE PLC  ADR                  SHPG           (160,000) 
FMC CORP  COM                   FMC            (150,000) 
MARSH & MCLENNAN COS INC  COM   MMC            (150,000) 
MANCHESTER UNITED PLC  CL A     MANU           (150,000) 
HCC INSURANCE HOLDINGS INC  CO  HCC            (147,719) 
TESARO INC  COM                 TSRO           (139,000) 
CYBERONICS INC  COM             CYBX           (135,000) 
PETSMART INC  COM               PETM           (130,000) 
SIRONA DENTAL SYSTEMS INC  COM  SIRO           (130,000) 
ATHENAHEALTH INC  COM           ATHN           (130,000) 
QIAGEN NV  ORD                  QGEN           (125,740) 
DANA HOLDING CORP  COM          DAN            (125,000) 
CATAMARAN CORP  COM             CTRX           (125,000) 
FORTINET INC  COM               FTNT           (124,860) 
INTUIT INC  COM                 INTU           (120,677) 
FIBRIA CELULOSE SA  ADR         FBR            (120,000) 
NXSTAGE MEDICAL INC  COM        NXTM           (119,947) 
ACTAVIS PLC  ORD                ACT            (112,000) 
HASBRO INC  COM                 HAS            (112,000) 
XL GROUP PLC  ORD               XL             (107,685) 
AMAG PHARMACEUTICALS INC  COM   AMAG           (107,282) 
METLIFE INC  COM                MET            (106,300) 
LIFEPOINT HOSPITALS INC  COM    LPNT           (105,000) 
VALIDUS HOLDINGS LTD  COM       VR             (105,000) 
WESCO INTERNATIONAL INC  COM    WCC            (105,000) 
FAIRWAY GROUP HOLDINGS CORP  C  FWM            (100,027) 
OCWEN FINANCIAL CORP  COM       OCN            (100,000) 
ABIOMED INC  COM                ABMD           (100,000) 
SYMETRA FINANCIAL CORP  COM     SYA             (95,000) 
VISA INC  CL A                  V               (93,001) 
EOG RESOURCES INC  COM          EOG             (90,000) 
TWENTY FIRST CENTURY FOX INC    FOXA            (86,300) 
CLEAN HARBORS INC  COM          CLH             (85,000) 
THERAVANCE INC  COM             THRX            (80,000) 
ARTHUR J GALLAGHER & CO  COM    AJG             (77,899) 
CABLEVISION SYSTEMS CORP  CL A  CVC             (77,290) 
QUEST DIAGNOSTICS INC  COM      DGX             (75,000) 
PETROBRAS  ADR                  PBR             (75,000) 
STAGE STORES INC  COM           SSI             (71,900) 
TABLEAU SOFTWARE INC  CL A      DATA            (71,001) 
GROUP 1 AUTOMOTIVE INC  COM     GPI             (70,000) 
CITIGROUP INC  COM              C               (65,000) 
AUTODESK INC  COM               ADSK            (61,865) 
WALTER ENERGY INC  COM          WLT             (60,000) 
UNITED CONTINENTAL HOLDINGS IN  UAL             (60,000) 
MOSAIC CO  COM                  MOS             (50,007) 
PENTAIR LTD  COM                PNR             (50,000) 
UNITED RENTALS INC  COM         URI             (50,000) 
VISTEON CORP  COM               VC              (50,000) 
OPKO HEALTH INC  COM            OPK             (50,000) 
AMERICAN FINANCIAL GROUP INC    AFG             (49,908) 
RANGE RESOURCES CORP  COM       RRC             (45,000) 
STARBUCKS CORP  COM             SBUX            (44,800) 
AIRGAS INC  COM                 ARG             (40,000) 
DEUTSCHE BANK AG  ORD           DB              (40,000) 
MWI VETERINARY SUPPLY INC  COM  MWIV            (36,653) 
LUMINEX CORP/DEL  COM           LMNX            (36,600) 
NEWLINK GENETICS CORP  COM      NLNK            (36,404) 
EQT CORP  COM                   EQT             (30,000) 
MARATHON PETROLEUM CORP  COM    MPC             (25,000) 
GANNETT INC  COM                GCI             (25,000) 
PRUDENTIAL FINANCIAL INC  COM   PRU             (25,000) 
TIVO INC  COM                   TIVO            (25,000) 
MARTIN MARIETTA MATERIALS INC   MLM             (25,000) 
ALERE INC  COM                  ALR             (25,000) 
NATIONSTAR MORTGAGE HOLDINGS I  NSM             (20,000) 
TRANSDIGM GROUP INC  COM        TDG             (10,000) 
VALERO ENERGY CORP  COM         VLO             (10,000) 
NUANCE COMMUNICATIONS INC  COM  NUAN             (5,000) 
PFIZER INC  COM                 PFE              (3,792) 

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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