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 sales of Kingdon Capital Management LLC are listed below, ordered by the number of shares sold during the three months ended Sep. 30.

 
Company Name                             Value      Holdings          Change 
 
 
MICRON TECHNOLOGY INC  COM          $8,734,500       500,000       (700,000) 
REPROS THERAPEUTICS INC  COM       $11,160,002       416,418       (300,000) 
ANACOR PHARMACEUTICALS INC  CO     $18,078,426     1,702,300       (255,000) 
COCA COLA ENTERPRISES INC  COM     $25,368,368       630,897       (230,000) 
OPKO HEALTH INC  COM                $3,283,249       372,673       (177,327) 
ZOETIS INC  CL A                    $9,336,000       300,000       (160,000) 
CEMPRA INC  COM                     $6,567,892       571,121       (150,000) 
EDGEN GROUP INC  CL A               $3,552,240       467,400       (135,856) 
HCA HOLDINGS INC  COM             $102,465,594     2,396,856       (128,440) 
INTERMUNE INC  COM                  $5,033,874       327,300       (125,000) 
INFORMATICA CORP  COM               $9,742,500       250,000       (125,000) 
IMPAX LABORATORIES INC  COM         $1,125,850        55,000       (105,000) 
AXIALL CORP  COM                    $5,668,500       150,000       (100,000) 
CHEESECAKE FACTORY INC  COM         $6,232,110       141,800        (82,220) 
CST BRANDS INC  COM                 $8,940,000       300,000        (75,000) 
ZELTIQ AESTHETICS INC  COM          $6,112,629       677,675        (74,112) 
GILEAD SCIENCES INC  COM            $3,633,886        57,800        (66,200) 
UNIVERSAL HEALTH SERVICES INC       $7,446,507        99,300        (59,200) 
NEXSTAR BROADCASTING  CL A         $17,802,000       400,000        (50,000) 
EMERGENT BIOSOLUTIONS INC  COM     $13,566,057       712,129        (36,975) 
DECKERS OUTDOOR CORP  COM           $5,072,478        76,949        (30,391) 
DUNKIN BRANDS GROUP INC  COM        $3,027,985        66,902        (28,478) 
COBALT INTERNATIONAL ENERGY IN      $8,079,500       325,000        (25,000) 
CARLISLE COS INC  COM               $7,029,000       100,000        (25,000) 
HEALTHSOUTH CORP  COM               $4,582,392       132,900        (25,000) 
OAKTREE CAP GROUP LLC UNIT CL       $3,926,250        75,000        (25,000) 
STARBUCKS CORP  COM                $11,930,350       155,000        (13,790) 
AEGERION PHARMACEUTICALS INC       $41,947,271       489,181        (10,666) 
PACIRA PHARMACEUTICALS INC  CO      $3,258,716        67,784         (9,000) 
ANHEUSER BUSCH INBEV SA  ADR        $6,944,000        70,000         (5,420) 
COMMUNITY HEALTH SYSTEMS INC        $2,075,000        50,000         (5,000) 
BEAM INC  COM                       $5,906,424        91,360         (5,000) 
SINA CORP (SINA.COM)  ORD          $13,798,900       170,000         (5,000) 

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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