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

 
Company Name                             Value      Holdings          Change 
 
 
SUPERVALU INC  COM                  $8,525,457     1,035,900     (1,964,600) 
SEQUENOM INC  COM                  $12,682,500     4,750,000     (1,340,000) 
FREEPORT MCMORAN COPPER  CL B      $12,735,800       385,000     (1,315,000) 
SERVICE CORP INTERNATIONAL  CO     $16,758,000       900,000     (1,250,000) 
MRC GLOBAL INC  COM                 $2,680,000       100,000       (691,953) 
OFFICEMAX INC  COM                 $20,464,000     1,600,000       (650,000) 
TORNIER NV  COM                     $7,732,000       400,000       (630,140) 
NQ MOBILE INC  ADR A               $13,432,554       616,455       (576,638) 
GOODYEAR TIRE & RUBBER CO  COM     $28,567,012     1,272,416       (477,584) 
HEALTH NET INC  COM                $17,435,000       550,000       (475,000) 
LIBERTY GLOBAL PLC  CL C            $2,821,082        37,400       (412,800) 
HCA HOLDINGS INC  COM              $17,100,000       400,000       (400,000) 
MEADWESTVACO CORP  COM             $10,773,228       280,699       (387,301) 
GLOBUS MEDICAL INC  CL A            $4,801,500       275,000       (358,375) 
FLOWERS FOODS INC  COM              $5,016,960       234,000       (336,000) 
OREXIGEN THERAPEUTICS INC  COM      $3,918,449       639,225       (315,379) 
ALLSCRIPTS HEALTHCARE SOLUTION     $10,185,950       685,000       (315,000) 
BEST BUY INC  COM                   $7,725,000       206,000       (305,000) 
GNC HOLDINGS INC  CL A             $17,700,120       324,000       (285,500) 
MASCO CORP  COM                     $9,576,000       450,000       (285,000) 
INTELSAT SA  COM                    $5,171,376       215,474       (275,000) 
EXPRESS SCRIPTS HOLDING CO  CO      $1,545,000        25,000       (275,000) 
LIBERTY GLOBAL PLC  CL A           $12,505,560       157,600       (266,700) 
ABBOTT LABS  COM                    $1,659,500        50,000       (225,000) 
NORWEGIAN CRUISE LINE HOLDINGS      $6,756,150       219,000       (205,000) 
AUTONATION INC  COM                 $6,260,400       120,000       (200,000) 
YY INC  ADR                         $4,958,680       106,000       (199,700) 
COLONY FINANCIAL INC  COM           $1,698,300        85,000       (195,000) 
AO SMITH CORP  COM                  $2,712,000        60,000       (190,000) 
MICROS SYSTEMS INC  COM             $2,901,514        58,100       (184,173) 
MICHAEL KORS HOLDINGS LTD  COM      $4,471,200        60,000       (183,315) 
LIGHTINTHEBOX HOLDING CO LTD        $2,261,229       190,821       (178,979) 
BRUNSWICK CORP  COM                 $4,988,750       125,000       (177,000) 
NEW RESIDENTIAL INVESTMENT  CO      $2,151,500       325,000       (175,000) 
CORNERSTONE ONDEMAND INC  COM       $5,195,491       101,001       (170,000) 
CONNS INC  COM                      $6,553,930       131,000       (149,000) 
RESTORATION HARDWARE HLDGS INC      $1,040,967        16,432       (132,500) 
LOWES COS INC  COM                 $31,793,958       667,800       (130,500) 
CARMAX INC  COM                     $9,893,696       204,120       (122,000) 
TIME WARNER CABLE INC  COM            $558,000         5,000       (117,500) 
ROCK TENN CO  CL A                 $10,248,524       101,200       (116,300) 
MOHAWK INDUSTRIES INC  COM          $2,735,250        21,000       (112,500) 
SYNAGEVA BIOPHARMA CORP  COM          $633,920        10,000       (108,161) 
LAS VEGAS SANDS CORP  COM          $10,926,090       164,500       (108,000) 
T MOBILE US INC  COM               $15,582,000       600,000       (105,000) 
AMERICAN EQUITY INVT LIFE HLDG      $1,591,500        75,000       (100,000) 
KAMADA LTD  ORD                     $2,919,557       191,523        (98,395) 
PVH CORP  COM                      $23,797,345       200,500        (96,600) 
CANADIAN PACIFIC RAILWAY LTD        $7,398,000        60,000        (95,000) 
SPECTRANETICS CORP  COM             $8,308,843       494,574        (90,426) 
AMAZON.COM INC  COM                $15,944,953        51,001        (90,200) 
MOMENTA PHARMACEUTICALS INC  C      $2,302,400       160,000        (90,000) 
EXPEDIA INC  COM                   $16,838,250       325,000        (86,001) 
MADISON SQUARE GARDEN CO  CL A      $5,807,000       100,000        (85,000) 
PACKAGING CORP OF AMERICA  COM     $24,263,250       425,000        (80,000) 
TRIUMPH GROUP INC  COM              $1,755,500        25,000        (75,000) 
TYSON FOODS INC  CL A               $9,191,000       325,000        (75,000) 
BOEING CO  COM                      $4,700,000        40,000        (73,300) 
TRIPADVISOR INC  COM               $17,519,116       231,001        (70,000) 
QIHOO 360 TECHNOLOGY CO LTD  A     $20,583,680       247,400        (66,100) 
REPROS THERAPEUTICS INC  COM        $1,680,360        62,700        (62,300) 
RENAISSANCERE HOLDINGS LTD  CO     $34,022,985       375,820        (57,780) 
ALEXION PHARMACEUTICALS INC  C      $1,161,600        10,000        (56,001) 
TOLL BROTHERS INC  COM              $1,135,082        35,001        (55,999) 
SENSATA TECHNOLOGIES HOLDING N      $5,357,800       140,000        (52,500) 
SAGENT PHARMACEUTICALS INC  CO      $1,911,011        93,677        (51,473) 
CITRIX SYSTEMS INC  COM            $18,005,550       255,000        (50,922) 
SOUFUN HOLDINGS LTD  ADR            $5,037,998        97,560        (50,140) 
GENERAL MOTORS CO  COM             $10,791,000       300,000        (45,000) 
DRESSER RAND GROUP INC  COM         $2,496,000        40,000        (45,000) 
LOUISIANA PACIFIC CORP  COM        $21,053,049     1,196,876        (43,124) 
RELIANCE STEEL & ALUMINUM CO       $15,386,700       210,000        (40,000) 
W R BERKLEY CORP  COM                 $343,437         8,013        (31,987) 
ARTHROCARE CORP  COM                $3,606,673       101,368        (30,800) 
NETFLIX INC  COM                   $21,954,219        71,001        (30,000) 
STANDARD PACIFIC CORP  COM          $2,610,300       330,000        (30,000) 
BEAM INC  COM                       $2,262,750        35,000        (30,000) 
W R GRACE & CO  COM                 $6,555,000        75,000        (25,000) 
AUTOZONE INC  COM                   $4,227,300        10,000        (20,000) 
LENNOX INTERNATIONAL INC  COM       $2,257,800        30,000        (20,000) 
DISCOVER FINANCIAL SERVICES  C      $3,032,400        60,000        (15,000) 
CARDINAL HEALTH INC  COM            $6,258,000       120,000         (5,000) 
CAPITAL SENIOR LIVING CORP  CO      $1,374,750        65,000         (5,000) 
ROSS STORES INC  COM               $21,570,640       296,300         (2,700) 
PRICELINE COM INC  COM             $15,165,261        15,001         (1,699) 

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

Packaging (NYSE:PKG)
Historical Stock Chart
From Feb 2024 to Mar 2024 Click Here for more Packaging Charts.
Packaging (NYSE:PKG)
Historical Stock Chart
From Mar 2023 to Mar 2024 Click Here for more Packaging Charts.