DJ CFA SOURCE: SEC 13F-HR 
FILER: HBK Investments LP 
QUARTER ENDED: 09/30/2013 
SEC RECEIVED: 11/14/2013 
 

Up to 200 of the largest sales of HBK Investments LP are listed below, ordered by the number of shares sold during the three months ended Sep. 30.

 
Company Name                             Value      Holdings          Change 
 
 
WHITEWAVE FOODS CO  CL A            $1,598,878        80,064     (2,391,430) 
MONDELEZ INTERNATIONAL INC  CL      $1,633,892        52,000     (1,483,200) 
KEY ENERGY SERVICES INC  COM        $1,155,618       158,521     (1,006,617) 
MGM RESORTS INTERNATIONAL  COM      $2,115,070       103,477       (629,523) 
PEABODY ENERGY CORP  COM            $6,385,950       370,200       (568,700) 
SANDRIDGE ENERGY INC  COM             $989,168       168,800       (456,100) 
HCA HOLDINGS INC  COM                 $760,736        17,795       (382,805) 
APOLLO GROUP  CL A NON-VTG            $601,409        28,900       (324,600) 
ATLANTIC POWER CORP  COM            $1,061,803       246,358       (290,522) 
AMERICAN EAGLE OUTFITTERS INC       $1,095,417        78,300       (282,176) 
CHIMERA INVESTMENT CORP  COM        $2,124,826       698,956       (280,994) 
CAREFUSION CORP  COM                $2,237,616        60,640       (259,860) 
ACTIVISION BLIZZARD INC  COM        $8,978,410       538,274       (252,847) 
TIME WARNER INC  COM                $2,303,350        35,000       (231,200) 
INTERNATIONAL GAME TECHNOLOGY         $293,415        15,500       (221,800) 
NOBLE CORP  ORD REG                 $3,803,439       100,700       (204,500) 
ELECTRONIC ARTS INC  COM            $4,972,030       194,600       (171,632) 
WISDOMTREE INVESTMENTS INC  CO      $1,483,768       127,900       (170,500) 
ADOBE SYSTEMS INC  COM              $4,778,480        92,000       (165,600) 
BROADCOM CORP  CL A                 $1,714,718        65,900       (159,566) 
BROCADE COMMUNICATIONS SYSTEMS        $783,265        97,300       (157,600) 
LEUCADIA NATIONAL CORP  COM         $2,089,308        76,700       (154,800) 
TARGET CORP  COM                   $31,990,000       500,000       (150,000) 
QUANTA SERVICES INC  COM            $1,738,302        63,188       (145,421) 
CSX CORP  COM                       $1,415,700        55,000       (145,300) 
MONSANTO CO  COM                    $7,650,321        73,300       (139,200) 
STMICROELECTRONICS NV  NY REG       $1,384,600       150,500       (135,400) 
TESORO CORP  COM                      $285,870         6,500       (132,199) 
JDS UNIPHASE INC  COM                 $817,744        55,591       (127,747) 
DISCOVERY COMMUNICATIONS INC        $7,251,333        92,823       (119,618) 
KRISPY KREME DOUGHNUTS INC  CO      $1,914,660        99,000       (115,101) 
AMERICAN ELECTRIC POWER INC  C     $10,218,029       235,710       (114,590) 
ZOETIS INC  CL A                    $4,130,962       132,743       (113,799) 
IRON MOUNTAIN INC/PA  COM           $1,399,609        51,799       (108,401) 
VMWARE INC  CL A                      $364,050         4,500       (107,200) 
FREESCALE SEMICONDUCTOR HLDGS         $672,660        40,400       (107,100) 
MBIA INC  COM                       $1,310,463       128,100       (106,900) 
VALERO ENERGY CORP  COM             $3,613,138       105,802       (106,798) 
JETBLUE AIRWAYS CORP  COM             $305,564        45,846       (106,154) 
FLUOR CORP  COM                       $727,198        10,248       (102,547) 
SYNOVUS FINANCIAL CORP  COM         $1,304,160       395,200       (101,600) 
TEXTRON INC  COM                    $1,043,658        37,800       (101,500) 
JABIL CIRCUIT INC  COM              $2,152,824        99,300       (101,200) 
COMCAST CORP  CL A                  $2,855,780        63,300       (100,900) 
TELEFON AB LM ERICSSON  ADR B         $200,250        15,000       (100,400) 
BOYD GAMING CORP  COM                 $174,597        12,339        (99,310) 
MITSUBISHI UFJ FINANCIAL GROUP        $141,225        22,032        (97,996) 
AU OPTRONICS CORP  ADR                $296,088        81,120        (96,680) 
LIBERTY MEDIA CORP  CL A            $1,883,520        12,800        (95,700) 
DEAN FOODS CO  COM                  $4,952,380       256,600        (93,950) 
PILGRIMS PRIDE CORP  COM              $612,202        36,484        (89,316) 
STARZ INC  CL A                       $500,405        17,789        (86,634) 
NV ENERGY INC  COM                  $1,779,911        75,388        (84,205) 
GREENBRIER COMPANIES INC  COM         $328,909        13,300        (83,800) 
TWO HARBORS INVESTMENT CORP  C      $4,404,174       453,571        (81,129) 
SENSATA TECHNOLOGIES HOLDING N        $882,774        23,067        (79,533) 
XL GROUP PLC  ORD                   $5,618,486       182,300        (78,200) 
BROOKDALE SENIOR LIVING INC  C      $5,091,312       193,586        (77,114) 
CENTERPOINT ENERGY INC  COM         $2,763,334       115,283        (75,828) 
TTM TECHNOLOGIES INC  COM             $149,343        15,333        (70,667) 
STEELCASE INC  CL A                   $909,114        54,700        (69,500) 
NPS PHARMACEUTICALS INC  COM          $244,937         7,700        (69,400) 
LOUISIANA PACIFIC CORP  COM        $13,820,287       785,690        (68,710) 
CITRIX SYSTEMS INC  COM               $564,880         8,000        (67,900) 
F5 NETWORKS INC  COM                $1,698,998        19,800        (64,600) 
DOMINION DIAMOND CORP  COM            $553,426        45,400        (63,610) 
COMMERCIAL METALS CO  COM             $972,930        57,400        (63,500) 
GREAT PLAINS ENERGY INC  COM          $843,600        38,000        (61,600) 
TENET HEALTHCARE CORP  COM            $267,735         6,500        (58,700) 
GEO GROUP INC  COM                    $428,925        12,900        (58,637) 
BHP BILLITON PLC  ADR               $1,289,034        21,900        (58,255) 
WYNDHAM WORLDWIDE CORP  COM           $640,185        10,500        (56,900) 
WHIRLPOOL CORP  COM                 $1,267,145         8,653        (56,347) 
E W SCRIPPS CO  CL A                  $550,372        29,993        (55,213) 
ALASKA AIR GROUP INC  COM           $2,223,010        35,500        (53,600) 
TRINITY INDUSTRIES INC  COM           $219,993         4,851        (53,449) 
HESS CORP  COM                     $12,343,464       159,600        (51,400) 
OLD REPUBLIC INTL CORP  COM         $1,268,960        82,400        (50,600) 
LUMBER LIQUIDATORS HLDGS INC        $2,580,930        24,200        (50,300) 
COPA HOLDINGS SA  CL A              $6,134,206        44,236        (49,264) 
MAXIM INTEGRATED PRODUCTS INC         $731,574        24,533        (48,537) 
MANULIFE FINANCIAL CORP  COM          $232,950        14,067        (48,411) 
SMITH & WESSON HOLDING CORP  C        $151,662        13,800        (48,200) 
ASSURED GUARANTY LTD  COM             $751,875        40,100        (47,543) 
TRANSOCEAN LTD  COM                 $3,088,300        69,400        (45,451) 
CF INDUSTRIES HOLDINGS INC  CO      $4,257,923        20,196        (44,704) 
STRATEGIC HOTELS & RESORTS INC        $304,486        35,079        (42,406) 
STARWOOD PROPERTY TRUST INC  C        $951,609        39,700        (41,800) 
AES CORP  COM                       $3,504,573       263,700        (41,600) 
BRUKER CORP  COM                    $1,263,574        61,190        (41,533) 
FOOT LOCKER INC  COM                  $543,040        16,000        (41,358) 
CTRIP.COM INTERNATIONAL LTD  A        $504,931         8,652        (40,402) 
SIGNET JEWELERS LTD  COM            $1,040,716        14,525        (37,575) 
BE AEROSPACE INC  COM                 $214,078         2,900        (36,802) 
BROOKFIELD ASSET MGMT  CL A VT        $718,080        19,200        (36,100) 
CIGNA CORP  COM                     $1,076,040        14,000        (35,293) 
MENS WEARHOUSE INC  COM               $318,708         9,360        (35,171) 
SEI INVESTMENTS CO  COM               $491,469        15,900        (34,600) 
ALEXION PHARMACEUTICALS INC  C        $232,320         2,000        (34,282) 
REGENERON PHARMACEUTICALS  COM     $18,400,198        58,811        (33,289) 
FEDEX CORP  COM                     $4,313,358        37,800        (32,241) 
PATTERSON UTI ENERGY INC  COM       $1,786,171        83,544        (31,956) 
OFFICE DEPOT INC  COM               $6,985,257     1,446,223        (31,725) 
LITHIA MOTORS INC  CL A               $326,934         4,481        (31,719) 
NEWELL RUBBERMAID INC  COM            $367,730        13,372        (30,794) 
ROYAL DUTCH SHELL PLC  ADR A        $2,719,152        41,400        (29,802) 
FOREST CITY ENTERPRISES INC  C      $2,598,549       137,199        (29,701) 
PARKER DRILLING CO  COM               $478,230        83,900        (28,870) 
EXXON MOBIL CORP  COM               $1,996,128        23,200        (27,626) 
MAGNACHIP SEMICONDUCTOR  DPT S        $348,786        16,200        (27,263) 
STEEL DYNAMICS INC  COM               $838,709        50,162        (27,085) 
HERCULES OFFSHORE INC  COM          $3,333,797       452,900        (26,500) 
MASTERCARD INC  CL A                  $304,097           452        (26,248) 
MEDASSETS INC  COM                    $739,722        29,100        (25,400) 
COMMVAULT SYSTEMS INC  COM            $642,607         7,309        (25,112) 
PRICELINE COM INC  COM             $14,751,782        14,592        (24,850) 
FORTINET INC  COM                   $1,951,038        96,300        (24,792) 
VISA INC  CL A                     $27,091,100       141,764        (24,389) 
ENERGY XXI BERMUDA LTD  COM         $1,824,019        60,378        (24,322) 
BIOGEN IDEC INC  COM                $9,218,700        38,290        (23,974) 
IMPAX LABORATORIES INC  COM           $316,998        15,486        (23,014) 
PARKWAY PROPERTIES INC  COM           $367,910        20,704        (22,996) 
GRUPO TELEVISA SAB  ADR PC A/B      $1,400,295        50,100        (22,769) 
SWIFT ENERGY CO  COM                  $673,780        59,000        (22,370) 
GOLDMAN SACHS GROUP INC  COM        $9,666,631        61,100        (21,801) 
NETFLIX INC  COM                   $29,158,503        94,300        (19,700) 
ANGIES LIST INC  COM            ANGI             (9,300) 
RPM INTERNATIONAL INC  COM      RPM              (9,300) 
GROUP 1 AUTOMOTIVE INC  COM     GPI              (9,224) 
SCHLUMBERGER NV  COM            SLB              (9,000) 
COOPER TIRE & RUBBER CO  COM    CTB              (8,993) 
RENAISSANCERE HOLDINGS LTD  CO  RNR              (8,400) 
UIL HOLDINGS CORP  COM          UIL              (8,400) 
YELP INC  CL A                  YELP             (8,388) 
SEMGROUP CORP  CL A             SEMG             (8,273) 
BCE INC  COM                    BCE              (8,200) 
ACORDA THERAPEUTICS INC  COM    ACOR             (8,100) 
SPECTRUM BRANDS HOLDINGS INC    SPB              (8,100) 
OIL STATES INTERNATIONAL INC    OIS              (8,053) 
ANN INC  COM                    ANN              (7,934) 
WESTLAKE CHEMICAL CORP  COM     WLK              (7,765) 
SINOPEC (CHINA PETROL & CHEM)   SNP              (7,384) 
LEIDOS HOLDINGS INC  COM        LDOS             (6,575) 
BANK OF MONTREAL  COM           BMO              (6,544) 
DOMTAR CORP  COM                UFS              (6,500) 
ROYAL BANK OF CANADA  COM       RY               (6,398) 
USANA HEALTH SCIENCES INC  COM  USNA             (6,300) 
INFOSYS LTD  ADR                INFY             (6,017) 
IAC INTERACTIVECORP  COM        IACI             (5,591) 
PANERA BREAD CO  CL A           PNRA             (5,558) 
BT GROUP PLC  ADR               BT               (5,478) 
EVEREST RE GROUP LTD  COM       RE               (5,380) 
MEDIVATION INC  COM             MDVN             (4,405) 
MSC INDUSTRIAL DIRECT INC  CL   MSM              (4,100) 
NVR INC  COM                    NVR              (1,304) 

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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