13F.
SOROS FUND MANAGEMENT LLC
13F-HR

Q3 2014

Period Sep 30, 2014Filed Nov 14, 2014View on EDGAR ↗
Positions
266
Total value
$13.4B
Top 10 concentration
37.8%
New positions
85

Exited positionsvs. Q2 2014

  • SPDR S&P 500 ETF TR ($411.01M)
  • SELECT SECTOR SPDR TR ($270.27M)
  • CONSOL ENERGY INC ($234.42M)
  • HALLIBURTON CO ($160.91M)
  • CELGENE CORP ($59.09M)
  • AMERICAN CAPITAL AGENCY CORP ($47.78M)
  • HOST HOTELS & RESORTS INC ($45.42M)
  • MARKET VECTORS ETF TR ($35.1M)

Holdings · 266

#Class
1
SPDR S&P 500 ETF TR
78462F103 · Put
TR UNIT$1.68B12.57%8,545,000-24.3%
2
ISHARES TR
464287234 · Put
MSCI EMG MKT ETF$935.1M6.98%22,500,000+13746.2%
3
YPF SOCIEDAD ANONIMA
984245100
SPON ADR CL D$492.88M3.68%13,324,763-3.3%
4
ALIBABA GROUP HLDG LTD
01609W102
SPONSORED ADS$390.94M2.92%4,400,000New
5
TEVA PHARMACEUTICAL INDS LTD
881624209
ADR$334.96M2.50%6,231,722-14.3%
6
TIBCO SOFTWARE INC
88632QAB9
NOTE 2.250% 5/0$329.78M2.46%327,937,000+6.3%
7
LEVEL 3 COMMUNICATIONS INC
52729N308
COM NEW$248.16M1.85%5,426,582+203.6%
8
ADECOAGRO S A
L00849106
COM$228.05M1.70%25,915,076
9
ROVI CORP
779376AB8
NOTE 2.625% 2/1$220.06M1.64%217,877,000+0.2%
10
YAHOO INC
984332106
COM$205.89M1.54%5,052,412New
11
AMERICAN AIRLS GROUP INC
02376R102
COM$198.72M1.48%5,600,744+121.0%
12
PHILLIPS 66
718546104
COM$193M1.44%2,373,582+92.2%
13
EQT CORP
26884L109
COM$182.96M1.37%1,998,718+18.8%
14
HOLOGIC INC
436440AG6
FRNT 12/1$164.23M1.23%151,367,000+7.1%
15
ESSENT GROUP LTD
G3198U102
COM$161.62M1.21%7,548,618
16
DOW CHEM CO
260543103
COM$153.06M1.14%2,918,714+253.4%
17
MOTOROLA SOLUTIONS INC
620076307
COM NEW$150.57M1.12%2,379,455+29.5%
18
ZOETIS INC
98978V103
CL A$148.97M1.11%4,031,735-8.1%
19
CIENA CORP
171779AE1
NOTE 0.875% 6/1$143.13M1.07%145,222,000+215.7%
20
ENERGEN CORP
29265N108
COM$141.9M1.06%1,964,234-10.5%
21
POLYCOM INC
73172K104
COM$140.94M1.05%11,472,120+4.2%
22
TIBCO SOFTWARE INC
88632Q103
COM$139.76M1.04%5,914,634+2.3%
23
INTEL CORP
458140100
COM$135.43M1.01%3,889,382-0.4%
24
QUANTUM CORP
747906AG0
NOTE 3.500%11/1$130.98M0.98%130,980,000
25
DIGITAL RIV INC
25388BAD6
NOTE 2.000%11/0$125.18M0.93%125,181,000+1.3%
26
JDS UNIPHASE CORP
46612JAF8
DBCV 0.625% 8/1$118.37M0.88%117,855,000New
27
APPLE INC
037833100
COM$114.85M0.86%1,139,991-37.8%
28
CITRIX SYS INC
177376100
COM$112.05M0.84%1,570,620-27.8%
29
STRYKER CORP
863667101
COM$110.51M0.82%1,368,566-18.4%
30
GENERAL MTRS CO
37045V100
COM$110.14M0.82%3,448,270-10.8%
31
WEBMD HEALTH CORP
94770VAH5
NOTE 2.250% 3/3$106.53M0.80%106,000,000-0.0%
32
DISH NETWORK CORP
25470M109
CL A$102.73M0.77%1,590,664-5.9%
33
LEUCADIA NATL CORP
527288104
COM$102.09M0.76%4,282,343
34
AMERICAN INTL GROUP INC
026874784
COM NEW$97.38M0.73%1,802,717
35
WESTERN REFNG INC
959319104
COM$97.2M0.73%2,314,784+18.7%
36
ABBVIE INC
00287Y109
COM$88.79M0.66%1,537,146+924.8%
37
CENTERPOINT ENERGY INC
15189T107
COM$88.42M0.66%3,613,441+50.9%
38
EXXON MOBIL CORP
30231G102 · Put
COM$88.41M0.66%940,000New
39
MONSANTO CO NEW
61166W101
COM$86.66M0.65%770,244+43.1%
40
WALGREEN CO
931422109
COM$84.52M0.63%1,426,000+9.7%
41
ISHARES TR
464287655 · Put
RUSSELL 2000 ETF$84.2M0.63%770,000+54.0%
42
CAESARS ENTMT CORP
127686103
COM$83.08M0.62%6,604,383
43
HERBALIFE LTD
G4412G101
COM USD SHS$82.61M0.62%1,888,288-60.1%
44
VALEANT PHARMACEUTICALS INTL
91911K102
COM$82.23M0.61%626,748+32.7%
45
JDS UNIPHASE CORP
46612J507
COM PAR $0.001$80.85M0.60%6,316,666+492.2%
46
POWERSHARES QQQ TRUST
73935A104 · Put
UNIT SER 1$79.03M0.59%800,000New
47
ALLEGION PUB LTD CO
G0176J109
ORD SHS$77.56M0.58%1,627,956+659.5%
48
PENN VA CORP
707882106
COM$76.31M0.57%6,003,509
49
NICE SYS LTD
653656108
SPONSORED ADR$75.85M0.57%1,859,597+12.8%
50
LORAL SPACE & COMMUNICATNS I
543881106
COM$75.79M0.57%1,055,440
51
MACK CALI RLTY CORP
554489104
COM$75.36M0.56%3,943,319-1.6%
52
HUBBELL INC
443510201
CL B$74.53M0.56%618,356+101.8%
53
DELTA AIR LINES INC DEL
247361702
COM NEW$71.83M0.54%1,987,128+526.9%
54
BAIDU INC
056752108
SPON ADR REP A$71.47M0.53%327,500+72.4%
55
MICROSOFT CORP
594918104
COM$71.15M0.53%1,534,700-31.0%
56
CHURCHILL DOWNS INC
171484108
COM$68.72M0.51%704,839
57
VIPSHOP HLDGS LTD
92763W103
SPONSORED ADR$65.21M0.49%345,000-27.4%
58
PETROLEO BRASILEIRO SA PETRO
71654V408 · Call
SPONSORED ADR$61.2M0.46%4,313,100+76.8%
59
PIONEER NAT RES CO
723787107
COM$60.63M0.45%307,791+227.2%
60
NEW ORIENTAL ED & TECH GRP I
647581107
SPON ADR$60.09M0.45%2,590,000+7.5%
61
SEMGROUP CORP
81663A105
CL A$60.02M0.45%720,726-43.3%
62
CAESARS ACQUISITION CO
12768T103
CL A$58.47M0.44%6,174,465
63
SOLARWINDS INC
83416B109
COM$55.72M0.42%1,325,000-3.6%
64
STARWOOD HOTELS&RESORTS WRLD
85590A401
COM$55.46M0.41%666,533+243.3%
65
CONSOL ENERGY INC
20854P109 · Call
COM$52.25M0.39%1,380,000New
66
MARKET VECTORS ETF TR
57060U233 · Put
SEMICONDUCTOR$51.09M0.38%1,000,000New
67
SPANSION INC
84649R200
COM CL A NEW$49.38M0.37%2,166,666-18.8%
68
AMERICAN AIRLS GROUP INC
02376R102 · Call
COM$46.12M0.34%1,300,000New
69
TRAVELPORT WORLDWIDE LTD
G9019D104
SHS$46.09M0.34%2,800,000New
70
EBAY INC
278642103
COM$45.84M0.34%809,500+117.3%
71
XPO LOGISTICS INC
983793100
COM$45.64M0.34%1,211,531+37.1%
72
NUANCE COMMUNICATIONS INC
67020YAF7
NOTE 2.750%11/0$45.4M0.34%45,797,000+663.3%
73
NETFLIX INC
64110L106
COM$44.56M0.33%98,764New
74
CTRIP COM INTL LTD
22943F100
AMERICAN DEP SHS$44.52M0.33%784,400
75
MONDELEZ INTL INC
609207105
CL A$44.26M0.33%1,291,731+8.8%
76
SANDISK CORP
80004C101
COM$44.08M0.33%450,000+38.5%
77
EXAR CORP
300645108
COM$42.11M0.31%4,704,762-0.3%
78
ISHARES TR
464287556 · Put
NASDQ BIOTEC ETF$41.05M0.31%150,000New
79
DELPHI AUTOMOTIVE PLC
G27823106
SHS$41.03M0.31%668,968-9.8%
80
CAMECO CORP
13321L108
COM$40.26M0.30%2,279,563
81
GOOGLE INC
38259P706
CL C$39.01M0.29%67,572-65.3%
82
MELCO CROWN ENTMT LTD
585464100
ADR$37.99M0.28%1,445,000+11.6%
83
ACTAVIS PLC
G0083B108
SHS$36.16M0.27%149,885+134.8%
84
ALLY FINL INC
02005N100
COM$34.58M0.26%1,494,450
85
HOME DEPOT INC
437076102
COM$34.19M0.26%372,635+645.3%
86
RF MICRODEVICES INC
749941100
COM$33.77M0.25%2,926,666+65.7%
87
ABBOTT LABS
002824100
COM$33.16M0.25%797,181-14.5%
88
BEST BUY INC
086516101
COM$31.74M0.24%944,843New
89
OGE ENERGY CORP
670837103
COM$31.7M0.24%854,190+31.9%
90
SALESFORCE COM INC
79466L302
COM$31.64M0.24%550,000+120.0%
91
CHIPMOS TECH BERMUDA LTD
G2110R114
SHS$31.06M0.23%1,372,921+16.1%
92
KRAFT FOODS GROUP INC
50076Q106
COM$30.8M0.23%546,133-5.2%
93
ROWAN COMPANIES PLC
G7665A101
SHS CL A$30.4M0.23%1,201,011New
94
DOLLAR GEN CORP NEW
256677105
COM$30.19M0.23%494,049New
95
CYPRESS SEMICONDUCTOR CORP
232806109
COM$28.31M0.21%2,866,666+3.6%
96
BROADSOFT INC
11133BAB8
NOTE 1.500% 7/0$28.08M0.21%28,512,000+418.4%
97
CONSTELLIUM NV
N22035104
CL A$27.84M0.21%1,131,152+10.8%
98
INFORMATICA CORP
45666Q102
COM$27.62M0.21%806,666+239.6%
99
PMC-SIERRA INC
69344F106
COM$26.61M0.20%3,566,666New
100
CADENCE DESIGN SYSTEM INC
127387108
COM$25.93M0.19%1,506,666-9.6%
101
T-MOBILE US INC
872590104
COM$25.71M0.19%890,401+180.0%
102
CLICKSOFTWARE TECHNOLOGIES L
M25082104
ORD$25.13M0.19%3,130,000
103
DISCOVER FINL SVCS
254709108
COM$23.5M0.18%365,000New
104
UNITED CONTL HLDGS INC
910047109
COM$23.14M0.17%494,512New
105
ASSURED GUARANTY LTD
G0585R106
COM$23.06M0.17%1,040,800
106
GENERAL MTRS CO
37045V100 · Call
COM$23M0.17%720,000New
107
HERTZ GLOBAL HOLDINGS INC
42805T105
COM$22.61M0.17%890,565-41.5%
108
MARKET VECTORS ETF TR
57060U100
GOLD MINER ETF$22.12M0.17%1,036,135-49.5%
109
MICREL INC
594793101
COM$21.85M0.16%1,816,666New
110
BAKER HUGHES INC
057224107
COM$21.57M0.16%331,476-10.1%
111
CAPITAL ONE FINL CORP
14040H105
COM$21.22M0.16%260,000New
112
AMERICAN EXPRESS CO
025816109
COM$20.57M0.15%235,000New
113
HARTFORD FINL SVCS GROUP INC
416515104
COM$20.49M0.15%550,000+746.2%
114
TIBCO SOFTWARE INC
88632Q103 · Call
COM$20.48M0.15%866,600+85.7%
115
SCIENTIFIC GAMES CORP
80874P109
CL A$20.41M0.15%1,894,935New
116
AUTOHOME INC
05278C107
SP ADR RP CL A$20.38M0.15%485,000New
117
BROADSOFT INC
11133B409
COM$20.34M0.15%966,666+105.7%
118
MBIA INC
55262C100
COM$20.08M0.15%2,187,715-11.1%
119
ATMEL CORP
049513104
COM$19.93M0.15%2,466,666-14.0%
120
FACEBOOK INC
30303M102
CL A$19.76M0.15%250,000-86.4%
121
CBS CORP NEW
124857202
CL B$19.75M0.15%369,139-20.1%
122
KITE PHARMA
49803L109
COM$18.81M0.14%660,148New
123
DISCOVERY COMMUNICATNS NEW
25470F104
COM SER A$18.6M0.14%492,000New
124
DIAMONDBACK ENERGY INC
25278X109
COM$18.36M0.14%245,546+69.3%
125
POPEYES LA KITCHEN INC
732872106
COM$17.41M0.13%429,959
126
SUNEDISON INC
86732Y109
COM$16.99M0.13%900,000+125.0%
127
RADIAN GROUP INC
750236101
COM$16.86M0.13%1,182,143
128
DOLLAR TREE INC
256746108
COM$15.79M0.12%281,537New
129
QIHOO 360 TECHNOLOGY CO LTD
74734M109
ADS$15.52M0.12%230,000New
130
MICRON TECHNOLOGY INC
595112103
COM$15.42M0.12%450,000-35.7%
131
COMMSCOPE HLDG CO INC
20337X109
COM$15.29M0.11%639,649-23.8%
132
EMBRAER S A
29082A107
SP ADR REP 4 COM$14.85M0.11%378,609+244.9%
133
NRG ENERGY INC
629377508
COM NEW$14.79M0.11%485,323New
134
MASTERCARD INC
57636Q104
CL A$14.78M0.11%200,000New
135
EXTREME NETWORKS INC
30226D106
COM$14.69M0.11%3,066,666+95.7%
136
TIME WARNER CABLE INC
88732J207
COM$14.35M0.11%100,000-77.4%
137
ZEBRA TECHNOLOGIES CORP
989207105
CL A$14.19M0.11%200,000-44.4%
138
VERISK ANALYTICS INC
92345Y106
CL A$14.11M0.11%231,684-9.7%
139
ROWAN COMPANIES PLC
G7665A101 · Call
SHS CL A$13.67M0.10%540,000New
140
INTEGRATED DEVICE TECHNOLOGY
458118106
COM$13.56M0.10%850,000New
141
WYNN RESORTS LTD
983134107
COM$13.48M0.10%72,075
142
WEBMD HEALTH CORP
94770VAF9
NOTE 2.500% 1/3$13.18M0.10%13,000,000+8.3%
143
INTUIT
461202103
COM$13.15M0.10%150,000
144
SIRIUS XM HLDGS INC
82968B103
COM$13.09M0.10%3,750,000New
145
MICROSTRATEGY INC
594972408
CL A NEW$13.09M0.10%100,007
146
QUALCOMM INC
747525103 · Call
COM$13.09M0.10%175,000New
147
D R HORTON INC
23331A109 · Call
COM$12.93M0.10%630,000New
148
KB HOME
48666K109 · Call
COM$12.7M0.09%850,000New
149
AFFILIATED MANAGERS GROUP
008252108
COM$12.69M0.09%63,330-31.9%
150
TOLL BROTHERS INC
889478103 · Call
COM$12.46M0.09%400,000New
151
ILLUMINA INC
452327109
COM$12.31M0.09%75,102-61.5%
152
DIGITAL RIV INC
25388B104
COM$12.29M0.09%846,666+27.0%
153
MGIC INVT CORP WIS
552848103
COM$12.19M0.09%1,560,482-28.7%
154
CREDICORP LTD
G2519Y108
COM$12.14M0.09%79,122-23.0%
155
UNWIRED PLANET INC NEW
91531F103
COM$12M0.09%6,451,979
156
GLOBALSTAR INC
378973408
COM$11.82M0.09%3,230,617+25.7%
157
LAS VEGAS SANDS CORP
517834107
COM$11.81M0.09%189,840
158
JINKOSOLAR HLDG CO LTD
47759T100
SPONSORED ADR$11.68M0.09%425,000New
159
PETROLEO BRASILEIRO SA PETRO
71654V408
SPONSORED ADR$10.88M0.08%766,667New
160
ASTRAZENECA PLC
046353108
SPONSORED ADR$10.72M0.08%150,000
161
SBA COMMUNICATIONS CORP
78388J106
COM$10.32M0.08%93,047-70.7%
162
GOOGLE INC
38259P508
CL A$10.09M0.08%17,142New
163
IAC INTERACTIVECORP
44919P508
COM PAR $.001$10.02M0.07%152,045New
164
FAMILY DLR STORES INC
307000109
COM$9.82M0.07%127,100New
165
BARCLAYS BK PLC
06742E711
IPATH S&P500 VIX$9.8M0.07%314,350New
166
F5 NETWORKS INC
315616102
COM$9.8M0.07%82,500+8.6%
167
WAL-MART STORES INC
931142103
COM$8.99M0.07%117,509New
168
MERCURY SYS INC
589378108
COM$8.88M0.07%806,666+384.0%
169
LINKEDIN CORP
53578A108
COM CL A$8.77M0.07%42,222-43.7%
170
NUANCE COMMUNICATIONS INC
67020Y100
COM$8.74M0.07%566,666+436.0%
171
ALTERA CORP
021441100
COM$8.59M0.06%240,000New
172
NXP SEMICONDUCTORS N V
N6596X109
COM$8.55M0.06%125,000-68.0%
173
L-3 COMMUNICATIONS HLDGS INC
502424104
COM$8.44M0.06%71,000New
174
NRG ENERGY INC
629377508 · Call
COM NEW$8.23M0.06%270,000New
175
CF INDS HLDGS INC
125269100
COM$8.02M0.06%28,712New
176
TRANSCANADA CORP
89353D107
COM$7.58M0.06%147,097New
177
INFINERA CORPORATION
45667G103
COM$7.47M0.06%700,000-1.8%
178
SILICON IMAGE INC
82705T102
COM$7.27M0.05%1,441,666New
179
ROVI CORP
779376102
COM$7.24M0.05%366,666New
180
B/E AEROSPACE INC
073302101
COM$7.15M0.05%85,167+16.4%
181
BARRICK GOLD CORP
067901108
COM$7.09M0.05%483,570
182
LUMOS NETWORKS CORP
550283105
COM$6.93M0.05%426,471-33.8%
183
SAREPTA THERAPEUTICS INC
803607100
COM$6.86M0.05%325,000-52.2%
184
MARKET VECTORS ETF TR
57061R544
JR GOLD MINERS E$6.72M0.05%200,000-73.7%
185
FRANCO NEVADA CORP
351858105
COM$6.72M0.05%137,500+48.6%
186
NCR CORP NEW
62886E108
COM$6.68M0.05%200,000New
187
LIBERTY GLOBAL PLC
G5480U120
SHS CL C$6.65M0.05%162,000-90.5%
188
PEPSICO INC
713448108
COM$6.63M0.05%71,226-71.4%
189
CITIGROUP INC
172967424
COM NEW$6.54M0.05%126,208+17.8%
190
DEMANDWARE INC
24802Y105
COM$6.37M0.05%125,000New
191
CIENA CORP
171779309 · Call
COM NEW$6.27M0.05%375,000New
192
B/E AEROSPACE INC
073302101 · Put
COM$6.13M0.05%73,000
193
MAZOR ROBOTICS LTD
57886P103
SPONSORED ADS$6.06M0.05%514,565+7.7%
194
RUCKUS WIRELESS INC
781220108
COM$6.01M0.04%450,000+28.6%
195
ANHEUSER BUSCH INBEV SA/NV
03524A108
SPONSORED ADR$5.99M0.04%54,000New
196
LENNAR CORP
526057104
CL A$5.82M0.04%150,000New
197
LEVEL 3 COMMUNICATIONS INC
52729N308 · Call
COM NEW$5.63M0.04%123,000-38.5%
198
BROCADE COMMUNICATIONS SYS I
111621306
COM NEW$5.34M0.04%491,666New
199
SYNAPTICS INC
87157D109
COM$5.12M0.04%70,000New
200
VIOLIN MEMORY INC
92763A101
COM$4.95M0.04%1,016,666
201
SPDR S&P 500 ETF TR
78462F103
TR UNIT$4.91M0.04%24,911-63.2%
202
DYNEGY INC NEW DEL
26817R116
*W EXP 10/02/201$4.85M0.04%1,170,300New
203
O REILLY AUTOMOTIVE INC NEW
67103H107
COM$4.85M0.04%32,224New
204
MACYS INC
55616P104
COM$4.8M0.04%82,467New
205
TW TELECOM INC
87311L104
COM$4.77M0.04%114,583New
206
TERRAFORM PWR INC
88104R100
CL A COM$4.33M0.03%150,000New
207
ACTUATE CORP
00508B102
COM$4.32M0.03%1,106,666+3.8%
208
CANADIAN NAT RES LTD
136385101
COM$4.3M0.03%110,700New
209
COCA COLA CO
191216100
COM$4.27M0.03%100,000+37.0%
210
BROADCOM CORP
111320107
CL A$4.04M0.03%100,000New
211
COMMVAULT SYSTEMS INC
204166102
COM$4.03M0.03%80,000-60.0%
212
AUDIENCE INC
05070J102
COM$3.75M0.03%506,666+38.2%
213
WPX ENERGY INC
98212B103
COM$3.61M0.03%150,000New
214
IDREAMSKY TECHNOLOGY LIMITED
45173K101
SPONSORED ADS$3.49M0.03%205,000New
215
GOLDCORP INC NEW
380956409
COM$3.46M0.03%150,000-66.1%
216
FINISAR CORP
31787A507
COM NEW$3.44M0.03%206,666New
217
ADVANCED MICRO DEVICES INC
007903107
COM$3.41M0.03%1,000,000New
218
INVESCO LTD
G491BT108
SHS$3.32M0.02%84,000-91.9%
219
PAN AMERICAN SILVER CORP
697900108
COM$3.29M0.02%300,000-62.7%
220
SANCHEZ ENERGY CORP
79970Y105
COM$3.04M0.02%115,734-76.2%
221
NEW GOLD INC CDA
644535106
COM$3.03M0.02%600,000-48.1%
222
SERVICENOW INC
81762P102
COM$2.94M0.02%50,000New
223
AGNICO EAGLE MINES LTD
008474108
COM$2.9M0.02%100,000-77.7%
224
SOLERA HOLDINGS INC
83421A104
COM$2.82M0.02%50,000New
225
PENNYMAC FINL SVCS INC
70932B101
CL A$2.75M0.02%187,382
226
ALLIED NEVADA GOLD CORP
019344100
COM$2.65M0.02%800,000-20.0%
227
CARTER INC
146229109
COM$2.64M0.02%34,061New
228
CABOT OIL & GAS CORP
127097103
COM$2.62M0.02%80,000New
229
AURICO GOLD INC
05155C105
COM$2.44M0.02%700,000-55.9%
230
PERICOM SEMICONDUCTOR CORP
713831105
COM$2.43M0.02%249,020New
231
CME GROUP INC
12572Q105
COM$2.4M0.02%30,000
232
FIDELITY NATIONAL FINANCIAL
31620R402
FNFV GROUP COM$2.21M0.02%160,668New
233
CONTROLADORA VUELA CIA DE AV
21240E105
SPON ADR RP 10$2.1M0.02%242,311
234
OPKO HEALTH INC
68375N103
COM$2.01M0.01%235,600
235
CHARTER COMMUNICATIONS INC D
16117M305
CL A NEW$1.89M0.01%12,500-99.0%
236
BLOCK H & R INC
093671105
COM$1.85M0.01%59,665New
237
PRUDENTIAL FINL INC
744320102
COM$1.76M0.01%20,000-33.3%
238
YELP INC
985817105
CL A$1.71M0.01%25,000New
239
NOVAGOLD RES INC
66987E206
COM NEW$1.67M0.01%550,000New
240
BLACKROCK INC
09247X101
COM$1.64M0.01%5,000
241
LIBERTY GLOBAL PLC
G5480U104
SHS CL A$1.62M0.01%38,000-94.7%
242
BROWN & BROWN INC
115236101
COM$1.61M0.01%50,000New
243
JETBLUE AIRWAYS CORP
477143101
COM$1.59M0.01%150,000-40.0%
244
PLY GEM HLDGS INC
72941W100
COM$1.46M0.01%134,900+16.8%
245
APACHE CORP
037411105
COM$1.41M0.01%15,000-85.7%
246
TIM PARTICIPACOES S A
88706P205
SPONSORED ADR$1.38M0.01%52,626New
247
COMCAST CORP NEW
20030N101
CL A$1.35M0.01%25,000-75.0%
248
VERITIV CORP
923454102
COM$1.3M0.01%25,930New
249
TASMAN METALS LTD
87652B103
COM$1.23M0.01%1,666,666
250
BARRETT BILL CORP
06846N104
COM$1.16M0.01%52,600New
251
INVENSENSE INC
46123D205
COM$1.02M0.01%51,811
252
AEGERION PHARMACEUTICALS INC
00767E102
COM$835K0.01%25,000New
253
ARIAD PHARMACEUTICALS INC
04033A100
COM$810K0.01%150,000-85.0%
254
GRUPO FINANCIERO GALICIA S A
399909100
SP ADR 10 SH B$777K0.01%54,663New
255
GLOBAL EAGLE ENTMT INC
37951D102
COM$748K0.01%66,660-57.8%
256
HARMAN INTL INDS INC
413086109
COM$735K0.01%7,500-94.0%
257
TOWERSTREAM CORP
892000100
COM$639K0.00%431,800-11.7%
258
BIO BLAST PHARMA LTD
M20156101
SHS$518K0.00%71,254New
259
BIOAMBER INC
09072Q114
*W EXP 05/09/201$475K0.00%194,000
260
EASTMAN KODAK CO
277461406
COM NEW$473K0.00%21,532+12.0%
261
MACROGENICS INC
556099109
COM$407K0.00%19,488
262
VERINT SYS INC
92343X100
COM$371K0.00%6,666-90.0%
263
MEDIDATA SOLUTIONS INC
58471A105
COM$295K0.00%6,666-94.7%
264
ITT EDUCATIONAL SERVICES INC
45068B109
COM$224K0.00%52,100New
265
EASTMAN KODAK CO
277461133
*W EXP 09/03/201$55K0.00%7,481+12.0%
266
EASTMAN KODAK CO
277461141
*W EXP 09/03/201$49K0.00%7,481+12.0%
Total filing value: $13.4B