DJ CFA SOURCE: SEC 13F-HR
FILER: S.A.C. Capital Advisors LP
QUARTER ENDED: 09/30/2013
SEC RECEIVED: 11/14/2013
Up to 200 of the largest purchases of S.A.C. Capital Advisors LP
are listed below, ordered by the number of shares bought during the
three months ended Sep. 30.
Company Name Value Holdings Change
ZYNGA INC CL A $53,358,719 14,535,200 14,535,200
SUNEDISON INC COM $105,958,225 13,294,633 12,791,847
NOKIA OYJ ADR $46,400,949 7,128,737 7,128,737
YAHOO INC COM $251,381,897 7,578,592 6,702,198
KEY ENERGY SERVICES INC COM $27,589,698 3,784,595 3,771,795
APPLIED MATERIALS INC COM $61,234,345 3,492,918 3,138,502
WEATHERFORD INTERNATIONAL LTD $57,697,383 3,763,691 3,015,218
NORTHSTAR REALTY FINANCE CORP $39,441,856 4,250,200 2,944,863
TESORO CORP COM $138,022,478 3,138,301 2,898,434
GENERAL MOTORS CO COM $121,324,364 3,372,932 2,660,553
CHAMBERS STREET PROPERTIES CO $23,598,629 2,687,771 2,644,771
YOUKU TUDOU INC ADR A $75,525,113 2,756,391 2,613,862
SPRINT CORP COM $15,983,850 2,570,164 2,570,164
RITE AID CORP COM $20,328,718 4,270,739 2,505,140
MARRIOTT INTERNATIONAL INC CL $112,359,799 2,671,417 2,431,378
INFINITY PHARMACEUTICALS INC $71,368,878 4,094,600 2,246,657
KOHLS CORP COM $116,498,565 2,251,180 2,157,588
QUANTA SERVICES INC COM $71,308,506 2,592,094 2,150,393
CONAGRA FOODS INC COM $100,574,430 3,314,912 1,940,566
NEWS CORP CL A $30,850,072 1,920,926 1,920,926
IMMUNOMEDICS INC COM $11,222,000 1,810,000 1,810,000
DEVON ENERGY CORP COM $107,963,432 1,869,173 1,785,895
FASTENAL CO COM $89,386,897 1,778,136 1,764,671
QUICKSILVER RESOURCES INC COM $8,274,711 4,200,361 1,725,860
REALOGY HOLDINGS CORP COM $127,874,283 2,972,438 1,724,063
PATTERSON UTI ENERGY INC COM $36,422,818 1,703,593 1,703,593
CROCS INC COM $23,502,867 1,728,152 1,695,947
WALT DISNEY CO COM $172,209,582 2,670,330 1,524,014
AIR PRODUCTS & CHEMICALS INC $154,663,975 1,451,290 1,442,878
ELAN CORP PLC ADR $49,218,373 3,159,074 1,439,611
TIFFANY & CO COM $108,848,134 1,420,623 1,407,299
BRISTOL MYERS SQUIBB CO COM $85,246,927 1,841,982 1,346,960
JPMORGAN CHASE & CO INC COM $79,028,583 1,528,895 1,344,160
NEWFIELD EXPLORATION CO COM $46,974,556 1,716,279 1,340,482
HD SUPPLY HOLDINGS INC COM $28,730,806 1,307,729 1,307,729
SPIRIT AEROSYSTEMS HOLDINGS C $30,492,441 1,257,939 1,231,466
LEVEL 3 COMMUNICATIONS INC CO $36,148,082 1,354,368 1,229,125
MOSAIC CO COM $119,125,563 2,769,074 1,226,679
DANAHER CORP COM $113,394,072 1,635,806 1,211,294
COMCAST CORP CL A $159,309,276 3,531,182 1,196,862
XEROX CORP COM $12,241,890 1,189,688 1,189,688
HARSCO CORP COM $28,848,966 1,158,593 1,158,593
HESS CORP COM $143,666,011 1,857,590 1,158,532
SYNOVUS FINANCIAL CORP COM $3,764,214 1,140,671 1,140,671
ENCANA CORP COM $89,744,549 5,178,566 1,138,786
DIRECTV COM $73,255,727 1,225,422 1,104,722
CHEMTURA CORP COM $71,134,784 3,094,162 1,096,096
MGM RESORTS INTERNATIONAL COM $37,833,622 1,850,960 1,069,201
COPART INC COM $42,810,830 1,346,676 1,065,720
CABOT OIL & GAS CORP CL A $82,772,961 2,217,925 1,061,179
VERIFONE SYSTEMS INC COM $24,753,288 1,082,821 1,053,649
EBAY INC COM $157,507,444 2,822,967 1,049,548
TRINITY INDUSTRIES INC COM $47,531,244 1,048,098 1,048,098
ANADARKO PETROLEUM CORP COM $139,446,502 1,499,586 1,026,981
UNITED STATES OIL FUND LP UNI $36,945,810 1,002,600 1,002,600
NRG ENERGY INC COM $27,378,456 1,001,773 986,980
PHH CORP COM $23,411,937 986,181 975,763
GENERAL ELECTRIC CO COM $36,109,066 1,511,472 974,018
TYCO INTERNATIONAL LTD COM $116,870,699 3,341,072 941,196
KRATON PERFORMANCE POLYMERS IN $18,433,054 940,942 940,942
GRAPHIC PACKAGING HOLDING COM $8,410,166 982,496 937,937
INTUIT INC COM $62,990,256 949,936 927,431
SAREPTA THERAPEUTICS INC COM $45,354,969 960,300 910,200
LOWES COS INC COM $56,647,902 1,189,832 909,978
TIBCO SOFTWARE INC COM $22,768,805 889,754 879,654
CONSOL ENERGY INC COM $57,882,375 1,720,130 877,406
EMERSON ELECTRIC CO COM $61,788,759 955,004 876,772
DIGITALGLOBE INC COM $26,727,216 845,263 845,263
BARRICK GOLD CORP COM $18,865,784 1,013,200 837,343
SINCLAIR BROADCAST GROUP INC $123,474,909 3,683,619 811,712
DISH NETWORK CORP CL A $71,605,374 1,590,877 769,177
KOSMOS ENERGY LTD COM $16,278,534 1,583,515 749,101
GERON CORP COM $2,345,000 700,000 700,000
LIN MEDIA LLC CL A $22,425,847 1,105,266 698,490
POTASH CORP OF SASKATCHEWAN C $21,703,816 693,856 667,833
BEST BUY INC COM $94,081,650 2,508,844 665,464
CHILDRENS PLACE RETAIL STORES $44,558,095 770,235 652,561
ACCURAY INC COM $4,797,000 650,000 650,000
ROYAL CARIBBEAN CRUISES LTD C $26,860,042 701,673 639,773
INTERPUBLIC GROUP OF COS COM $12,013,613 699,279 621,019
TOWER INTERNATIONAL INC COM $12,389,722 619,796 619,796
WRIGHT MEDICAL GROUP INC COM $26,335,584 1,009,800 598,746
COTY INC CL A $9,696,238 598,164 598,164
METHANEX CORP COM $37,093,845 723,500 576,700
HOMEAWAY INC COM $16,239,979 580,829 572,725
SPECTRANETICS CORP COM $10,873,111 647,209 569,122
NQ MOBILE INC ADR A $12,307,885 564,841 563,841
PERFECT WORLD CO LTD ADR B $11,068,042 556,183 556,183
FOREST OIL CORP COM $64,800,056 10,622,960 555,360
REGAL ENTERTAINMENT GROUP CL $11,070,199 583,256 555,037
ALLERGAN INC COM $55,680,930 615,599 549,467
VERIZON COMMUNICATIONS INC CO $31,544,879 675,841 547,740
EMERITUS CORP COM $11,005,486 593,928 545,475
LYONDELLBASELL INDUSTRIES ORD $76,027,752 1,038,205 541,593
PANERA BREAD CO CL A $85,715,744 540,691 540,691
FOSTER WHEELER AG COM $123,648,942 4,694,341 535,984
ASTRAZENECA PLC ADR $27,632,628 532,113 520,147
SONIC CORP COM $9,530,880 536,951 516,943
ALTISOURCE RESIDENTIAL CL B $11,690,569 508,728 508,728
DILLARDS INC CL A $59,132,786 755,208 500,398
NEWELL RUBBERMAID INC COM $21,471,450 780,780 498,300
COLE REAL ESTATE INVESTMENTS I $5,800,709 473,141 473,141
PINNACLE ENTERTAINMENT INC CO $21,256,729 848,572 459,875
CELANESE CORP COM SER A $24,786,541 469,531 453,063
STARWOOD HOTELS & RESORTS COM $33,401,093 502,650 447,587
TIDEWATER INC COM $26,452,716 445,632 445,632
NETSCOUT SYSTEMS INC COM $11,554,878 452,600 441,428
HIMAX TECHNOLOGIES INC ADR $4,500,000 450,000 436,368
SIGNET JEWELERS LTD COM $81,574,027 1,138,507 433,363
WESTERN REFINING INC COM $27,147,148 903,700 423,407
OREXIGEN THERAPEUTICS INC COM $4,306,325 702,500 422,500
SALESFORCE COM INC COM $62,052,228 1,195,381 419,601
DSW INC CL A $35,809,316 419,706 416,388
FLEETMATICS GROUP PLC COM $15,577,768 414,854 414,854
CORONADO BIOSCIENCES INC COM $2,823,330 402,700 402,700
PIER 1 IMPORTS INC COM $9,357,615 479,386 400,886
SOUTHWESTERN ENERGY CO COM $14,592,418 401,111 395,317
CLOVIS ONCOLOGY INC COM $66,112,400 1,087,375 393,646
ROYAL DUTCH SHELL PLC ADR A $57,422,448 874,276 390,911
OCEANEERING INTERNATIONAL INC $42,447,006 522,489 382,997
INTUITIVE SURGICAL INC COM $139,042,301 369,528 369,044
ALLSTATE CORP COM $25,082,708 496,196 366,881
INSMED INC COM $5,660,186 362,600 362,600
INGRAM MICRO INC CL A $8,129,205 352,677 352,677
QUIKSILVER INC COM $4,029,399 573,172 350,908
EDWARDS LIFESCIENCES CORP COM $35,295,934 506,907 350,089
SINA CORP (SINA.COM) ORD $28,288,557 348,510 348,510
EXTERRAN HOLDINGS INC COM $32,920,124 1,194,056 347,878
WEBMD HEALTH CORP CL A $16,519,316 578,610 347,414
INTELIQUENT INC COM IQNT (16,500)
TATA MOTORS LTD ADR TTM (16,213)
MIDSTATES PETROLEUM CO INC CO MPO (15,900)
STAAR SURGICAL CO COM STAA (15,830)
BANCORPSOUTH INC COM BXS (15,701)
ANGLOGOLD ASHANTI LTD ADR AU (15,551)
KITE REALTY GROUP TRUST COM KRG (15,500)
PERICOM SEMICONDUCTOR CORP CO PSEM (15,350)
BGC PARTNERS INC CL A BGCP (15,238)
OI SA ADR PFD OIBR (15,147)
UNITED STATES NATURAL GAS FUND UNG (15,100)
BELDEN INC COM BDC (14,934)
WNS HOLDINGS LTD ADR WNS (14,921)
GENERAL MOLY INC COM GMO (14,900)
GOLDEN STAR RESOURCES LTD COM GSS (14,856)
GAFISA SA ADR GFA (14,827)
ALBANY MOLECULAR RESEARCH INC AMRI (14,790)
HAEMONETICS CORP COM HAE (14,644)
LIFELOCK INC COM LOCK (14,562)
NV ENERGY INC COM NVE (14,500)
JOURNAL COMMUNICATIONS INC CL JRN (14,430)
NEW YORK & CO INC COM NWY (14,399)
PNM RESOURCES INC COM PNM (14,264)
PAPA JOHNS INTERNATIONAL INC PZZA (14,154)
STEIN MART INC COM SMRT (13,560)
TELEFONICA SA ADR TEF (13,432)
IMATION CORP COM IMN (13,263)
ARMOUR RESIDENTIAL REIT INC C ARR (13,250)
REALD INC COM RLD (13,100)
ARENA PHARMACEUTICALS INC COM ARNA (13,100)
STEELCASE INC CL A SCS (13,100)
UNIVERSAL DISPLAY CORP COM OLED (13,046)
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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