Cooperman's Omega Advisors Shows New Stakes in Facebook (FB), Crocs (CROX) and Freeport-McMoRan (FCX)

February 13, 2013 12:04 PM EST Send to a Friend
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Leon Cooperman's Omega Advisors hedge fund released its 13F for the quarter ended December 31, 2012. Below are some notable moves

New Stakes
Altisource Residential (NYSE: RESI) new 334,912 share position
BRE Properties, Inc. (NYSE: BRE) new 96,633 share position
Crocs, Inc. (NASDAQ: CROX) new 2,149,340 share position
FACEBOOK-A (NASDAQ: FB) new 3,161,300 share position
Freeport-McMoRan Copper & Gold (NYSE: FCX) new 3,106,000 share position
GMX Resources (NYSE: GMXR) new 2,768,657 share position
Harbinger Group (NYSE: HRG) new 5,000,000 share position
KKR Financial Holdings LLC (NYSE: KFN-P) new 600,000 share position
Las Vegas Sands (NYSE: LVS) new 265,600 share position
LINNCO (NASDAQ: LNCO) new 681,113 share position
McMoRan Exploration Co. (NYSE: MMR) (CALL) new 500,000 share position
Merck & Co., Inc. (NYSE: MRK) new 590,000 share position
SandRidge Energy (NYSE: SD) new 24,378,545 share position
VeriFone Systems (NYSE: PAY) new 1,258,273 share position

Raised Stakes
Atlas Energy LP (NYSE: ATLS) raised from 3,861,676 shares to 3,893,671 shares
Atlas Pipeline Partners L.P. (NYSE: APL) raised from 5,004,203 shares to 5,012,951 shares
Atlas Resource Partners LP (NYSE: ARP) raised from 1,526,128 shares to 2,647,635 shares
Atmel Corp (NASDAQ: ATML) raised from 3,300,000 shares to 7,124,300 shares
Boston Scientific Corp. (NYSE: BSX) raised from 14,331,900 shares to 14,523,500 shares
Capital One Financial Corp. (NYSE: COF) raised from 1,234,900 shares to 1,249,400 shares
Chimera Investment (NYSE: CIM) raised from 950,000 shares to 22,033,580 shares
Citigroup, Inc. (NYSE: C) raised from 847,400 shares to 909,000 shares
Crosstex Energy LP (NASDAQ: XTEX) raised from 356 shares to 23,100 shares
Denbury Resources, Inc. (NYSE: DNR) raised from 2,709,327 shares to 4,164,727 shares
International Paper Co. (NYSE: IP) raised from 5,925,218 shares to 7,950,880 shares
EXPRESS SCRPTS HLDG (NASDAQ: ESRX) raised from 1,939,600 shares to 2,670,400 shares
Family Dollar Stores, Inc. (NYSE: FDO) raised from 207,800 shares to 270,700 shares
Fortress Investment Group Cl A (NYSE: FIG) raised from 448,859 shares to 1,111,868 shares
Given Imaging Ltd (NASDAQ: GIVN) raised from 2,097,236 shares to 2,105,061 shares
Halliburton Co. (NYSE: HAL) raised from 3,254,700 shares to 3,757,400 shares
Humana, Inc. (NYSE: HUM) raised from 1,245,300 shares to 1,296,300 shares
Kinder Morgan Energy Partners LP (NYSE: KMP) raised from 4,656,137 shares to 5,001,159 shares
KKR & Co. L.P. (NYSE: KKR) raised from 4,885,561 shares to 4,982,557 shares
McMoRan Exploration Co. (NYSE: MMR) raised from 7,309,500 shares to 9,111,400 shares
MetLife, Inc. (NYSE: MET) raised from 2,614,985 shares to 3,011,585 shares
Motorola Solutions (NYSE: MSI) raised from 2,017,400 shares to 2,060,800 shares
NYSE Euronext (NYSE: NYX) raised from 1,275,600 shares to 3,859,699 shares
Polycom, Inc. (NASDAQ: PLCM) raised from 3,882,000 shares to 5,662,325 shares
Sirius XM Radio, Inc. (NASDAQ: SIRI) raised from 63,932,303 shares to 71,479,203 shares
Sprint Nextel (NYSE: S) raised from 42,784,100 shares to 56,018,527 shares
Transocean (NYSE: RIG) raised from 3,043,145 shares to 3,115,545 shares
Watson Pharmaceuticals, Inc. (NYSE: WPI) raised from 79,310 shares to 927,000 shares
Wells Fargo & Co. (NYSE: WFC) raised from 1,400,300 shares to 1,657,000 shares
Western Union (NYSE: WU) raised from 79,713 shares to 4,263,913 shares
Williams Cos. (NYSE: WMB) raised from 100,473 shares to 3,166,508 shares
WPX Energy (NYSE: WPX) raised from 33,238 shares to 2,103,224 shares
XL Group (NYSE: XL) raised from 97,147 shares to 4,033,337 shares

Lowered Stakes
ALTISOURCE REG (NASDAQ: ASPS) lowered from 1,339,200 shares to 964,747 shares
American International Group, Inc. (NYSE: AIG) lowered from 8,054,600 shares to 7,790,600 shares
Broadridge Financial Solutions (NYSE: BR) lowered from 1,183,514 shares to 163,063 shares
DISH Network Corp. (NASDAQ: DISH) lowered from 4,513,893 shares to 3,697,271 shares
Eastman Chemical Co. (NYSE: EMN) lowered from 797,500 shares to 793,800 shares
ENERGY USD UNRESTR (NASDAQ: EXXI) lowered from 2,917,736 shares to 2,916,536 shares
Gannett Co., Inc. (NYSE: GCI) lowered from 4,411,300 shares to 1,350,200 shares
Google, Inc. (NASDAQ: GOOG) lowered from 66,575 shares to 66,295 shares
JPMorgan Chase & Co. (NYSE: JPM) lowered from 589,100 shares to 30,100 shares
Linn Energy, LLC (NASDAQ: LINE) lowered from 4,697,575 shares to 4,271,688 shares
Loral Space and Communications, Inc. (NASDAQ: lorl) lowered from 606,400 shares to 603,700 shares
PVH Corp. (NYSE: PVH) lowered from 684,000 shares to 556,135 shares
Qualcomm, Inc. (NASDAQ: QCOM) lowered from 2,393,100 shares to 2,392,200 shares
SLM (NASDAQ: SLM) lowered from 15,590,624 shares to 15,531,524 shares
THL CREDIT (NASDAQ: TCRD) lowered from 1,269,107 shares to 1,231,307 shares
Tivo, Inc. (NASDAQ: TIVO) lowered from 2,400,000 shares to 2,389,400 shares
UnitedHealth Group, Inc. (NYSE: UNH) lowered from 1,965,638 shares to 1,608,248 shares
Validus Holdings Ltd. (NYSE: VR) lowered from 1,000,396 shares to 996,896 shares
WellPoint, Inc. (NYSE: WLP) lowered from 1,285,527 shares to 1,282,127 shares

Liquidated Stakes
Ace Limited (NYSE: ACE) liquidated
Apple, Inc. (NASDAQ: AAPL) liquidated
AUDIENCE (NASDAQ: ADNC) liquidated
Ctrip.com International, Ltd. (NASDAQ: CTRP) liquidated
Cvs Caremark Corporation (NYSE: CVS) liquidated
Lincoln National Corp. (NYSE: LNC) liquidated
Mcclatchy Company (NYSE: MNI) liquidated
Mcdermott International (NYSE: MDR) liquidated
Range Resources Corp (NYSE: RRC) liquidated
S&P DEP RECEIPTS (NYSE: SPY) liquidated
Sunoco, Inc. (NYSE: SUN) liquidated
Vodafone Group PLC (NASDAQ: VOD) liquidated
Walgreen Company (NYSE: WAG) liquidated

Maintained Stakes
AG Mortgage Investment Trust (NYSE: MITT) maintained 269,590 share stake
Apollo Investment Corporation (NASDAQ: AINV) maintained 150,000 share stake
Center Bancorp, Inc. (NASDAQ: CNBC) maintained 545,000 share stake
KKR Financial Holdings (NYSE: KFN) maintained 13,883,323 share stake
MDC Partners Inc. Class A (NASDAQ: MDCA) maintained 200,000 share stake
Newcastle Investment Corp. (NYSE: NCT) maintained 300,000 share stake
Ocwen Financial Corp. (NYSE: OCN) maintained 292,300 share stake
Resource America, Inc. (NASDAQ: REXI) maintained 1,191,733 share stake
Resource Capital (NYSE: RSO) maintained 800,000 share stake
Teekay LNG Partners L.P. Un (NYSE: TGP) maintained 20,000 share stake
Two Harbors Investment (NYSE: TWO) maintained 100,000 share stake


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13Fs, Hedge Funds

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JPMorgan, Citi, Standard & Poor's, Hedge Funds, Leon Cooperman, Omega Advisors, Wells Fargo

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