UPDATE: Paulson's Paulson & Co. Boosts Cigna (CI), J&J (JNJ) Stakes in Q2; Sells McKesson (MCK), Pfizer (PFE) - 13F

August 15, 2016 5:26 PM EDT

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(Updated - August 15, 2016 5:30 PM EDT)

John Paulson's Paulson & Co. hedge fund filed a 13F for Q2 today.

Fund took new Cigna, Johnson & Johnson, and St. Jude stakes, and boosted Mylan, Biogen, and Facebook positions.

The fund also sold out of Valeant Pharma and Pfizer, and lowered Etsy, McKesson, and Perrigo stakes.

New Stakes
CIGNA Corp. (NYSE: CI) new 61,800 share position
EMC Corp. (NYSE: EMC) new 10,045,606 share position
Eagle Pharmaceuticals (NASDAQ: EGRX) new 21,000 share position
FedEx Corporation (NYSE: FDX) new 72,800 share position
Johnson & Johnson (NYSE: JNJ) new 128,000 share position
K2M Group (NASDAQ: KTWO) new 47,500 share position
Priceline.com Inc (NASDAQ: PCLN) new 1,700 share position
QUINTILES TRANSNATIONAL HOLDINGS, Inc. (NYSE: Q) new 164,200 share position
SANOFI (NYSE: SNY) new 395,500 share position
St Jude Medical (NYSE: STJ) new 45,500 share position
Take-Two Interactive Softwar (NASDAQ: TTWO) new 1,000,000 share position
VMWARE, Inc. (NYSE: VMW) new 1,972,100 share position

Raised Stakes
Alexion Pharmaceuticals (NASDAQ: ALXN) raised from 157,200 shares to 268,000 shares
Alnylam Pharmaceuticals, Inc. (NASDAQ: ALNY) raised from 12,300 shares to 19,300 shares
American Capital Ltd (NASDAQ: ACAS) raised from 3,974,900 shares to 4,224,900 shares
Aradigm Corp. (NASDAQ: ARDM) raised from 19,662 shares to 65,903 shares
Bank of America Corp (NYSE: BAC) raised from 8,960,537 shares to 12,956,579 shares
BIOGEN IDEC Inc. (NASDAQ: BIIB) raised from 118,400 shares to 123,100 shares
Boston Scientific (NYSE: BSX) raised from 74,000 shares to 94,000 shares
(: ) raised from 149,500,000 shares to 219,229,000 shares
COMMUNITY HEALTH S. (NYSE: CYH) (PUT) raised from 350,000 shares to 880,000 shares
DexCom, Inc. (NASDAQ: DXCM) raised from 41,300 shares to 123,500 shares
Expedia Inc. (NASDAQ: EXPE) raised from 87,800 shares to 89,200 shares
Facebook (NASDAQ: FB) raised from 44,000 shares to 144,400 shares
INGRAM MICRO, Inc. (NYSE: IM) raised from 29,100 shares to 134,900 shares
ITC HOLDINGS CORP. (NYSE: ITC) raised from 37,600 shares to 79,500 shares
Loxo Oncology (NASDAQ: LOXO) raised from 225,341 shares to 250,341 shares
Mylan Inc. (NASDAQ: MYL) (CALL) raised from 611,200 shares to 1,030,400 shares
OFFICE DEPOT, Inc. (NASDAQ: ODP) raised from 7,809,600 shares to 15,709,757 shares
PUMA BIOTECHNOLOGY, Inc. (NYSE: PBYI) raised from 70,300 shares to 145,800 shares
RITE AID CORPORATION (NYSE: RAD) raised from 263,500 shares to 580,900 shares
Shire plc (: SHPGF) (CALL) raised from 58,000 shares to 88,000 shares
SYNERGY PHARMA (NASDAQ: SGYP) raised from 11,090,000 shares to 27,756,668 shares
VALEANT PHARMACEUTICALS INTERNATIONAL (NYSE: VRX) raised from 13,284,800 shares to 19,072,000 shares

Lowered Stakes
Activision Blizzard, Inc. (NASDAQ: ATVI) lowered from 3,140,000 shares to 1,000,000 shares
Akorn, Inc. (NASDAQ: AKRX) lowered from 9,318,600 shares to 9,012,900 shares
Allergan Inc (NYSE: AGN) lowered from 5,418,300 shares to 3,948,451 shares
American International Group, Inc. (NYSE: AIG) lowered from 11,232,800 shares to 9,060,100 shares
ANGLOGOLD ASHANTI LIMITED (NYSE: AU) lowered from 15,222,400 shares to 12,820,100 shares
BE Aerospace, Inc. (NASDAQ: BEAV) lowered from 3,000,000 shares to 980,600 shares
(: ) lowered from 149,500,000 shares to 98,260,000 shares
COBALT INTERNATIONAL ENERGY, Inc. (NYSE: CIE) lowered from 39,545,200 shares to 39,096,300 shares
DEMANDWARE, Inc. (NYSE: DWRE) lowered from 276,527 shares to 65,027 shares
Dynavax Technologies Corporation (NASDAQ: DVAX) lowered from 199,700 shares to 174,000 shares
ENDO INTERNAT (NASDAQ: ENDP) lowered from 9,517,500 shares to 8,956,300 shares
Etsy (NASDAQ: ETSY) lowered from 1,469,910 shares to 1,223,910 shares
FELCOR LODGING TRUST, Inc. (NYSE: FCH) lowered from 1,950,000 shares to 950,000 shares
GRIFOLS SP ADR-B (NASDAQ: GRFS) lowered from 17,533,764 shares to 7,345,166 shares
LivaNova plc (NASDAQ: LIVN) lowered from 2,515,500 shares to 260,000 shares
MALLINCKRODT PUBLIC LIMITED COMPANY (NYSE: MNK) lowered from 8,949,380 shares to 8,371,080 shares
McKesson Corp. (NYSE: MCK) lowered from 62,500 shares to 60,500 shares
(: ) lowered from 149,500,000 shares to 114,500,000 shares
Mylan Inc. (NASDAQ: MYL) lowered from 23,335,861 shares to 22,028,061 shares
NOVACOPPER, Inc. (NYSE: NCQ) lowered from 11,823,019 shares to 11,623,451 shares
NOVAGOLD RESOURCES, Inc. (NYSE: NG) lowered from 35,516,057 shares to 25,705,396 shares
OASIS PETROLEUM, Inc. (NYSE: OAS) lowered from 5,344,924 shares to 5,287,167 shares
Overseas Shipholding Group (NYSE: OSG) lowered from 270,839 shares to 45,139 shares
Perrigo (NYSE: PRGO) lowered from 2,639,300 shares to 12,500 shares
Pfizer Inc. (NYSE: PFE) lowered from 1,378,100 shares to 510,400 shares
REALOGY HOLDINGS CORP. (NYSE: RLGY) lowered from 5,260,000 shares to 4,785,000 shares
Shire plc (: SHPGF) lowered from 7,071,050 shares to 5,194,600 shares
Starwood Hotels & Resorts (NYSE: HOT) lowered from 5,532,000 shares to 4,496,476 shares
T-MOBILE US, Inc. (NASDAQ: TMUS) lowered from 14,624,100 shares to 979,900 shares
TEVA PHARMACEUTICAL INDUSTRIES (NYSE: TEVA) lowered from 20,602,200 shares to 16,773,800 shares
TIM PARTICIPACOES S.A., (NYSE: TSU) lowered from 5,970,000 shares to 5,860,300 shares
Vanda Pharmaceuticals, Inc. (NASDAQ: VNDA) lowered from 3,927,000 shares to 3,864,717 shares

Liquidated Stakes
Airgas Inc (NYSE: ARG) liquidated
Baxalta (NYSE: BXLT) liquidated
Cablevision Systems Corp. (NYSE: CVC) liquidated
DEX MEDIA (NASDAQ: DXM) liquidated
Diplomat Pharmacy (NYSE: DPLO) liquidated
Lam Research (NASDAQ: LRCX) liquidated
OI S.A. (NYSE: OIBR) liquidated
Pfizer Inc. (NYSE: PFE) (CALL) liquidated
POST HOLDINGS, Inc. (NYSE: POST) liquidated
RADIAN GROUP, Inc. (NYSE: RDN) liquidated
SanDisk Corporation (NASDAQ: SNDK) liquidated
SUNCOR ENERGY, Inc. (NYSE: SU) liquidated
Tandem Diabetes (NASDAQ: TNDM) (PUT) liquidated
Time Warner Cable Inc. (NYSE: TWC) liquidated
Vertex Pharmaceuticals Inc (NASDAQ: VRTX) liquidated

Maintained Stakes
AGNICO EAGLE MINES LTD. (NYSE: AEM) maintained 1,260,600 share stake
Allergan Inc (NYSE: AGN) (CALL) maintained 214,700 share stake
Bank of America Corp (NYSE: BAC) maintained 8,960,537 share stake
BioCryst Pharmaceuticals, Inc. (NASDAQ: BCRX) maintained 263,100 share stake
CAESARS ACQ-A (NASDAQ: CACQ) maintained 13,141,098 share stake
CAESARS ENTMNT (NASDAQ: CZR) maintained 14,441,000 share stake
CELLDEX THERAPEUTICS, Inc. (NASDAQ: CLDX) maintained 70,800 share stake
ENDO INTERNAT (NASDAQ: ENDP) (CALL) maintained 119,900 share stake
ENZYMOTEC (NASDAQ: ENZY) maintained 4,224,139 share stake
ESPERION THERAP (NASDAQ: ESPR) maintained 102,000 share stake
EXTENDED STAY AMERICA, Inc. (NYSE: STAY) maintained 42,661,591 share stake
IAMGOLD CORPORATION (NYSE: IAG) maintained 3,863,912 share stake
INSMED (NASDAQ: INSM) maintained 205,200 share stake
INTERNATIONAL TOWER HILL MINES, LTD. (NYSE: THM) maintained 23,058,000 share stake
KAMADA LTD (NASDAQ: KMDA) maintained 736,117 share stake
WILLIAM LYON HOMES (NYSE: WLH) maintained 3,322,666 share stake
Randgold Resources Ltd (NASDAQ: GOLD) maintained 500,000 share stake
Rigel Pharmaceuticals, Inc. (NASDAQ: RIGL) maintained 999,700 share stake
SPDR GOLD TRUST, SPDR GOLD SHARES (NYSE: GLD) maintained 4,775,012 share stake
Synthesis Energy Systems, Inc. (NASDAQ: SYMX) maintained 10,000,000 share stake

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