Summary of Loeb's Third Point LLC 13F

August 15, 2007 1:24 PM EDT

Daniel Loeb's Third Point LLC issued their latest 13F for the quarter ended June 30, 2007:

Below is a Summary:

New Stakes:
Abraxas Petroleum Corp. (AMEX: ABP) 1,207,572 shares
Aeroflex Inc. (Nasdaq: ARXX) 1,260,000 shares
Apartment Investment & Management Co. (NYSE: AIV) 755,000 shares
Applera Corp-Applied Biosystems Group (NYSE: ABI) 200,000 shares
Atmel Corp. (Nasdaq: ATML) 24,400,000 shares
BEA Systems Inc. (Nasdaq: BEAS) 9,650,000 shares
BioFuel Energy Corp. (Nasdaq: BIOF) 1,250,000 shares
CIT Group Inc. (NYSE: CIT) 750,000 shares
Citadel Broadcasting Corporation (NYSE: CDL) 4,396,163 shares
Clear Channel Communications Inc. (NYSE: CCU) 2,750,000 shares
Cypress Bioscience Inc. (Nasdaq: CYPB) 100,000 shares
Dillard's Inc. (NYSE: DDS) 1,000,000 shares
Dominion Resources Inc. (NYSE: D) 400,000 shares
Douglas Emmett Inc (NYSE: DEI) 2,750,000 shares
Greenlight Capital Re, Ltd. (Nasdaq: GLRE) 800,000 shares
Herbalife Ltd. (NYSE: HLF) 1,000,000 shares
Home Solutions of America Inc. (Nasdaq: HSOA) 100,000 share PUT
ICICI Bank Ltd. (NYSE: IBN) 1,110,000 shares
Invesco Plc (NYSE: IVZ) 850,000 shares
Linn Energy, LLC (Nasdaq: LINE) 1,733,331 shares
Medis Technologies Ltd. (Nasdaq: MDTL) 100,000 shares
NuStar GP Holdings LLC (NYSE: NSH) 2,000,000 units
OM Group Inc. (NYSE: OMG) 2,050,000 shares
Post Properties Inc. (NYSE: PPS) 165,000 shares
T. Rowe Price Group, Inc. (Nasdaq: TROW) 100,000 shares PUT
Symantec Corporation (Nasdaq: SYMC) 500,000 shares
UBS AG (NYSE: UBS) 150,000 shares
United Therapeutics Corp. (Nasdaq: UTHR) 250,000 shares
Vantage Energy Services, Inc. (AMEX: VTG) 1,875,000 shares
Veeco Instruments Inc. (Nasdaq: VECO) 1,425,000 shares
Victory Acquisition Corp. (AMEX: VRY) 2,200,000 shares
Willbros Group Inc. (NYSE: WG) 1,500,000 shares

Raised Stakes:
Acadia Pharmaceuticals Inc. (Nasdaq: ACAD) from 350,000 shares to 475,000 shares
Alkermes, Inc. (Nasdaq: ALKS) from 750,000 shares to 2,835,000 shares
ATP Oil & Gas Corp. (Nasdaq: ATPG) from 2,000,000 shares to 2,500,000 shares
Eddie Bauer Holdings, Inc. (Nasdaq: EBHI) from 1,200,000 shares to 1,425,000 shares
Bausch & Lomb Inc. (NYSE: BOL) from 300,000 shares to 1,605,000 shares
Candela Corp. (Nasdaq: CLZR) from 1,275,000 shares to 2,120,000 shares
Charming Shoppes Inc. (Nasdaq: CHRS) from 2,2000,000 shares to 5,250,000 shares
CSX (NYSE: CSX) from 1,300,000 shares to 2,000,000 shares
CV Therapeutics, Inc. (Nasdaq: CVTX) from 1,350,000 shares to 5,900,000 shares
Cypress Semiconductor Corporation (NYSE: CY) from 750,000 shares to 5,300,000 shares
DAIMLERCHRYSLER (NYSE: DAI) from 322,000 shares to 447,000 shares
DepoMed Inc. (Nasdaq: DEPO) from 325,000 shares to 4,735,000 shares
Flamel Technologies SA (Nasdaq: FLML) from 225,000 shares to 920,000 shares
Freedom Acquisition Holdings Inc. (NYSE: FRH) from 1,500,000 shares to 2,700,000 shares
Granite Construction Inc. (NYSE: GVA) from 1,350,000 shares to 3,500,000 shares
Infineon Technologies AG (NYSE: IFX) from 1,800,000 shares to 2,600,000 shares
Nabi Biopharmaceuticals (Nasdaq: NABI) from 5,750,000 shares to 6,890,000 shares
Norfolk Southern Corp. (NYSE: NSC) from 1,250,000 shares to 1,350,000 shares
Northern Orion Resources Inc. (AMEX: NTO) from 7,600,000 shares to 8,600,000 shares
NYSE Euronext, Inc. (NYSE: NYX) from 1,650,000 shares to 4,849,700 shares
PDL BioPharma Inc. (Nasdaq: PDLI) from 8,450,000 shares to 11,400,000 shares
Questar Corp. (NYSE: STR) from 325,000 shares to 3,500,000 shares
Synovus Financial Corp. (NYSE: SNV) from 5,500,000 shares to 7,375,000 shares
Tronox Inc. (NYSE: TRX) from 450,000 shares to 2,500,000 shares
Union Pacific Corp. (NYSE: UNP) from 500,000 shares to 700,000 shares

Lowered Stakes:
Acorda Therapeutics, Inc. (Nasdaq: ACOR) from 2,290,000 shares to 1,000,000 shares
AEP Industries Inc. (Nasdaq: AEPI) from 1,000,000 to 0
Alexion Pharmaceuticals, Inc. (Nasdaq: ALXN) from 400,000 shares to 0
BearingPoint (NYSE: BE) from 3,000,000 to 0
Bristol-Myers Squibb Co. (NYSE: BMY) 200,000 to 0
Cephalon Inc. (Nasdaq: CEPH) from 375,000 shares to 200,000 shares
Clearwire Corporation (Nasdaq: CLWR) 150,000 shares to 0
Embarq Corp. (NYSE: EQ) from 325,000 shares to 225,000 shares
Euroseas, Ltd. (ESEA) from 262,212 shares to 0
FMC Corp. (NYSE: FMC) from 700,000 shares to 0
FEI Co. (Nasdaq: FEIC) from 2,130,000 shares to 1,950,000 shares
General Motors Corporation (NYSE: GM) from 1,000,000 to 0
ICO GLOBAL COMM CL A (Nasdaq: ICOG) from 4,500,000 shares to 2,245,000 shares
Invitrogen Corp. (Nasdaq: IVGN) from 800,000 shares to 750,000 shares
Koninklijke Philips Electronics NV (NYSE: PHG) from 685,000 shares to 400,000 shares
Leap Wireless International Inc. (Nasdaq: LEAP) from 750,000 shares to 575,000 shares
Martin Marietta Materials Inc. (NYSE: MLM) from 2,575,000 shares to 550,000 shares
Mastercard Incorporated (NYSE: MA) from 1,900,000 shares to 1,600,000 shares
MDS, Inc. (NYSE: MDZ) from 1,350,00 shares to 0
Molex Inc. (Nasdaq: MOLX) 475,000 shares to 181,700 shares
Motorola Inc. (NYSE: MOT) 3,000,000 shares to 0
Neurochem Inc. (Nasdaq: NRMX) from 250,000 to 0
Neurocrine Biosciences Inc. (Nasdaq: NBIX) from 1,215,000 shares to 0
Onyx Pharmaceuticals Inc. (Nasdaq: ONXX) from 1,080,000 shares to 500,000 shares
Plains Exploration & Production Company (NYSE: PXP) from 2,000,000 shares to 0
QIMONDA AG (NYSE: QI) from 400,000 shares to 0
QUALCOMM (Nasdaq: QCOM) from 500,000 shares to 0
Ryerson Inc. (NYSE: RYI) from 1,975,000 shares to 0
SAIC, Inc. (NYSE: SAI) from 300,000 shares to 0
Sears Holdings Corporation (Nasdaq: SHLD) from 500,000 shares to 0
SunPower Corporation (Nasdaq: SPWR) from 559,800 shares to 336,800 shares
Talisman Energy Inc. (NYSE: TLM) from 3,750,000 shares to 1,000,000 shares
Temple-Inland Inc. (NYSE: TIN) from 300,000 shares to 0
Tronox Inc. (NYSE: TRX) from 900,000 shares to 0
Verigy, Ltd. (Nasdaq: VRGY) 900,000 shares to 800,000 shares

Maintained Stakes:
Ariad Pharmaceuticals Inc. (Nasdaq: ARIA), Burlington Northern Santa Fe Corp. (NYSE: BNI), CBS CORP CL B (NYSE: CBS), Chipotle Mexican Grill, Inc. (NYSE: CMG), Coleman Cable, Inc. (Nasdaq: CCIX), Core-Mark Holding Company, Inc. (Nasdaq: CORE), Dade Behring Holdings Inc. (Nasdaq: DADE), EXCO Resources Inc. (NYSE: XCO), Flow International Corp. (Nasdaq: FLOW), Harrah's Entertainment Inc. (NYSE: ET), IHOP Corp. (NYSE: IHP), Kansas City Southern (NYSE: KSU), Ligand Pharmaceuticals Inc. (Nasdaq: LGND), Loral Space & Communications, Inc. (Nasdaq: LORL), Massey Energy Co. (NYSE: MEE), Pogo Producing Co. (NYSE: PPP)


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