Cooperman's Omega Advisors Gets Into Gold and Silver ETFs (GLD) (GDX) (SLV) (more...)

May 15, 2013 3:56 PM EDT
Leon Cooperman's Omega Advisors released its 13F for the quarter ended March 31, 2013. Below is a summary:

New Stakes
Axiall Corporation (NYSE: AXLL) new 496,650 share position
Cobalt International Energy (NYSE: CIE) new 1,000,000 share position
Covidien (NYSE: COV) new 887,300 share position
Electronic Arts, Inc. (NASDAQ: EA) new 650,000 share position
EV Energy Partners, L.P. (NASDAQ: EVEP) new 953,342 share position
iShares Silver Trust (NYSE: SLV) new 160,000 share position
LyondellBasell Industries Cl A (NYSE: LYB) new 1,215,000 share position
Market Vectors Oil Services ETF (NYSE: OIH) new 37,000 share position
Market Vectors-Agribusiness ETF (NYSE: MOO) new 36,000 share position
Market Vectors ETF Trust Market Vectors Gold Miners (NYSE: GDX) new 115,000 share position
Occidental Petroleum Corp. (NYSE: OXY) new 977,704 share position
PowerShares DB Commodity Index Fund (NYSE: DBC) new 100,000 share position
Silver Bay Realty Trust (NYSE: SBY) new 4,900 share position
SPDR Gold Trust (NYSE: GLD) new 90,000 share position
SPDR S&P China ETF (NYSE: GXC) new 25,000 share position
Supervalu, Inc. (NYSE: SVU) new 6,873,627 share position
Time Warner, Inc. (NYSE: TWX) new 125,000 share position
WisdomTree Trust Japan Total Dividend Fund (NYSE: DXJ) new 125,000 share position

Raised Stakes
ALTISOURCE REG (NASDAQ: ASPS) raised from 964,747 shares to 1,247,546 shares
Atlas Pipeline Partners L.P. (NYSE: APL) raised from 5,012,951 shares to 5,068,951 shares
Atlas Resource Partners LP (NYSE: ARP) raised from 2,647,635 shares to 2,675,235 shares
Atmel Corp (NASDAQ: ATML) raised from 7,124,300 shares to 7,173,700 shares
Boston Scientific Corp. (NYSE: BSX) raised from 14,523,500 shares to 16,473,300 shares
Capital One Financial Corp. (NYSE: COF) raised from 1,249,400 shares to 1,719,600 shares
Chimera Investment (NYSE: CIM) raised from 22,033,580 shares to 48,805,196 shares
Citigroup, Inc. (NYSE: C) raised from 909,000 shares to 2,242,100 shares
Crocs, Inc. (NASDAQ: CROX) raised from 2,149,340 shares to 2,576,360 shares
Denbury Resources, Inc. (NYSE: DNR) raised from 4,164,727 shares to 4,200,227 shares
Eastman Chemical Co. (NYSE: EMN) raised from 793,800 shares to 1,542,400 shares
EXPRESS SCRPTS HLDG (NASDAQ: ESRX) raised from 2,670,400 shares to 2,740,727 shares
FACEBOOK-A (NASDAQ: FB) raised from 3,161,300 shares to 3,665,300 shares
Halliburton Co. (NYSE: HAL) raised from 3,757,400 shares to 4,009,900 shares
JPMorgan Chase & Co. (NYSE: JPM) raised from 30,100 shares to 42,900 shares
Kinder Morgan Energy Partners LP (NYSE: KMP) raised from 5,001,159 shares to 5,042,659 shares
Linn Energy, LLC (NASDAQ: LINE) raised from 4,271,688 shares to 7,158,488 shares
McMoRan Exploration Co. (NYSE: MMR) raised from 9,111,400 shares to 9,596,600 shares
Merck & Co., Inc. (NYSE: MRK) raised from 590,000 shares to 1,921,300 shares
MetLife, Inc. (NYSE: MET) raised from 3,011,585 shares to 3,028,585 shares
Motorola Solutions (NYSE: MSI) raised from 2,060,800 shares to 2,076,000 shares
Newcastle Investment Corp. (NYSE: NCT) raised from 300,000 shares to 4,062,800 shares
NYSE Euronext (NYSE: NYX) raised from 3,859,699 shares to 4,128,799 shares
Polycom, Inc. (NASDAQ: PLCM) raised from 5,662,325 shares to 9,808,699 shares *
PVH Corp. (NYSE: PVH) raised from 556,135 shares to 723,235 shares
Qualcomm, Inc. (NASDAQ: QCOM) raised from 2,392,200 shares to 3,300,600 shares
SandRidge Energy (NYSE: SD) raised from 24,378,545 shares to 26,595,610 shares *
Sirius XM Radio, Inc. (NASDAQ: SIRI) raised from 71,479,203 shares to 71,951,203 shares
Sprint Nextel (NYSE: S) raised from 56,018,527 shares to 65,230,717 shares
Transocean (NYSE: RIG) raised from 3,115,545 shares to 3,174,545 shares
UnitedHealth Group, Inc. (NYSE: UNH) raised from 1,608,248 shares to 1,620,248 shares

Lowered Stakes
American International Group, Inc. (NYSE: AIG) lowered from 7,790,600 shares to 7,747,300 shares
DISH Network Corp. (NASDAQ: DISH) lowered from 3,697,271 shares to 3,199,971 shares
ENERGY USD UNRESTR (NASDAQ: EXXI) lowered from 2,916,536 shares to 1,871,515 shares
Freeport-McMoRan Copper & Gold (NYSE: FCX) lowered from 3,106,000 shares to 3,092,000 shares
Gannett Co., Inc. (NYSE: GCI) lowered from 1,350,200 shares to 131,177 shares
GMX Resources (NYSE: GMXR) lowered from 2,768,657 shares to 212,971 shares
Google, Inc. (NASDAQ: GOOG) lowered from 66,295 shares to 36,295 shares
KKR & Co. L.P. (NYSE: KKR) lowered from 4,982,557 shares to 3,275,713 shares
KKR Financial Holdings (NYSE: KFN) lowered from 13,883,323 shares to 13,801,010 shares
SLM (NASDAQ: SLM) lowered from 15,531,524 shares to 14,970,463 shares
Williams Cos. (NYSE: WMB) lowered from 3,166,508 shares to 3,161,008 shares

Liquidated Stakes
BRE Properties, Inc. (NYSE: BRE) liquidated
Broadridge Financial Solutions (NYSE: BR) liquidated
Family Dollar Stores, Inc. (NYSE: FDO) liquidated
Fortress Investment Group Cl A (NYSE: FIG) liquidated
Given Imaging Ltd (NASDAQ: GIVN) liquidated
Humana, Inc. (NYSE: HUM) liquidated
KKR Financial Holdings LLC (NYSE: KFN-P) liquidated
McMoRan Exploration Co. (NYSE: MMR) (CALL) liquidated
MDC Partners Inc. Class A (NASDAQ: MDCA) liquidated
Tivo, Inc. (NASDAQ: TIVO) liquidated
VeriFone Systems (NYSE: PAY) liquidated
Watson Pharmaceuticals, Inc. (NYSE: WPI) liquidated
WellPoint, Inc. (NYSE: WLP) liquidated
Western Union (NYSE: WU) liquidated

Maintained Stakes
AG Mortgage Investment Trust (NYSE: MITT) maintained 269,590 share stake
Altisource Residential (NYSE: RESI) maintained 334,912 share stake
Apollo Investment Corporation (NASDAQ: AINV) maintained 150,000 share stake
Atlas Energy LP (NYSE: ATLS) maintained 3,893,671 share stake
Center Bancorp, Inc. (NASDAQ: CNBC) maintained 545,000 share stake
Crosstex Energy LP (NASDAQ: XTEX) maintained 23,100 share stake
E TRADE FNCL (NASDAQ: ETFC) maintained 7,950,880 share stake
Harbinger Group (NYSE: HRG) maintained 5,000,000 share stake
Las Vegas Sands (NYSE: LVS) maintained 265,600 share stake
LINNCO (NASDAQ: LNCO) maintained 681,113 share stake
Loral Space and Communications, Inc. (NASDAQ: lorl) maintained 603,700 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
THL CREDIT (NASDAQ: TCRD) maintained 1,231,307 share stake
Two Harbors Investment (NYSE: TWO) maintained 100,000 share stake
Validus Holdings Ltd. (NYSE: VR) maintained 996,896 share stake
Wells Fargo & Co. (NYSE: WFC) maintained 1,657,000 share stake
WPX Energy (NYSE: WPX) maintained 2,103,224 share stake
XL Group (NYSE: XL) maintained 4,033,337 share stake

* Since the original filing these positions have been updated further.


Serious News for Serious Traders! Try StreetInsider.com Premium Free!

You May Also Be Interested In





Related Categories

13Fs, ETFs, Hedge Funds

Related Entities

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