Cooperman's Omega Shows New Stakes in Atmel (ATML), (CTRP), Tivo (TIVO), Walgreen (WAG), more...

November 13, 2012 1:33 PM EST
Leon Cooperman's Omega Advisors hedge fund released its 13F for the quarter ended Sept. 30, 2012. Below is a summary of the funds' move during the quarter.

New Stakes
Atmel Corp (NASDAQ: ATML) new 3,300,000 share position International, Ltd. (NASDAQ: CTRP) new 1,732,200 share position
Family Dollar Stores, Inc. (NYSE: FDO) new 207,800 share position
Fortress Investment Group Llc (NYSE: FIG) new 448,859 share position
Polycom, Inc. (NASDAQ: PLCM) new 3,882,000 share position
S&P DEP RECEIPTS (NYSE: SPY) new 94,000 share position
Tivo, Inc. (NASDAQ: TIVO) new 2,400,000 share position
Walgreen Company (NYSE: WAG) new 1,884,200 share position

Raised Stakes
Ag Mortgage Investment Trust, Inc. (NYSE: MITT) raised from 250,000 shares to 269,590 shares
American Int'L Group, Inc. (NYSE: AIG) raised from 4,586,900 shares to 8,054,600 shares
Apple, Inc. (NASDAQ: AAPL) raised from 266,104 shares to 266,404 shares
Atlas Energy, L.P. (NYSE: ATLS) raised from 3,805,737 shares to 3,861,676 shares
AUDIENCE (NASDAQ: ADNC) raised from 421,065 shares to 762,489 shares
Boston Scientific Corp. (NYSE: BSX) raised from 11,554,900 shares to 14,331,900 shares
Capital One Financial (NYSE: COF) raised from 844,600 shares to 1,234,900 shares
Chimera Investment Corp. (NYSE: CIM) raised from 200,000 shares to 950,000 shares
Citigroup, Inc. (NYSE: C) raised from 481,100 shares to 847,400 shares
Denbury Resources, Inc. (NYSE: DNR) raised from 1,948,527 shares to 2,709,327 shares
DISH Network Corp. (NASDAQ: DISH) raised from 3,246,592 shares to 4,513,893 shares
EXPRESS SCRPTS HLDG (NASDAQ: ESRX) raised from 1,790,500 shares to 1,939,600 shares
Gannett Co., Inc. (NYSE: GCI) raised from 4,145,400 shares to 4,411,300 shares
Google, Inc. (NASDAQ: GOOG) raised from 61,275 shares to 66,575 shares
Halliburton Company (NYSE: HAL) raised from 2,591,100 shares to 3,254,700 shares
Humana, Inc. (NYSE: HUM) raised from 751,200 shares to 1,245,300 shares
Kinder Morgan Energy Ptnr (NYSE: KMP) raised from 4,632,837 shares to 4,656,137 shares
Kkr & Co. L.P. (NYSE: KKR) raised from 4,873,261 shares to 4,885,561 shares
Mcclatchy Company (NYSE: MNI) raised from 386,300 shares to 400,000 shares
Mcmoran Exploration Co. (NYSE: MMR) raised from 7,133,800 shares to 7,309,500 shares
MDC Partners Inc. Class A (NASDAQ: MDCA) raised from 163,838 shares to 200,000 shares
Metlife, Inc. (NYSE: MET) raised from 2,548,285 shares to 2,614,985 shares
Motorola Solutions, Inc. New (NYSE: MSI) raised from 1,298,500 shares to 2,017,400 shares
Nyse Euronext (NYSE: NYX) raised from 1,180,500 shares to 1,275,600 shares
Qualcomm, Inc. (NASDAQ: QCOM) raised from 2,202,100 shares to 2,393,100 shares
Resource America, Inc. (NASDAQ: REXI) raised from 100,000 shares to 1,191,733 shares
Sirius XM Radio, Inc. (NASDAQ: SIRI) raised from 58,532,503 shares to 63,932,303 shares
SLM (NASDAQ: SLM) raised from 15,209,724 shares to 15,590,624 shares
Transocean Ltd. (NYSE: RIG) raised from 2,564,345 shares to 3,043,145 shares
Validus Holdings, Ltd. (NYSE: VR) raised from 831,696 shares to 1,000,396 shares

Lowered Stakes
Ace Limited (NYSE: ACE) lowered from 443,593 shares to 264,893 shares
ALTISOURCE REG (NASDAQ: ASPS) lowered from 1,674,100 shares to 1,339,200 shares
Atlas Pipeline Partners (NYSE: APL) lowered from 5,184,303 shares to 5,004,203 shares
Atlas Resource Partners, L.P. Common Units (NYSE: ARP) lowered from 1,535,123 shares to 1,526,128 shares
Broadridge Financial Solutions, Inc. (NYSE: BR) lowered from 2,688,814 shares to 1,183,514 shares
Crosstex Energy LP (NASDAQ: XTEX) lowered from 23,100 shares to 356 shares
Cvs Caremark Corporation (NYSE: CVS) lowered from 596,955 shares to 56,000 shares
International Paper Co. (NYSE: IP) lowered from 7,298,079 shares to 5,925,218 shares
Eastman Chemical Company (NYSE: EMN) lowered from 811,700 shares to 797,500 shares
ENERGY USD UNRESTR (NASDAQ: EXXI) lowered from 2,968,736 shares to 2,917,736 shares
Given Imaging Ltd (NASDAQ: GIVN) lowered from 2,203,591 shares to 2,097,236 shares
Jpmorgan Chase & Co. (NYSE: JPM) lowered from 790,764 shares to 589,100 shares
Kkr Financial Holding Llc (NYSE: KFN) lowered from 14,104,367 shares to 13,883,323 shares
Lincoln National Corp. (NYSE: LNC) lowered from 1,756,716 shares to 1,519,216 shares
Linn Energy, LLC (NASDAQ: LINE) lowered from 4,714,100 shares to 4,697,575 shares
Loral Space and Communications, Inc. (NASDAQ: lorl) lowered from 629,400 shares to 606,400 shares
Mcdermott International (NYSE: MDR) lowered from 1,839,600 shares to 600,731 shares
Ocwen Financial Corporation (NYSE: OCN) lowered from 3,640,475 shares to 292,300 shares
Pvh Corp. (NYSE: PVH) lowered from 688,800 shares to 684,000 shares
Range Resources Corp (NYSE: RRC) lowered from 555,000 shares to 547,400 shares
Sprint Nextel Corporation (NYSE: S) lowered from 43,127,000 shares to 42,784,100 shares
Unitedhealth Group Incorporated (NYSE: UNH) lowered from 2,030,738 shares to 1,965,638 shares
Vodafone Group PLC (NASDAQ: VOD) lowered from 410,456 shares to 10,696 shares
Watson Pharmaceuticals (NYSE: WPI) lowered from 938,300 shares to 79,310 shares
Wellpoint, Inc. (NYSE: WLP) lowered from 2,043,727 shares to 1,285,527 shares
Wells Fargo & Co. (NYSE: WFC) lowered from 1,443,600 shares to 1,400,300 shares
The Western Union Company (NYSE: WU) lowered from 4,343,713 shares to 79,713 shares
Williams Companies (NYSE: WMB) lowered from 2,927,008 shares to 100,473 shares
Wpx Energy, Inc. (NYSE: WPX) lowered from 1,041,764 shares to 33,238 shares
Xl Group Plc (NYSE: XL) lowered from 4,047,337 shares to 97,147 shares

Liquidated Stakes
Blackstone Group LP (NYSE: BX) liquidated
Citrix Systems, Inc. (NASDAQ: CTXS) liquidated
(: ) liquidated
Lam Research Corp (NASDAQ: LRCX) liquidated
Magnum Hunter Resources Corp (NYSE: MHR) liquidated
McGraw-Hill Cos. (NYSE: MHP) liquidated
United Continental Holdings (NYSE: UAL) liquidated
Valassis Communications, Inc. (NYSE: VCI) liquidated
Walter Energy, Inc. (NYSE: WLT) liquidated

Maintained Stakes
Apollo Investment Corporation (NASDAQ: AINV) maintained 150,000 share stake
Center Bancorp, Inc. (NASDAQ: CNBC) maintained 545,000 share stake
Newcastle Investment Corporation (NYSE: NCT) maintained 300,000 share stake
Resource Capital Corp. (NYSE: RSO) maintained 800,000 share stake
Sunoco, Inc. (NYSE: SUN) maintained 465,000 share stake
Teekay Lng Partners L.P. (NYSE: TGP) maintained 20,000 share stake
THL CREDIT (NASDAQ: TCRD) maintained 1,269,107 share stake
Two Harbors Investment Corp. (NYSE: TWO) maintained 100,000 share stake

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