683 Capital Management

Latest statistics and disclosures from 683 Capital Management's latest quarterly 13F-HR filing:

683 Capital Management portfolio companies for June 2014 quarter

Ticker Name Portfolio Weight Change Share Count Price Last Trade
EXAS EXACT Sciences Corporation 12.23 1900000 17.03 24.56
Nuveen Ins Ny Tx Fr Adv Mun 6.69 1351100 13.11 0.00
SLV iShares Silver Trust 6.24 815000 20.25 15.26
Sibanye Gold 4.54 -6.00% 1089300 11.03 0.00
News Corp Class B cos 4.32 +3.00% 655100 17.45 0.00
Ryman Hospitality Pptys 4.28 235000 48.15 0.00
Gevo Inc note 7.500% 4.03 18400000 0.58 0.00
Sequential Brands 3.77 -27.00% 721325 13.81 0.00
Covidien 3.59 +23.00% 105464 90.18 0.00
DRRX DURECT Corporation 3.43 +19.00% 4990000 1.82 0.75
Tower Group Inc conv 3.43 +52.00% 10686000 0.85 0.00
BRK.B Berkshire Hathaway 3.42 71500 126.56 0.00
AMTRUST FINANCIAL CONVERTIBLE Services Inc security 3.12 5000000 1.65 0.00
Gaming & Leisure Pptys 3.01 +11.00% 234565 33.97 0.00
IRS IRSA Inversiones Representaciones 2.94 -17.00% 475000 16.39 14.44
MU Micron Technology 2.71 218000 32.95 33.06
Stonegate Mortgage 2.54 482336 13.95 0.00
CSH Cash America International 1.99 NEW 118549 44.43 48.99
Blackhawk Network Holdings 1.92 NEW 189567 26.85 0.00
National Gen Hldgs 1.63 -16.00% 247500 17.40 0.00
LINE Linn Energy 1.62 +32.00% 132902 32.34 24.52
Xcerra 1.55 NEW 450000 9.10 0.00
VLO Valero Energy Corporation 1.51 NEW 79500 50.09 49.97
Regional Management 1.46 NEW 250000 15.47 0.00
Mondelez Int 1.32 93000 37.61 0.00
Navient Corporation equity 1.27 NEW 190000 17.71 0.00
Preferred Apartment Communitie 1.16 -31.00% 347461 8.87 0.00
Apollo Residential Mortgage 1.11 175200 16.72 0.00
Galmed Pharmaceuticals Ltd shs 0.97 +66.00% 264546 9.74 0.00
MDC M.D.C. Holdings 0.92 NEW 80000 30.29 24.78
CRESY Cresud 0.84 +59.00% 170000 13.05 10.54
Codexis 0.59 1062500 1.46 0.00
Harvard Apparatus Regener Te 0.57 +43.00% 143989 10.45 0.00
ENX Eaton Vance New York Municipal Bond Fund 0.54 115189 12.50 12.50
VHC VirnetX Holding Corporation 0.50 NEW 74600 17.61 5.95
ROYAL BK SCOTLAND Group Plc sp adr l rp pf 0.45 NEW 52000 23.08 0.00
Nuveen Ny Div Advantg Mun Fd 0.43 83750 13.46 0.00
WLT Walter Energy 0.41 NEW 200000 5.45 2.28
Boston Private Financial 6.95% 0.41 -36.00% 43205 24.86 0.00
Liquid Hldgs 0.40 NEW 550000 1.91 0.00
Sears Hometown and Outlet Stores 0.34 NEW 41704 21.46 0.00
Wright Med Group Inc right 03/01/2019 0.34 600000 1.49 0.00
BYD Boyd Gaming Corporation 0.32 NEW 70000 12.13 11.81
Nuveen Ny Divid Advntg Mun F 0.26 49805 13.73 0.00
ARIA Ariad Pharmaceuticals 0.24 100000 6.37 6.04
AYN Alliance New York Municipal Income Fund, 0.20 41261 12.77 12.73
KBR KBR 0.18 20000 23.85 18.82
Nordic American Tanker Shippin 0.18 -80.00% 50000 9.54 0.00
BSE BlackRock New York Insured Municipal 0.07 13841 13.22 13.13

Past 13F-HR SEC Filings for 683 Capital Management