683 Capital Management

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

683 Capital Management portfolio companies for December 2013 quarter

Ticker Name Portfolio Weight Change Share Count Price Last Trade
GLD SPDR Gold Trust 26.71 +6.00% 804800 116.12 123.49
EXAS EXACT Sciences Corporation 6.64 1978600 11.75 13.09
Nuveen Ins Ny Tx Fr Adv Mun 4.82 NEW 1372300 12.28 0.00
Gevo Inc note 7.500% 4.21 21350000 0.69 0.00
News Corp Class B cos 3.18 -15.00% 623600 17.83 0.00
AIG American International 3.10 212771 51.05 51.09
LINE Linn Energy 3.08 +12.00% 350000 30.79 28.99
MD Mednax 2.75 NEW 180000 53.38 60.53
Ryman Hospitality Pptys 2.69 225000 41.78 0.00
Gaming & Leisure Pptys 2.32 NEW 160000 50.81 0.00
IRS IRSA Inversiones Representaciones 2.08 -6.00% 600000 12.11 12.57
DRRX DURECT Corporation 2.08 +12.00% 4207243 1.73 1.31
MU Micron Technology 1.98 318000 21.75 26.05
AMTRUST FINANCIAL CONVERTIBLE Services Inc security 1.86 5000000 1.30 0.00
Sibanye Gold 1.75 -16.00% 1270581 4.81 0.00
Ltx Credence Corporation 1.71 -20.00% 750000 7.99 0.00
Covidien 1.66 85464 68.10 0.00
XRX Xerox Corporation 1.65 -47.00% 475000 12.17 11.64
Sequential Brands 1.54 NEW 1000000 5.40 0.00
SLV iShares Silver Trust 1.36 +112.00% 255000 18.71 18.61
Newmont Mining Corp Cvt cv bnd 1.30 NEW 196900 23.03 0.00
Preferred Apartment Communitie 1.27 +6.00% 554359 8.04 0.00
Nordic American Tanker Shippin 1.25 NEW 450000 9.70 0.00
KO Coca-Cola Company 1.21 102800 41.31 40.60
BBEP BreitBurn Energy Partners 1.17 +102.00% 202000 20.34 20.25
VLO Valero Energy Corporation 1.15 80000 50.40 56.27
KMP Kinder Morgan Energy Partners 1.15 NEW 50000 80.66 77.21
JCP J.C. Penney Company 1.05 -73.00% 400000 9.15 8.06
Group Cgi Cad Cl A 0.98 +3.00% 103000 33.46 0.00
Mondelez Int 0.94 93000 35.30 0.00
Phh Corp cnv 0.89 NEW 1500000 2.07 0.00
Caesars Acquisition Co cl a 0.87 NEW 253586 12.06 0.00
Tower Group Inc conv 0.85 NEW 3500000 0.85 0.00
Organovo Holdings 0.79 NEW 250000 11.07 0.00
PHMD PhotoMedex 0.74 200000 12.95 15.24
SAM Boston Beer Company 0.69 10000 241.80 237.83
PTIE Pain Therapeutics 0.59 -14.00% 427071 4.86 5.62
Boston Private Financial 6.95% 0.58 94600 21.35 0.00
Biota Pharmaceuticals 0.54 450000 4.19 0.00
AAPL Apple 0.53 -52.00% 3300 560.91 530.49
Stonegate Mortgage 0.51 NEW 108748 16.53 0.00
Codexis 0.43 +11.00% 1062500 1.40 0.00
Zillow 0.41 17600 81.70 0.00
PHH PHH Corporation 0.35 -96.00% 50000 24.36 24.85
TFSL TFS Financial Corporation 0.35 -43.00% 101000 12.12 13.27
ENX Eaton Vance New York Municipal Bond Fund 0.33 NEW 100642 11.32 12.19
Nuveen Ny Div Advantg Mun Fd 0.30 NEW 83750 12.51 0.00
Frontline Limited Usd2.5 0.29 -26.00% 274000 3.74 0.00
News 0.26 -6.00% 50000 18.02 0.00
UNXL Uni-Pixel 0.23 -15.00% 80000 10.01 7.09
ARIA Ariad Pharmaceuticals 0.19 NEW 100000 6.82 7.65
KBR KBR 0.18 20000 31.90 26.49
Nuveen Ny Divid Advntg Mun F 0.18 NEW 49805 12.71 0.00
AYN Alliance New York Municipal Income Fund, 0.14 NEW 41261 11.88 12.51
BSE BlackRock New York Insured Municipal 0.05 NEW 13841 12.07 13.06
Wright Med Group Inc right 03/01/2019 0.05 +9.00% 548236 0.32 0.00
Zaza Energy 0.03 125600 0.96 0.00

Past 13F-HR SEC Filings for 683 Capital Management