LMM

Latest statistics and disclosures from LMM's latest quarterly 13F-HR filing:

  • Top 5 stock holdings are GNW, Hldgs, PHM, NFLX, DAL. These five stock positions account for 19.89% of LMM's total stock portfolio.
  • Added to shares of RDN (+$16.14M), DNDN (+$11.12M), Marvell Technology (+$9.03M), NRF (+$6.69M), BBY (+$6.08M), PANL, NCT, AAPL, BYD, NIHD.
  • Started new stock positions in RDN, Marvell Technology, DNDN, NCT, NRF.
  • Reduced shares in these stocks: CLWR (-$12.12M), NFLX (-$11.94M), Citi (-$7.78M), PHM (-$7.48M), KBH (-$5.53M), Assured Guaranty (-$5.40M), LCC (-$5.38M), HIG, BAC, LEDR.
  • Sold out of its positions in CLWR.
  • As of March 31, 2013, LMM has $1.26B in assets under management (AUM). Assets under management grew from a total value of $1.06B to $1.26B.
  • Independent of market fluctuations, LMM was a net seller by $23.77M worth of stocks in the most recent quarter.

LMM portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
GNW Genworth Financial 4.46 -2.00% 5605600 10.00 10.74
Hldgs 4.07 -6.00% 1600100 32.01 0.00
PHM Pulte 3.86 -13.00% 2400400 20.24 23.95
NFLX Netflix 3.86 -19.00% 256700 189.28 239.00
DAL Delta Air Lines 3.64 -7.00% 2773400 16.51 18.54
BAC Bank of America Corporation 3.61 -7.00% 3733600 12.18 13.41
MTG MGIC Investment 3.32 8428400 4.95 6.07
Groupon 3.27 6720800 6.12 0.00
LCC US Airways 3.17 -11.00% 2346900 16.97 19.01
Assured Guaranty 3.06 -12.00% 1870000 20.61 0.00
Citi 2.91 -17.00% 826800 44.24 0.00
Ellington Financial 2.85 -2.00% 1448947 24.75 0.00
Seagate Technology Com Stk 2.79 960250 36.56 0.00
HIG Hartford Financial Services 2.73 -10.00% 1333500 25.80 31.16
Pandora Media 2.64 -2.00% 2346800 14.16 0.00
Jpmorgan Chase & Co. w exp 10/201 2.53 2229350 14.25 0.00
AAPL Apple 2.44 +8.00% 69340 442.67 434.23
KBH KB Home 2.41 -15.00% 1390200 21.77 24.08
LEN Lennar Corporation 2.36 -10.00% 714900 41.48 43.82
LEDR Market Leader 2.31 -10.00% 3239510 8.96 10.81
BBY Best Buy 2.27 +27.00% 1286700 22.15 26.59
AMZN Amazon 2.26 106670 266.49 268.50
BYD Boyd Gaming Corporation 2.24 +6.00% 3414100 8.27 12.90
ARCC Ares Capital Corporation 2.16 -10.00% 1500000 18.10 18.04
CI CIGNA Corporation 2.12 426700 62.37 67.90
S Sprint Nextel Corporation 1.90 3841000 6.21 7.32
CHK Chesapeake Energy Corporation 1.90 -8.00% 1173400 20.41 20.27
PANL Universal Display Corporation 1.71 +28.00% 731000 29.43 30.36
F Ford Motor Company 1.63 1558310 13.15 15.08
ETFC E TRADE Financial Corporation 1.56 1837050 10.71 11.53
QCOR Questcor Pharmaceuticals 1.52 586600 32.54 37.34
TER Teradyne 1.37 1066450 16.22 17.71
RDN Radian 1.28 NEW 1506800 10.71 13.69
GM General Motors Company 1.28 579416 27.82 33.42
Level 3 Communications 1.20 741300 20.29 0.00
MS Morgan Stanley 1.12 640250 21.98 25.19
AGNC American Capital Agency 1.01 388825 32.78 29.02
IVR Invesco Mortgage Capital 1.00 586700 21.39 20.41
MSFT Microsoft Corporation 0.97 426775 28.61 34.87
NIHD NII Holdings 0.95 +8.00% 2774200 4.33 8.31
AINV Apollo Investment 0.93 1400000 8.36 8.73
DNDN Dendreon Corporation 0.88 NEW 2346800 4.74 4.01
Nxp Semiconductors N V 0.88 364400 30.29 0.00
Marvell Technology 0.72 NEW 853300 10.58 0.00
HTS Hatteras Financial 0.66 302700 27.43 26.83
American Capital Mortgage In 0.66 320200 25.84 0.00
Realogy Hldgs 0.63 161950 48.84 0.00
NRF Northstar Realty Finance 0.53 NEW 706000 9.48 9.57
NCT Newcastle Investment 0.27 NEW 308300 11.17 5.95
Bg Medicine 0.11 684236 1.95 0.00

Past 13F-HR SEC Filings for LMM

View All Filings for LMM