Bridger Management

Bridger Management as of June 30, 2013

Portfolio Holdings for Bridger Management

Bridger Management holds 39 positions in its portfolio as reported in the June 2013 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Google Cl A 5.3 $72M 82k 880.37
General Motors Company (GM) 5.3 $72M 2.2M 33.31
Charter Communications Cl A New 5.0 $68M 545k 123.85
Tesla Motors (TSLA) 4.7 $64M 600k 107.36
Morgan Stanley Com New (MS) 4.4 $60M 2.5M 24.43
Priceline Com New 4.2 $57M 69k 826.67
Verisign (VRSN) 4.1 $56M 1.3M 44.66
Wright Medical 4.1 $56M 2.1M 26.21
Shfl Entertainment 3.6 $49M 2.8M 17.71
Assured Guaranty (AGO) 3.6 $49M 2.2M 22.06
Team Health Holdings 3.6 $48M 1.2M 41.07
Tenet Healthcare Corp Com New (THC) 3.5 $48M 1.0M 46.10
Tripadvisor (TRIP) 3.5 $47M 775k 60.87
Facebook Cl A (META) 3.2 $43M 1.7M 24.88
Medicines Company 3.2 $43M 1.4M 30.76
Centene Corporation (CNC) 3.0 $41M 774k 52.46
Dunkin' Brands Group 2.8 $38M 885k 42.82
Pinnacle Entertainment 2.8 $38M 1.9M 19.67
Herbalife Com Usd Shs (HLF) 2.8 $38M 835k 45.14
Zoetis Cl A (ZTS) 2.7 $37M 1.2M 30.89
Cott Corp 2.6 $36M 4.6M 7.81
UnitedHealth (UNH) 2.6 $35M 540k 65.48
Pennymac Finl Svcs Cl A 2.3 $32M 1.5M 21.27
Alnylam Pharmaceuticals (ALNY) 2.3 $32M 1.0M 31.00
Wynn Resorts (WYNN) 2.3 $31M 245k 127.97
Hca Holdings (HCA) 2.2 $31M 845k 36.06
Teva Pharmaceutical Inds Adr (TEVA) 2.1 $29M 735k 39.20
Scientific Games Corp Cl A (LNW) 1.6 $21M 1.9M 11.25
Accuray Incorporated (ARAY) 1.0 $14M 2.4M 5.74
Pactera Technology Intl Sponsored Adr 1.0 $13M 2.0M 6.75
Idenix Pharmaceuticals 0.9 $12M 3.3M 3.61
Vipshop Hldgs Sponsored Adr (VIPS) 0.9 $12M 400k 29.16
Response Genetics (RGDXQ) 0.7 $9.1M 6.0M 1.52
Sodastream International Usd Shs 0.6 $8.4M 115k 72.65
Casella Waste Sys Cl A (CWST) 0.6 $7.7M 1.8M 4.31
Momenta Pharmaceuticals 0.5 $6.6M 436k 15.06
Synergy Pharmaceuticals Del Com New 0.3 $4.6M 1.1M 4.32
Verastem 0.2 $2.8M 200k 13.88
Andina Acquisition Corp Unit 03/16/2016 0.1 $1.5M 150k 10.09