Emmett M. Murphy

Emmett M. Murphy as of Dec. 31, 2011

Portfolio Holdings for Emmett M. Murphy

Emmett M. Murphy holds 0 positions in its portfolio as reported in the December 2011 quarterly 13F filing

                FORM 13F INFORMATION TABLE
                                                          VALUE    SHRS OR  SH/ PUT/ INVSTMT OTHER          VOTING   AUTHORITY
NAME OF ISSUER                 TITLE OF CLASS   CUSIP     (X$1000) PRN AMT  PRN CALL DISCRTN MANAGERS     SOLE     SHARED   NONE
{S}                            {C}              {C}       {C}      {C}      {C} {C}  {C}     {C}          {C}      {C}      {C}
***TRANSATLANTIC PETROLEUM    COMMON            G89982105   958   731471      SH       SOLE                 731471      0     0
ASBURY AUTOMOTIVE             COMMON            043436104   1940  90000       SH       SOLE                 90000       0     0
BAY COMMERCIAL BANK CA        OTC IS            072199102   384   56000       SH       SOLE                 56000       0     0
BPZ RESOURCES                 BONDS             055639108   1334  1610000    PRN       SOLE                 1610000     0     0
CASH AMERICA INVESTMENTS      COMMON            14754D100   4663  100000      SH       SOLE                 100000      0     0
CINEMARK HOLDINGS INC.        OTC IS            17243V102   1522  82300       SH       SOLE                 82300       0     0
ENERGY PARTNERS LTD           COMMON            29270U303   1022  70000       SH       SOLE                 70000       0     0
ENERGY XXI BERMUDA LTD        OTC IS            G10082140   1594  50000       SH       SOLE                 50000       0     0
FURMANITE CORPORATION         COMMON            361086101   1855  293900      SH       SOLE                 293900      0     0
GASTAR EXPLORATION LTD        COMMON            367299203   2370  745128      SH       SOLE                 745128      0     0
GLU MOBILE INC.               OTC IS            379890106   1543  491400      SH       SOLE                 491400      0     0
GOODRICH PETROLEUM CORP       COMMON            382410405   481   35000       SH       SOLE                 35000       0     0
GULFPORT ENERGY CORP.         OTC IS            402635304   2062  70000       SH       SOLE                 70000       0     0
HOUSTON AMERICAN ENERGY CORP  COMMON            44183U100   1219  100000      SH       SOLE                 100000      0     0
MADALENA VENTURES INC.        COMMON            556232106   1331  1500000     SH       SOLE                 1500000     0     0
NATIONAL CINEMEDIA INC        OTC IS            635309107   1815  146400      SH       SOLE                 146400      0     0
NETSPEND HOLDINGS             OTC IS            64118V106   2202  271500      SH       SOLE                 271500      0     0
OBAGI MEDICAL PRODUCTS        OTC IS            67423R108   2450  241151      SH       SOLE                 241151      0     0
PENN OCTANE CORP.             OTC IS            707573101   43    861522      SH       SOLE                 861522      0     0
PENSKE AUTOMOTIVE             COMMON            70959W103   1540  80000       SH       SOLE                 80000       0     0
SAFEGUARD SCIENTIFICS INC     COMMON            786449207   2740  173552      SH       SOLE                 173552      0     0
SPECTRUM PHARMACEUTICALS INC  OTC IS            84763A108   3690  252224      SH       SOLE                 252224      0     0
SUNOPTA INC                   OTC IS            8676EP108   1812  375831      SH       SOLE                 375831      0     0
VAALCO ENERGY INC.            OTC IS            91851C201   1602  265262      SH       SOLE                 265262      0     0
VENOCO INC                    OTC IS            92275P307   668   98700       SH       SOLE                 98700       0     0
VIEWPOINT FINANCIAL GROUP     COMMON            92672A101   1587  122000      SH       SOLE                 122000      0     0
    Page Column Totals                                      44427