P.a.w. Capital Partners

P.a.w. Capital Partners as of March 31, 2013

Portfolio Holdings for P.a.w. Capital Partners

P.a.w. Capital Partners holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing

                {C}               {C}
                                                                FORM 13F INFORMATION TABLE
                                                              VALUE   SHARES/ SH/ PUT/ INVSTMT   OTHER        VOTING AUTHORITY
           NAME OF ISSUER        TITLE OF CLASS     CUSIP   x($1000) PRN AMT  PRN CALL DISCRETN MANAGERS   SOLE    SHARED    NONE
  ------------------------------ ---------------- --------- -------- -------- --- ---- -------- --------- -------- -------- --------
D ABBOTT LABS			COMMON STOCK        002824100	318	9000	SH		SOLE		9000	0	0
D ABBVIE INC			COMMON STOCK        00287Y109	367	9000	SH		SOLE		9000	0	0
D ALTRIA GROUP INC		COMMON STOCK        02209S103	653	19000	SH		SOLE		19000	0	0
D AT^T INC			COMMON STOCK        00206R102	587	16000	SH		SOLE		16000	0	0
D AUTOMATIC DATA PROCESSING IN	COMMON STOCK        053015103	455	7000	SH		SOLE		7000	0	0
D AVAGO TECHNOLOGIES LTD	COMMON STOCK        Y0486S104	2334	65000	SH		SOLE		65000	0	0
D AVIAT NETWORKS INC		COMMON STOCK        05366Y102	5513	1636000	SH		SOLE		1636000	0	0
D BED BATH & BEYOND INC		COMMON STOCK        075896100	2899	45000	SH		SOLE		45000	0	0
D BP PLC			ADRS STOCKS         055622104	3092	73000	SH		SOLE		73000	0	0
D BRISTOL MYERS SQUIBB CO	COMMON STOCK        110122108	494	12000	SH		SOLE		12000	0	0
D CALIX INC			COMMON STOCK        13100M509	5420	665000	SH		SOLE		665000	0	0
D CALLIDUS SOFTWARE INC		COMMON STOCK        13123E500	1447	316600	SH		SOLE		316600	0	0
D CERAGON NETWORKS LTD		COMMON STOCK        M22013102	2462	570000	SH		SOLE		570000	0	0
D CHECK POINT SOFTWARE TECH LT	COMMON STOCK        M22465104	1880	40000	SH		SOLE		40000	0	0
D CHIPOTLE MEXICAN GRILL INC	COMMON STOCK        169656105	978	3000	SH		SOLE		3000	0	0
D COCA COLA CO			COMMON STOCK        191216100	404	10000	SH		SOLE		10000	0	0
D CRUMBS BAKE SHOP INC		COMMON STOCK        228803102	2081	725000	SH		SOLE		725000	0	0
D DU PONT E I DE NEMOURS & CO	COMMON STOCK        263534109	492	10000	SH		SOLE		10000	0	0
D EXAR CORP			COMMON STOCK        300645108	5250	500000	SH		SOLE		500000	0	0
D FORMFACTOR INC		COMMON STOCK        346375108	1222	260000	SH		SOLE		260000	0	0
D GENERAL ELECTRIC CO		COMMON STOCK        369604103	601	26000	SH		SOLE		26000	0	0
D GLAXOSMITHKLINE PLC		ADRS STOCKS         37733W105	2908	62000	SH		SOLE		62000	0	0
D GOOGLE INC			COMMON STOCK        38259P508	953	1200	SH		SOLE		1200	0	0
D HEWLETT PACKARD CO		OPTIONS - CALLS     428236103	1907	80000	SH	CALL	SOLE		80000	0	0
D IGATE CORP			COMMON STOCK        45169U105	4898	260000	SH		SOLE		260000	0	0
D INTEL CORP			COMMON STOCK        458140100	437	20000	SH		SOLE		20000	0	0
D JOHNSON & JOHNSON		COMMON STOCK        478160104	611	7500	SH		SOLE		7500	0	0
D KOHLS CORP			COMMON STOCK        500255104	900	19500	SH		SOLE		19500	0	0
D MARVELL TECHNOLOGY GROUP LTD	COMMON STOCK        G5876H105	1058	100000	SH		SOLE		100000	0	0
D MERCK & CO INC NEW		COMMON STOCK        58933Y105	575	13000	SH		SOLE		13000	0	0
D MICROSOFT CORP		COMMON STOCK        594918104	2861	100000	SH		SOLE		100000	0	0
D MOSYS INC			COMMON STOCK        619718109	1178	250000	SH		SOLE		250000	0	0
D NETAPP INC			COMMON STOCK        64110D104	2050	60000	SH		SOLE		60000	0	0
D NQ MOBILE INC			ADRS STOCKS         64118U108	9226	1024000	SH		SOLE		1024000	0	0
D NQ MOBILE INC			OPTIONS - CALLS     64118U108	1892	210000	SH	CALL	SOLE		210000	0	0
D NUANCE COMMUNICATIONS INC	COMMON STOCK        67020Y100	1009	50000	SH		SOLE		50000	0	0
D O2MICRO INTERNATIONAL LTD	ADRS STOCKS         67107W100	930	300000	SH		SOLE		300000	0	0
D PACIFIC SUNWEAR CALIF INC	COMMON STOCK        694873100	669	320000	SH		SOLE		320000	0	0
D PEPSICO INC			COMMON STOCK        713448108	396	5000	SH		SOLE		5000	0	0
D PFIZER INC			COMMON STOCK        717081103	664	23000	SH		SOLE		23000	0	0
D PHILIP MORRIS INTL INC	COMMON STOCK        718172109	519	5600	SH		SOLE		5600	0	0
D POLYCOM INC			COMMON STOCK        73172K104	864	78000	SH		SOLE		78000	0	0
D POWERSHARES QQQ TRUST		OPTIONS - PUTS      73935A104	10346	150000	SH	PUT	SOLE		150000	0	0
D PROCTER & GAMBLE CO		COMMON STOCK        742718109	578	7500	SH		SOLE		7500	0	0
D QUALCOMM INC			COMMON STOCK        747525103	2678	40000	SH		SOLE		40000	0	0
D REALNETWORKS INC		COMMON STOCK        75605L708	3084	400000	SH		SOLE		400000	0	0
D RIVERBED TECHNOLOGY INC	COMMON STOCK        768573107	2089	140000	SH		SOLE		140000	0	0
D ROYAL DUTCH SHELL PLC		ADRS STOCKS         780259206	586	9000	SH		SOLE		9000	0	0
D SABA SOFTWARE INC		COMMON STOCK        784932600	1590	200000	SH		SOLE		200000	0	0
D SIERRA WIRELESS INC		COMMON STOCK        826516106	4024	380000	SH		SOLE		380000	0	0
D SILICON IMAGE INC		COMMON STOCK        82705T102	3062	630000	SH		SOLE		630000	0	0
D SPDR S^P 500 ETF TR		OPTIONS - PUTS      78462F103	15667	100000	SH	PUT	SOLE		100000	0	0
D SUPERVALU INC			COMMON STOCK        868536103	1865	370000	SH		SOLE		370000	0	0
D SYNCHRONOSS TECHNOLOGIES INC	COMMON STOCK        87157B103	931	30000	SH		SOLE		30000	0	0
D TOTAL S A			ADRS STOCKS         89151E109	552	11500	SH		SOLE		11500	0	0
D TREE COM INC			COMMON STOCK        894675107	2219	120000	SH		SOLE		120000	0	0
D VERIZON COMMUNICATIONS INC	COMMON STOCK        92343V104	639	13000	SH		SOLE		13000	0	0
D VIRTUSA CORP			COMMON STOCK        92827P102	1544	65000	SH		SOLE		65000	0	0
D WEB COM GROUP INC		COMMON STOCK        94733A104	8386	491000	SH		SOLE		491000	0	0
D ZALE CORP NEW			COMMON STOCK        988858106	1179	300000	SH		SOLE		300000	0	0
D ZYNGA INC			COMMON STOCK        98986T108	655	195000	SH		SOLE		195000	0	0
S REPORT SUMMARY                 61 DATA RECORDS              137125        0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED