Touradji Capital Management

Touradji Capital Management as of March 31, 2013

Portfolio Holdings for Touradji Capital Management

Touradji Capital Management holds 67 positions in its portfolio as reported in the March 2013 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Barrick Gold Corp (GOLD) 19.2 $5.8M 196k 29.40
Kayak Software Corp cl a 4.4 $1.3M 33k 39.95
Alterra Capital Holdings Lim 4.2 $1.3M 40k 31.50
First California Financial 3.2 $950k 112k 8.52
Acme Packet 2.9 $877k 30k 29.23
Virgin Media 2.9 $857k 18k 48.97
Gardner Denver 2.5 $751k 10k 75.10
Berry Petroleum Company 2.5 $750k 16k 46.27
Grupo Modelo Sa Adr C 2.4 $727k 8.0k 90.88
Arbitron 2.4 $726k 16k 46.84
Plains Exploration & Production Company 2.4 $712k 15k 47.47
Coventry Health Care 2.4 $705k 15k 47.00
H.J. Heinz Company 2.3 $687k 9.5k 72.32
McMoRan Exploration 2.2 $670k 41k 16.34
Cymer 2.1 $625k 6.5k 96.15
Cnh Global 2.1 $620k 15k 41.33
Virginia Commerce Ban 1.9 $562k 40k 14.05
Citizens Republic Bancorp In 1.8 $541k 24k 22.54
Sauer-Danfoss 1.8 $526k 9.0k 58.44
Copano Energy 1.7 $507k 13k 40.56
Crexus Investment 1.6 $482k 37k 13.03
NetSpend Holdings 1.6 $477k 30k 15.90
West Coast Banc Or 1.6 $474k 19k 25.34
Zhongpin 1.5 $438k 34k 12.88
NYSE Euronext 1.3 $386k 10k 38.60
Intermec 1.3 $382k 39k 9.82
Focus Media Holding 1.1 $322k 12k 26.83
Hudson City Ban 1.0 $302k 35k 8.63
Outdoor Channel Holdings 1.0 $304k 34k 8.91
Telephone And Data Systems (TDS) 1.0 $302k 14k 21.09
Assisted Living Concepts 1.0 $300k 25k 11.88
Obagi Medical Products 1.0 $296k 15k 19.73
PVF Capital Corporation (PVFC) 1.0 $297k 75k 3.96
Taro Pharmaceutical Industries (TARO) 1.0 $293k 5.0k 58.60
3SBio (SSRX) 1.0 $289k 19k 15.21
MetroPCS Communications 0.9 $283k 26k 10.88
Elan Corporation 0.9 $271k 23k 11.78
Palomar Medical Technologies 0.9 $270k 20k 13.50
Sprint Nextel Corporation 0.8 $248k 40k 6.20
Artio Global Investors 0.8 $245k 90k 2.72
EnergySolutions 0.8 $244k 65k 3.75
Constellation Brands (STZ) 0.8 $238k 5.0k 47.60
Hot Topic 0.7 $208k 15k 13.87
Somerset Hills Ban (SOMH) 0.7 $197k 17k 11.59
Compuware Corporation 0.6 $187k 15k 12.47
EDAC Technologies Corporation 0.6 $185k 10k 18.50
Bluegreen Corporation 0.6 $182k 19k 9.84
American Greetings Corporation 0.6 $167k 10k 16.06
Clearwire Corporation 0.5 $162k 50k 3.24
Pervasive Software 0.5 $160k 18k 9.14
Supervalu 0.5 $139k 28k 5.05
Ferro Corporation 0.5 $135k 20k 6.75
Asset Acceptance Capital 0.5 $136k 20k 6.72
Feihe Intl 0.5 $134k 19k 7.24
NTS Realty Holdings (NLP) 0.4 $131k 18k 7.32
Cornerstone Therapeutics 0.4 $124k 18k 7.09
Vivus 0.4 $110k 10k 11.00
AMR Corporation 0.3 $104k 25k 4.16
MPG Office Trust 0.3 $96k 35k 2.74
Vringo 0.1 $32k 10k 3.20
Utstar 0.1 $28k 10k 2.80
Emmis Communications Corporation 0.1 $25k 15k 1.67
Sanofi Aventis Wi Conval Rt 0.1 $18k 10k 1.80
Caspian Services Stk 0.1 $18k 607k 0.03
Storm Cat Enrgy 0.0 $1.7k 173k 0.01
Office Depot 0.0 $0 15k 0.00
Constellation Copper 0.0 $0 399k 0.00