TPG-Axon Management

TPG-AXON Management as of Sept. 30, 2013

Portfolio Holdings for TPG-AXON Management

TPG-AXON Management holds 17 positions in its portfolio as reported in the September 2013 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
SandRidge Energy 13.3 $212M 36M 5.86
Expedia Inc Del Com New (EXPE) 8.3 $132M 2.6M 51.79
Community Health Systems (CYH) 7.6 $120M 2.9M 41.50
Spirit Realty reit 7.2 $115M 13M 9.18
Agilent Technologies Inc C ommon (A) 6.4 $101M 2.0M 51.25
F M C Corp Com New (FMC) 6.3 $100M 1.4M 71.72
Twenty First Centy Fox Cl A 5.2 $83M 2.5M 33.50
GNC HLDGS Com Cl A 5.2 $82M 1.5M 54.63
CONSOL Energy 5.0 $80M 2.4M 33.65
Halliburton Company (HAL) 4.9 $78M 1.6M 48.15
Owens Corning (OC) 4.9 $78M 2.0M 37.98
Qualcomm (QCOM) 4.9 $78M 1.2M 67.36
Wyndham Worldwide Corporation 4.8 $77M 1.3M 60.97
Macy's (M) 4.4 $70M 1.6M 43.27
Outerwall 4.1 $65M 1.3M 49.99
Rockwood Holdings 3.8 $61M 908k 66.90
Dillards Cl A (DDS) 3.7 $59M 756k 78.30