TigerShark Partners

Latest statistics and disclosures from TigerShark Partners's latest quarterly 13F-HR filing:

Portfolio Holdings for TigerShark Partners

TigerShark Partners holds 0 positions in its portfolio as reported in the September 2012 quarterly 13F filing

                {C}                         {C}
                                                         FORM 13F INFORMATION TABLE
                             TITLE OF                      VALUE      SHARES/ SH/PUT/  INVSTMT  OTHER   VOTING AUTHORITY
  NAME OF ISSUER             CLASS             	 CUSIP    x ($1000)   PRN AMT PRN CALL DISCRETN MANAGERS SOLE   SHARED   NONE
  --------------------       ------------       --------  -------   ------- -------- -------- --------  ------  ------ -----
ALLIANT TECHSYSTEMS INC	       COM	        018804104   1373	27409	SH	Sole	0	27409	0	0
AMKOR TECHNOLOGY INC	       COM	        031652100    512	115970	SH	Sole	0	115970	0	0
AVON PRODS INC	               COM	        054303102   4397	275669	SH	Sole	0	275669	0	0
AVON PRODS INC	               COM	        054303102   1600	100300	PUT	Sole	0	0	0	0
BED BATH & BEYOND INC	   COM	            075896100   1752	     27804  SH	    Sole    0	    27804   0	    0
CA INC	                       COM	        12673P105    988	38338	SH	Sole	0	38338	0	0
CABOT CORP	               COM	        127055101   1208	33037	SH	Sole	0	33037	0	0
CAMPBELL SOUP CO	       COM	        134429109   2451	70382	SH	Sole	0	70382	0	0
CISCO SYS INC	               COM	        17275R102   1552	81270	SH	Sole	0	81270	0	0
CREDIT SUISSE NASSAU BRH       VIX SHT TRM FT	22542D761     40	26383	SH	Sole	0	26383	0	0
DIGITAL RLTY TR INC	       COM	        253868103   5162	73900	CALL	Sole	0	0	0	0
DIGITAL RLTY TR INC	       COM	        253868103   7229	103500	PUT	Sole	0	0	0	0
EMERSON ELEC CO	               COM	        291011104    969	20068	SH	Sole	0	20068	0	0
ENGILITY HLDGS INC	       COM	        29285W104     63	3439	SH	Sole	0	3439	0	0
FLOWSERVE CORP	               COM	        34354P105   1277	10000	SH	Sole	0	10000	0	0
FOSTER WHEELER AG 	       COM	        H27178104   1454	60672	SH	Sole	0	60672	0	0
GROUPON INC	               COM CL A	        399473107    477	100200	PUT	Sole	0	0	0	0
HASBRO INC	               COM	        418056107   1607	42095	SH	Sole	0	42095	0	0
ISHARES TR	               DJ US REAL EST	464287739   7726	120000	SH	Sole	0	120000	0	0
ISHARES TR	               RUSSELL 2000	464287655   4488	53784	SH	Sole	0	53784	0	0
JDA SOFTWARE GROUP INC	       COM	        46612K108   1412	44429	SH	Sole	0	44429	0	0
JOHNSON & JOHNSON	           COM	            478160104   3490	    50652   SH	    Sole    0	    50652   0	    0
L-3 COMMUNICATIONS HLDGS INC   COM	        502424104   1480	20639	SH	Sole	0	20639	0	0
LEXMARK INTL NEW	       CL A	        529771107   2225	100000	SH	Sole	0	100000	0	0
LEXMARK INTL NEW	       CL A	        529771107   2003	90000	PUT	Sole	0	0	0	0
LINCOLN ELEC HLDGS INC	       COM	        533900106   1057	27064	SH	Sole	0	27064	0	0
MENTOR GRAPHICS CORP	       COM	        587200106   1242	80267	SH	Sole	0	80267	0	0
MERITOR INC	               COM	        59001K100    376	88625	SH	Sole	0	88625	0	0
METLIFE INC	               COM	        59156R108   1262	36625	SH	Sole	0	36625	0	0
MOLSON COORS BREWING CO	       CL B	        60871R209   3859	85666	SH	Sole	0	85666	0	0
NASDAQ OMX GROUP INC	       COM	        631103108    812	34885	SH	Sole	0	34885	0	0
NEWPORT CORP	               COM	        651824104    626	56611	SH	Sole	0	56611	0	0
ORACLE CORP	               COM	        68389X105   1993	63345	SH	Sole	0	63345	0	0
OSHKOSH CORP	               COM	        688239201   1372	50020	SH	Sole	0	50020	0	0
PALL CORP	               COM	        696429307   1068	16818	SH	Sole	0	16818	0	0
PEPSICO INC	               COM	        713448108   4261	60203	SH	Sole	0	60203	0	0
ROCK-TENN CO	               CL A	        772739207   1191	16507	SH	Sole	0	16507	0	0
SAFEWAY INC	               COM NEW	        786514208   1078	67000	SH	Sole	0	67000	0	0
SKULLCANDY INC	               COM	        83083J104   2068	150400	CALL	Sole	0	0	0	0
SPDR GOLD TRUST	               GOLD SHS	        78463V107   1815	10557	SH	Sole	0	10557	0	0
SPDR S^P 500 ETF TR	           TR UNIT	    78462F103   2769	    19230   SH	    Sole    0	    19230   0       0
STAPLES INC	               COM	        855030102   1542	133882	SH	Sole	0	133882	0	0
SYMANTEC CORP	               COM	        871503108   2469	137341	SH	Sole	0	137341	0	0
SYMANTEC CORP	               COM	        871503108   1803	100300	CALL	Sole	0	0	0	0
TE CONNECTIVITY LTD	       REG SHS	        H84989104   1544	45389	SH	Sole	0	45389	0	0
TECH DATA CORP	               COM	        878237106   1657	36625	SH	Sole	0	36625	0	0
TELLABS INC	               COM	        879664100   1411	400345	SH	Sole	0	400345	0	0
TEVA PHARMACEUTICAL INDS LTD   ADR	        881624209    882	21296	SH	Sole	0	21296	0	0
THERMO FISHER SCIENTIFIC INC   COM	        883556102   2912	49500	SH	Sole	0	49500	0	0




S REPORT SUMMARY             49 DATA RECORDS                98004  0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
              

Past Filings by TigerShark Partners

SEC 13F filings are viewable for TigerShark Partners going back to 2010