Bridger Management as of Sept. 30, 2013
Portfolio Holdings for Bridger Management
Bridger Management holds 42 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 |
|---|---|---|---|---|---|
| Facebook Cl A (META) | 6.0 | $84M | 1.7M | 50.23 | |
| Charter Communications Inc D Cl A New | 5.0 | $70M | 516k | 134.76 | |
| KAR Auction Services (KAR) | 4.8 | $68M | 2.4M | 28.21 | |
| General Motors Company (GM) | 4.8 | $67M | 1.9M | 35.97 | |
| Morgan Stanley Com New (MS) | 4.7 | $66M | 2.5M | 26.95 | |
| Verisign (VRSN) | 4.4 | $62M | 1.2M | 50.89 | |
| Tesla Motors (TSLA) | 4.2 | $58M | 300k | 193.37 | |
| Priceline Com New | 3.4 | $48M | 48k | 1010.95 | |
| Pinnacle Entertainment | 3.4 | $48M | 1.9M | 25.05 | |
| UnitedHealth (UNH) | 3.1 | $43M | 600k | 71.61 | |
| Allergan | 3.0 | $43M | 470k | 90.45 | |
| Assured Guaranty (AGO) | 3.0 | $41M | 2.2M | 18.75 | |
| Dunkin' Brands Group | 2.9 | $40M | 885k | 45.26 | |
| Centene Corporation (CNC) | 2.9 | $40M | 624k | 63.96 | |
| Tornier N V SHS | 2.8 | $39M | 2.0M | 19.33 | |
| Zoetis Cl A (ZTS) | 2.7 | $37M | 1.2M | 31.12 | |
| Wright Medical | 2.7 | $37M | 1.4M | 26.08 | |
| Scientific Games Corp Cl A (LNW) | 2.6 | $36M | 2.3M | 16.17 | |
| Hca Holdings (HCA) | 2.6 | $36M | 845k | 42.75 | |
| Cott Corp | 2.5 | $35M | 4.6M | 7.69 | |
| Tenet Healthcare Corp Com New (THC) | 2.5 | $35M | 845k | 41.19 | |
| Spirit Airlines | 2.5 | $34M | 1.0M | 34.27 | |
| Pennymac Finl Svcs Cl A | 2.3 | $32M | 1.7M | 18.79 | |
| Teva Pharmaceutical Inds Adr (TEVA) | 2.3 | $32M | 840k | 37.78 | |
| Alnylam Pharmaceuticals (ALNY) | 2.0 | $28M | 443k | 64.01 | |
| Envision Healthcare Hlds | 1.9 | $26M | 1.0M | 26.03 | |
| Momenta Pharmaceuticals | 1.7 | $24M | 1.7M | 14.39 | |
| Vipshop Hldgs Sponsored Adr (VIPS) | 1.7 | $24M | 415k | 56.80 | |
| Idenix Pharmaceuticals | 1.6 | $23M | 4.4M | 5.19 | |
| Tripadvisor (TRIP) | 1.3 | $18M | 240k | 75.84 | |
| Accuray Incorporated (ARAY) | 1.3 | $18M | 2.4M | 7.38 | |
| Bruker Corporation (BRKR) | 1.2 | $17M | 815k | 20.65 | |
| Team Health Holdings | 1.1 | $16M | 420k | 37.94 | |
| Trovagene Com New | 1.1 | $15M | 2.1M | 7.18 | |
| Response Genetics (RGDXQ) | 1.0 | $13M | 6.0M | 2.22 | |
| Shfl Entertainment | 0.9 | $12M | 519k | 22.97 | |
| Casella Waste Sys Cl A (CWST) | 0.7 | $10M | 1.8M | 5.75 | |
| Tg Therapeutics (TGTX) | 0.5 | $7.6M | 1.5M | 5.04 | |
| Sodastream International Usd Shs | 0.5 | $7.2M | 115k | 62.37 | |
| Wynn Resorts (WYNN) | 0.2 | $3.1M | 20k | 158.03 | |
| Verastem | 0.2 | $2.5M | 200k | 12.45 | |
| Andina Acquisition Corp Unit 03/16/2016 | 0.1 | $1.6M | 150k | 10.52 |