Bridger Management

Bridger Management as of Dec. 31, 2013

Portfolio Holdings for Bridger Management

Bridger Management holds 40 positions in its portfolio as reported in the December 2013 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Verisign (VRSN) 5.1 $73M 1.2M 59.78
Morgan Stanley Com New (MS) 5.1 $73M 2.3M 31.36
KAR Auction Services (KAR) 5.0 $71M 2.4M 29.55
General Motors Company (GM) 4.8 $69M 1.7M 40.87
Facebook Cl A (META) 4.3 $62M 1.1M 54.65
Mallinckrodt Pub SHS 4.1 $59M 1.1M 52.26
Allergan 4.1 $58M 525k 111.08
Priceline Com New 3.9 $55M 48k 1162.40
Charter Communications Inc D Cl A New 3.8 $55M 400k 136.76
Envision Healthcare Hlds 3.6 $52M 1.5M 35.52
Pinnacle Entertainment 3.5 $50M 1.9M 25.99
Assured Guaranty (AGO) 3.3 $47M 2.0M 23.59
Spirit Airlines (SAVE) 3.2 $45M 1.0M 45.41
Tesla Motors (TSLA) 3.2 $45M 300k 150.43
Tripadvisor (TRIP) 2.8 $40M 485k 82.83
Forest Laboratories 2.8 $40M 665k 60.03
Wright Medical 2.7 $39M 1.3M 30.71
Gilead Sciences (GILD) 2.7 $38M 505k 75.10
Tornier N V SHS 2.6 $37M 2.0M 18.79
Zoetis Cl A (ZTS) 2.6 $37M 1.1M 32.69
Teva Pharmaceutical Inds Adr (TEVA) 2.6 $37M 915k 40.08
Cott Corp 2.6 $37M 4.6M 8.06
UnitedHealth (UNH) 2.5 $36M 475k 75.30
Hca Holdings (HCA) 2.5 $36M 745k 47.71
Pennymac Finl Svcs Cl A 2.1 $30M 1.7M 17.55
Alnylam Pharmaceuticals (ALNY) 2.0 $28M 440k 64.30
Polaris Industries (PII) 1.9 $28M 190k 145.64
Medicines Company 1.7 $24M 630k 38.62
Accuray Incorporated (ARAY) 1.4 $19M 2.2M 8.70
Time Warner Cable 1.3 $19M 140k 135.50
Centene Corporation (CNC) 1.2 $18M 300k 58.95
Bruker Corporation (BRKR) 1.1 $16M 815k 19.77
Idenix Pharmaceuticals 0.9 $14M 2.3M 5.98
Trovagene Com New 0.9 $12M 2.1M 5.74
Casella Waste Sys Cl A (CWST) 0.7 $10M 1.8M 5.80
Response Genetics (RGDXQ) 0.5 $7.0M 6.0M 1.16
Tg Therapeutics (TGTX) 0.4 $6.4M 1.6M 3.90
Sodastream International Usd Shs 0.4 $5.7M 115k 49.64
Verastem 0.2 $2.3M 200k 11.40
Tecnoglass Warrants 0.0 $191k 150k 1.27