Litespeed Management

Litespeed Management as of March 31, 2013

Portfolio Holdings for Litespeed Management

Litespeed Management holds 15 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
MetroPCS Communications 12.3 $63B 5.7M 10900.00
McGraw-Hill Companies 12.1 $61B 1.2M 52080.00
SandRidge Energy 10.2 $52B 9.9M 5270.00
Tronox 9.1 $47B 2.3M 19810.00
Macquarie Infrastructure Company 9.0 $46B 845k 54040.00
Diamond Foods 7.2 $37B 2.2M 16860.00
Theravance 7.1 $36B 1.5M 23620.00
Anadarko Petroleum Corporation 6.9 $35B 402k 87450.00
Seagate Technology 6.2 $31B 860k 36555.00
Avon Products 4.9 $25B 1.2M 20730.00
National Bank Hldgsk (NBHC) 4.4 $23B 1.2M 18300.00
Dynegy 4.4 $22B 924k 23990.00
Gray Television (GTN) 4.0 $20B 4.3M 4690.00
Dynegy Inc New Del *w exp 99/99/999 1.2 $6.0B 4.7M 1290.00
Vical Incorporated 1.0 $5.1B 1.3M 3980.00