Meditor

Meditor as of March 31, 2012

Portfolio Holdings for Meditor

Meditor holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing

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FORM 13F INFORMATION TABLE


							   VALUE  SHARES/   SH/ PUT/ INVSTMT   OTHER	   VOTING AUTHORITY
NAME OF ISSUER			TITLE OF CLASS	CUSIP	  (x$1000)PRN AMT   PRN CALL DSCRETN  MANAGERS  SOLE      SHARED   NONE
------------------------------	--------------	--------- ------- -------   --- ---- ------- ---------- --------- ------- ----

BARRICK GOLD CORP		COM		067901108 4,768	  109,670   SH	     SOLE		109,670	  0	  0
AMAG PHARMACEUTICALS INC	COM		00163U106 5,416	  340,000   SH	     SOLE		340,000   0	  0
AMYLIN PHARMACEUTICALS INC	COM		032346108 18,595  745,000   SH	     SOLE		745,000	  0	  0
AOL INC				COM		00184X105 29,963  1,579,503 SH	     SOLE		1,579,503 0	  0
ANADARKO PETROLEUM CORP		COM		032511107 4,998   63,800    SH	     SOLE		63,800    0	  0
BRUKER CORP			COM		116794108 3,828	  250,000   SH	     SOLE		250,000	  0	  0
CITIGROUP INC			COM		172967424 6,287	  172,000   SH	     SOLE		172,000   0	  0
CADENCE PHARMACEUTICALS INC	COM		12738T100 2,775	  750,000   SH	     SOLE		750,000	  0	  0
CF INDUSTRIES HOLDINGS INC	COM		125269100 2,849	  15,600    SH	     SOLE		15,600	  0	  0
CVR ENERGY INC			COM		12662P108 5,484	  205,000   SH	     SOLE		205,000	  0	  0
ENDOCYTE INC			COM		29269A102 996	  200,000   SH	     SOLE		200,000	  0	  0
EXELIXIS INC			COM		30161Q104 5,698	  1,100,000 SH	     SOLE		1,100,000 0	  0
GILEAD SCIENCES INC		COM		375558103 16,124  330,000   SH	     SOLE		330,000	  0	  0
GOOGLE INC-CL A			COM		38259P508 24,540  38,270    SH	     SOLE		38,270	  0	  0
GOODRICH CORP			COM		382388106 20,918  166,760   SH	     SOLE		166,760	  0	  0
GOLDMAN SACHS GROUP INC		COM		38141G104 3,669	  29,500    SH	     SOLE		29,500	  0	  0
HEWLETT-PACKARD CO		COM		428236103 58,966  2,474,423 SH	     SOLE		2,474,423 0	  0
LEAR CORP			COM		521865204 4,170	  89,700    SH	     SOLE		89,700	  0	  0
MOODY'S CORP			COM		615369105 9,473	  225,000   SH	     SOLE		225,000	  0	  0
MEDIVATION INC			COM		58501N101 12,702  170,000   SH	     SOLE		170,000	  0	  0
MOTOROLA MOBILITY HOLDINGS INC	COM		620097105 20,845  531,220   SH	     SOLE		531,220	  0	  0
MERCK & CO. INC.		COM		58933Y105 90,801  2,364,600 SH	     SOLE		2,364,600 0	  0
MARATHON OIL CORP		COM		565849106 3,330	  105,060   SH	     SOLE		105,060   0	  0
MICROSOFT CORP			COM		594918104 30,965  960,000   SH	     SOLE		960,000	  0	  0
MYLAN INC			COM		628530107 6,683	  285,000   SH	     SOLE		285,000	  0	  0
ONYX PHARMACEUTICALS INC	COM		683399109 84,094  2,231,803 SH	     SOLE		2,231,803 0	  0
PFIZER INC			COM		717081103 40,211  1,775,699 SH	     SOLE		1,775,699 0	  0
RESEARCH IN MOTION		COM		760975102 26,522  1,804,200 SH	     SOLE		1,804,200 0	  0
TIME WARNER CABLE		COM		88732J207 5,624	  69,000    SH	     SOLE		69,000	  0	  0
VISTEON CORP			COM		92839U206 11,660  220,000   SH	     SOLE		220,000	  0	  0
VIVUS INC			COM		928551100 115,825 5,180,000 SH	     SOLE		5,180,000 0	  0
VIVUS INC			COM		928551900 4,123	  15,000	CALL SOLE		15,000	  0	  0
WILLIAMS COS INC		COM		969457100 51,283  1,664,500 SH	     SOLE		1,664,500 0	  0
WASHINGTON POST-CLASS B		COM		939640108 5,754	  15,402    SH	     SOLE		15,402	  0	  0
WPX ENERGY INC			COM		98212B103 25,360  1,408,122 SH	     SOLE		1,408,122 0	  0