Meditor

Meditor as of Dec. 31, 2012

Portfolio Holdings for Meditor

Meditor holds 0 positions in its portfolio as reported in the December 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
------------------------------	--------------	--------- ------- -------   --- ---- ------- ---------- --------- ------- ----

ALKERMES PLC			SHS		G01767105 10556   570000    SH	     SOLE		570000	  0 	  0
ANADARKO PETROLEUM CORP		COM		032511107 4445    59820     SH	     SOLE		59820     0       0
AMERICAN AXLE & MFG HOLDINGS 	COM		024061103 2430    216920    SH	     SOLE		216920    0       0
BANK OF AMERICA CORP		COM		060505104 5225	  450000    SH	     SOLE	        450000    0       0
BLUCORA INC			COM		095229100 4399    280000    SH	     SOLE		280000	  0	  0
BIOMARIN PHARMACEUTICAL INC	COM		09061G101 7380    150000    SH	     SOLE		150000    0 	  0
BLACKSTONE GROUP LP/THE		LTD		09253U108 10134   650000    SH	     SOLE		650000    0	  0
CF INDUSTRIES HOLDINGS INC	COM		125269100 3169    15600     SH	     SOLE	        15600 	  0	  0
DELTA AIR LINES INC		COM		247361702 5460	  460000    SH	     SOLE		460000    0	  0
ENDOCYTE INC			COM		29269A102 1796	  200000    SH	     SOLE		200000	  0 	  0
ELAN CORP PLC -SPONS ADR	ADR		284131208 4850    475000    SH	     SOLE		475000    0	  0
EXELIXIS INC			COM		30161Q104 54840   12000000  SH	     SOLE		12000000  0       0
GEO GROUP INC/THE	 	COM		36159R103 4232    150070    SH	     SOLE		150070    0 	  0
GOOGLE INC-CL A			CL A		38259P508 60905   86100     SH	     SOLE		86100	  0       0
GOLDMAN SACHS GROUP INC		COM		38141G104 3763    29500     SH	     SOLE		29500     0       0
HALLIBURTON CO			COM		406216101 3955    114000    SH	     SOLE		114000	  0       0
HEWLETT-PACKARD CO		COM		428236103 60255	  4228423   SH 	     SOLE		4228423	  0       0
ISIS PHARMACEUTICALS INC	COM		464330109 13572	  1300000   SH	     SOLE		1300000	  0	  0
MERCK & CO. INC.		COM		58933Y105 60043   1466600   SH	     SOLE		1466600	  0	  0
MICROSOFT CORP			COM		594918104 12019   450000    SH	     SOLE		450000    0	  0
MICRON TECHNOLOGY INC		COM		595112103 2536    400000    SH	     SOLE		400000    0       0
NASDAQ OMX GROUP/THE		COM		631103108 1869    74793	    SH	     SOLE		74793     0	  0
NEXEN INC			COM		65334H102 23135   859190    SH	     SOLE		859190	  0	  0
ONYX PHARMACEUTICALS INC	COM		683399109 81882   1084103   SH	     SOLE		1084103   0       0
OPTIMER PHARMACEUTICALS INC	COM		68401H104 8598    950000    SH	     SOLE		950000    0       0
PACIFIC DRILLING SA		SHS		L7257P106 2266	  240000    SH	     SOLE		240000	  0	  0
PFIZER INC			COM		717081103 37009	  1475699   SH	     SOLE		1475699   0	  0
RIGEL PHARMACEUTICALS INC	COM		766559603 5363	  825000    SH	     SOLE	        825000	  0	  0
SHIRE PLC-ADR			ADR		82481R106 6453	  70000	    SH	     SOLE	        70000	  0	  0
SIGNET JEWELERS LTD	        SHS		G81276100 2616	  48982	    SH	     SOLE		48982	  0	  0
SEQUENOM INC		        COM	        817337405 14701	  3121300   SH	     SOLE		3121300   0	  0
TERADYNE INC			COM		880770102 3378	  200000    SH	     SOLE		200000	  0	  0
DOMTAR CORP			COM		257559203 14616	  175000    SH	     SOLE	        175000    0	  0
VALE SA-SP ADR			ADR		91912E105 3773	  180000    SH	     SOLE	        180000	  0	  0
VISTEON CORP	      	  	COM		92839U206 15608	  290000    SH	     SOLE		290000	  0	  0
VIVUS INC			COM		928551100 56462	  4207296   SH	     SOLE		4207296	  0	  0
YANDEX NV-A			CL A		N97284108 6289    291949    SH       SOLE               291949    0       0
WPX ENERGY INC			COM		98212B103 13007	  874151    SH	     SOLE		874151    0	  0