Meditor

Meditor as of March 31, 2013

Portfolio Holdings for Meditor

Meditor holds 0 positions in its portfolio as reported in the March 2013 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
------------------------------	--------------	--------- ------- -------   --- ---- ------- ---------- --------- ------- ----

APPLE INC			COM		037833100 18370	  41500     SH	     SOLE		41500	  0	  0
ALKERMES PLC			SHS		G01767105 7854    320000    SH	     SOLE		320000	  0	  0
ANADARKO PETROLEUM CORP		COM		032511107 4689	  53620	    SH	     SOLE	        53620	  0	  0
AVEO PHARMACEUTICALS INC	COM	     	053588109 4778	  650000    SH	     SOLE	        650000	  0	  0
BANK OF AMERICA CORP		COM		060505104 4726	  388000    SH	     SOLE	        388000	  0	  0
RESEARCH IN MOTION	    	COM		760975102 45791   3170000   SH	     SOLE		3170000   0       0
BIOMARIN PHARMACEUTICAL INC	COM		09061G101 4670    75000	    SH	     SOLE	        75000	  0	  0
CARNIVAL CORP			CTF		143658300 12549   365860    SH	     SOLE		365860    0	  0
DELTA AIR LINES INC		COM	        247361702 2997	  181500    SH	     SOLE	        181500	  0	  0
ENDOCYTE INC			COM	        29269A102 2490    200000    SH	     SOLE	        200000	  0	  0
EXELIXIS INC			COM		30161Q104 55440   12000000  SH	     SOLE		12000000  0	  0
GOOGLE INC-CL A			CL A		38259P508 68538	  86300	    SH	     SOLE	        86300     0  	  0
HALLIBURTON CO	 		COM	        406216101 3984 	  98600	    SH	     SOLE	        98600	  0	  0
HEWLETT-PACKARD CO		COM		428236103 39966	  1676423   SH	     SOLE		1676423   0 	  0
IAC/INTERACTIVECORP		COM		44919P508 12510	  280000    SH	     SOLE		280000	  0	  0
INTERCONTINENTALEXCHANGE INC    COM		45865V100 7416    45478     SH	     SOLE		45478     0       0
ISIS PHARMACEUTICALS INC	COM		464330109 14399   850000    SH	     SOLE	        850000    0	  0
LIBERTY GLOBAL INC-SERIES C	COM	       	530555309 7501 	  109294    SH	     SOLE		109294    0	  0
MERCK & CO. INC.		COM		58933Y105 82504	  1866600   SH	     SOLE		1866600   0	  0
MICROSOFT CORP			COM		594918104 12872	  450000    SH	     SOLE		450000	  0	  0
MICRON TECHNOLOGY INC	 	COM	  	595112103 3990 	  400000    SH	     SOLE	        400000	  0	  0
MEADWESTVACO CORP		COM	  	583334107 10724   295432    SH	     SOLE	    	295432    0  	  0
NASDAQ OMX GROUP/THE 		COM	   	631103108 4031	  124793    SH	     SOLE		124793    0	  0
NEKTAR THERAPEUTICS		COM		640268108 7975	  725000    SH	     SOLE		725000	  0	  0
ONYX PHARMACEUTICALS INC	COM		683399109 96333   1084103   SH	     SOLE		1084103   0	  0
OPTIMER PHARMACEUTICALS	INC	COM		68401H104 11900   1000000   SH	     SOLE		1000000   0       0
OREXIGEN THERAPEUTICS INC	COM		686164104 15337   2450000   SH	     SOLE		2450000   0       0
PACIFIC DRILLING SA		SHS		L7257P106 2778    275000    SH	     SOLE		275000    0       0
RIGEL PHARMACEUTICALS INC	COM		766559603 6290    925000    SH	     SOLE		925000	  0	  0
RYANAIR HOLDINGS PLC-SP ADR	ADR		783513104 1784	  42700	    SH	     SOLE		42700	  0	  0
SHIRE PLC-ADR			ADR		82481R106 6395    70000	    SH	     SOLE		70000	  0	  0
SEQUENOM INC			COM		817337405 13695	  3300000   SH	     SOLE		3300000   0       0
DOMTAR CORP			COM		257559203 13521	  174200    SH	     SOLE		174200	  0	  0
UNIVERSAL HEALTH SERVICES-B     CL B	        913903100 3194 	  50000	    SH	     SOLE		50000	  0	  0
ULTA SALON COSMETICS & FRAGR	COM		90384S303 423	  5200	    SH	     SOLE		5200	  0	  0
VALE SA-SP ADR			ADR		91912E105 3112    180000    SH	     SOLE		180000	  0	  0
VISTEON CORP			COM		92839U206 15868	  275000    SH	     SOLE		275000    0	  0
VIRGIN MEDIA INC		COM		92769L101 15230	  311000    SH	     SOLE	        311000    0   	  0
WPX ENERGY INC			COM		98212B103 14004   874151    SH 	     SOLE	    	874151	  0    	  0
VIVUS INC			COM		928551100 46280	  4207296   SH	     SOLE	        4207296   0   	  0