Touradji Capital Management

Touradji Capital Management as of Sept. 30, 2012

Portfolio Holdings for Touradji Capital Management

Touradji Capital Management holds 0 positions in its portfolio as reported in the September 2012 quarterly 13F filing

                FORM 13F INFORMATION TABLE
NAME				TITLE			  VALUE	 	 SHARES/ 	SH/	PUT/ 	INVMT	OTHER	VOTING AUTHORITY
OF ISSUER			OF CLASS	CUSIP	  (x$1000)	 PRN AMT 	PRN	CALL	DISTN	MGRS	SOLE	SHARED	NONE
{S}				{C}		{C}	  {C}	 	 {C} 		{C}	{C}	{C}	{C}	{C}	{C}	{C}
AMERICAN RLTY CAP TR INC	COM		02917L101  235		20000		SH		SOLE	NONE	20000	0	0
AMERIGROUP CORP			COM		03073T102  960		10500		SH		SOLE	NONE	10500	0	0
ARIBA INC			COM		04033V203  1814		40500		SH		SOLE	NONE	40500	0	0
AUTHENTEC INC			COM		052660107  157		19546		SH		SOLE	NONE	19546	0	0
BANCTRUST FINANCIAL GP		COM		05978R107  209		70000		SH		SOLE	NONE	70000	0	0
BARRICK GOLD CORP		COM		067901108  6717		160850		SH		SOLE	NONE	160850	0	0
CHINA TRANSINFO TECHNOLOGY CORP	COM		169453107  238		41500		SH		SOLE	NONE	41500	0	0
CITIZENS REPUBLIC BANCORP INC	COM		174420307  194		10000		SH		SOLE	NONE	10000	0	0
CITIZENS SOUTH BKG CP DEL	COM		176682102  245		35000		SH		SOLE	NONE	35000	0	0
COLLECTIVE BRANDS INC		COM		19421W100  782		36000		SH		SOLE	NONE	36000	0	0
COMCAST CORP NEW		CL A		20030N200  696		20000		SH		SOLE	NONE	20000	0	0
COOPER INDUSTRIES PLC		SHS		G24140108  1949		25960		SH		SOLE	NONE	25960	0	0
COVENTRY HEALTH CARE INC	COM		222862104  625		15000		SH		SOLE	NONE	15000	0	0
DISCOVERY COMMUNICATIONS	COM SER C	25470F302  560		10000		SH		SOLE	NONE	10000	0	0
DITECH NETWORKS INC		COM		25500T108  85		60000		SH		SOLE	NONE	60000	0	0
DOLLAR THRIFTY AUTOMOTIVE GP	COM		256743105  391		4500		SH		SOLE	NONE	4500	0	0
EMMIS COMMUNICATIONS CORP	CL A		291525103  30		15000		SH		SOLE	NONE	15000	0	0
FIDELITY BANCORP INC		COM		315831107  677		31800		SH		SOLE	NONE	31800	0	0
FIRST CALIFORNIA FINANCIAL 	COM		319395109  150		21500		SH		SOLE	NONE	21500	0	0
FOCUS MEDIA HLDG LTD		SPONSORED ADR	34415V109  234		10000		SH		SOLE	NONE	10000	0	0
FOCUS MEDIA HLDG LTD		SPONSORED ADR	34415V959  47		30000		SH	P	SOLE	NONE	30000	0	0
FSI INTL INC			COM		302633102  233		37628		SH		SOLE	NONE	37628	0	0
FUSHI COPPERWELD INC		COM		36113E107  318		35000		SH		SOLE	NONE	35000	0	0
GENON ENERGY INC		COM		37244E107  431		170400		SH		SOLE	NONE	170400	0	0
HARVEST NATURAL RESOURCES INC	COM		41754V903  4		20000		SH	C	SOLE	NONE	20000	0	0
HISOFT TECHNOLOGY INTL LTD	SPONSORED ADR	43358R108  330		31900		SH		SOLE	NONE	31900	0	0
HUDSON CITY BANCORP		COM		443683107  556		70000		SH		SOLE	NONE	70000	0	0
IRIS INTL INC			COM		46270W905  1		10000		SH	C	SOLE	NONE	10000	0	0
KSW INC				COM		48268R106  53		10700		SH		SOLE	NONE	10700	0	0
LIBERTY GLOBAL INC		COM		530555309  1187		21000		SH		SOLE	NONE	21000	0	0
LML PMT SYS INC			COM		50208P109  102		30000		SH		SOLE	NONE	30000	0	0
MAGELLAN HEALTH SVCS INC	COM		559079207  232		4500		SH		SOLE	NONE	4500	0	0
MERGE HEALTHCARE INC		COM		589499102  210		55000		SH		SOLE	NONE	55000	0	0
NEXEN INC			COM		65334H102  279		11000		SH		SOLE	NONE	11000	0	0
OFFICIAL PMTS HLDGS INC		COM		67623R106  119		24143		SH		SOLE	NONE	24143	0	0
PACIFIC CAPITAL BANCORP NA	COM		69404P200  243		5300		SH		SOLE	NONE	5300	0	0
PAR PHARMACEUTICAL COS INC	COM		69888P106  825		16500		SH		SOLE	NONE	16500	0	0
PEETS COFFEE & TEA INC		COM		705560100  733		10000		SH		SOLE	NONE	10000	0	0
PHYSICIANS FORMULA HLDGS INC	COM		719427106  101		20700		SH		SOLE	NONE	20700	0	0
PRESIDENTIAL LIFE CORP		COM		740884101  536		38467		SH		SOLE	NONE	38467	0	0
PROSHARES SHORT S^P 500		SHRT S^P500	74347R503  341		10000		SH		SOLE	NONE	10000	0	0
QUEST SOFTWARE INC		COM		74834T103  753		26900		SH		SOLE	NONE	26900	0	0
RAILAMERICA INC			COM		750753402  446		16228		SH		SOLE	NONE	16228	0	0
RAMTRON INTL CORP		COM		751907304  262		85000		SH		SOLE	NONE	85000	0	0
ROBBINS & MYERS INC		COM		770196103  805		13500		SH		SOLE	NONE	13500	0	0
SANOFI				RIGHT 12/31/20  80105N113  200		119145		SH		SOLE	NONE	119145	0	0
SEABRIGHT HOLDINGS INC		COM		811656107  220		20000		SH		SOLE	NONE	20000	0	0
SEALY CORP			COM		812139901  22		10000		SH		SOLE	NONE	10000	0	0
SHAW GROUP INC			COM		820280105  327		7500		SH		SOLE	NONE	7500	0	0
SUN HEALTHCARE GROUP INC 	COM		86677E100  319		37652		SH		SOLE	NONE	37652	0	0
SUNOCO INC			COM		86764P109  1954		41719		SH		SOLE	NONE	41719	0	0
SUNRISE SENIOR LIVING INC	COM		86768K106  146		10200		SH		SOLE	NONE	10200	0	0
TARO PHARMACEUTICAL INDS LTD	SHS		M8737E108  343		7500		SH		SOLE	NONE	7500	0	0
US HOME SYS INC			COM		90335C100  249		20000		SH		SOLE	NONE	20000	0	0
WEST COAST BANCORP ORE		COM		952145209  225		10000		SH		SOLE	NONE	10000	0	0
WESTERN LIBERTY BANCORP		COM		961443108  195		47918		SH		SOLE	NONE	47918	0	0
WINNEBAGO INDS INC		COM		974637950  1		10000		SH	P	SOLE	NONE	10000	0	0