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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Golden Star Resources Ltd | AMEX:GSS | AMEX | Common Stock |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 3.90 | 0 | 00:00:00 |
DJ CFA SOURCE: SEC 13F-HR FILER: S.A.C. Capital Advisors LP QUARTER ENDED: 09/30/2013 SEC RECEIVED: 11/14/2013
Up to 200 of the largest sales of S.A.C. Capital Advisors LP are listed below, ordered by the number of shares sold during the three months ended Sep. 30.
Company Name Value Holdings Change ALCATEL LUCENT SA ADR A $57,851,123 16,388,420 (15,072,000) GOODYEAR TIRE & RUBBER CO COM $68,455,501 3,049,107 (6,277,439) FACEBOOK INC CL A $2,268,889 45,170 (4,923,486) SUPERVALU INC COM $28,082,653 3,412,230 (4,244,808) PETROBRAS ADR $643,005 41,511 (4,164,170) MICRON TECHNOLOGY INC COM $212,577,221 12,168,826 (4,067,974) TIVO INC COM $16,931,574 1,361,059 (3,554,371) SUNCOR ENERGY INC COM $72,152,696 2,016,565 (3,518,384) STANDARD PACIFIC CORP COM $1,305,150 165,000 (3,083,503) TYSON FOODS INC CL A $23,486,201 830,488 (2,996,019) SONUS NETWORKS INC COM $345,088 102,400 (2,828,328) WALTER ENERGY INC COM $5,639,078 401,930 (2,812,030) GAP INC COM $20,071,725 498,305 (2,751,892) MCDERMOTT INTERNATIONAL INC C $14,512,387 1,953,215 (2,524,933) CELLDEX THERAPEUTICS INC COM $52,780,071 1,489,700 (2,510,300) EMC CORP/MA COM $4,669,710 182,696 (2,450,950) GILEAD SCIENCES INC COM $3,101,503 49,332 (2,261,801) MASCO CORP COM $13,305,703 625,268 (2,247,409) SCHLUMBERGER NV COM $67,236,393 760,937 (2,143,202) T MOBILE US INC COM $16,454,514 633,597 (2,054,107) US SILICA HOLDINGS INC COM $1,703,160 68,400 (2,024,000) GROUPON INC CL A $14,091,431 1,256,929 (1,989,971) SEQUENOM INC COM $5,607,000 2,100,000 (1,951,119) CONTINENTAL RESOURCES INC/OK $550,566 5,133 (1,950,202) CISCO SYSTEMS INC COM $10,655,716 454,770 (1,893,883) DYNAVAX TECHNOLOGIES CORP COM $2,380,000 2,000,000 (1,827,918) ARCHER DANIELS MIDLAND CO COM $61,049,995 1,657,166 (1,792,141) LIBERTY GLOBAL PLC CL C $29,749,592 394,400 (1,744,738) FREEPORT MCMORAN COPPER CL B $27,612,901 834,731 (1,726,651) EXCO RESOURCES INC COM $113,192 16,794 (1,655,311) PFIZER INC COM $3,269,652 113,826 (1,572,509) INTERMUNE INC COM $6,885,626 447,700 (1,531,800) GULFPORT ENERGY CORP COM $2,824,526 43,900 (1,519,729) OASIS PETROLEUM INC COM $8,548,423 173,996 (1,424,878) URBAN OUTFITTERS INC COM $4,096,877 111,419 (1,414,950) GRAN TIERRA ENERGY INC COM $11,020,540 1,554,378 (1,377,722) TEMPUR SEALY INTERNATIONAL INC $11,691,997 265,969 (1,375,293) LENNAR CORP CL A $2,812,105 79,438 (1,352,511) RENAISSANCERE HOLDINGS LTD CO $30,774,134 339,933 (1,332,711) FLOWERS FOODS INC COM $8,913,873 415,759 (1,288,590) TALISMAN ENERGY INC COM $22,935,623 1,994,402 (1,288,120) ROVI CORP COM $525,277 27,401 (1,262,900) AMERICAN REALTY CAPITAL PROPS $167,177 13,703 (1,262,296) SWIFT TRANSPORTATION CO CL A $918,584 45,497 (1,213,469) VODAFONE GROUP PLC ADR $3,848,692 109,400 (1,206,996) HERTZ GLOBAL HOLDINGS INC COM $22,226,879 1,003,018 (1,206,082) RPM INTERNATIONAL INC COM $42,523,706 1,174,688 (1,203,941) PETROBRAS ADR NVTG $873,005 52,182 (1,199,087) JUNIPER NETWORKS INC COM $15,380,001 774,421 (1,173,298) NEXSTAR BROADCASTING CL A $9,467,905 212,738 (1,161,198) DELTA AIR LINES INC COM $5,977,045 253,372 (1,115,878) TELEPHONE & DATA SYSTEMS INC $1,064,480 36,023 (1,096,948) CARMAX INC COM $38,350,385 791,219 (1,040,038) ZOETIS INC CL A $201,513,452 6,475,368 (1,033,838) SANDISK CORP COM $730,307 12,272 (1,021,444) HEWLETT PACKARD CO COM $2,723,998 129,776 (1,015,389) COLONY FINANCIAL INC COM $56,584,059 2,832,035 (959,156) ROCKWOOD HOLDINGS INC COM $13,561,700 202,716 (931,990) BAKER HUGHES INC COM $46,906,850 955,333 (922,626) NVIDIA CORP COM $560,393 36,015 (919,078) MARATHON PETROLEUM CORP COM $3,205,259 49,833 (911,407) VIACOM INC CL B $74,412,946 890,320 (908,492) ADTRAN INC COM $632,567 23,745 (902,755) UNISYS CORP COM $14,654,887 581,774 (878,826) CBS CORP CL B $14,788,892 268,109 (862,300) ARUBA NETWORKS INC COM $519,151 31,199 (858,075) ENERGY XXI BERMUDA LTD COM $38,994,011 1,290,765 (821,744) COBALT INTERNATIONAL ENERGY IN $18,851,462 758,305 (806,905) TESSERA TECHNOLOGIES INC COM $47,026,216 2,431,552 (799,502) NCR CORP COM $24,105,537 608,572 (766,822) VISTEON CORP COM $100,859,964 1,333,421 (766,195) NETAPP INC COM $22,919,203 537,757 (753,845) SILVER BAY REALTY TRUST CORP $25,248,070 1,612,265 (746,192) COMPUWARE CORP COM $57,083,278 5,101,276 (742,824) TW TELECOM INC COM $11,988,259 401,415 (726,112) EXPEDIA INC COM $63,879,813 1,232,963 (719,478) RED HAT INC COM $2,021,716 43,817 (706,166) EOG RESOURCES INC COM $117,120,261 691,873 (702,051) STAGE STORES INC COM $36,800,563 1,916,696 (697,400) NEUROCRINE BIOSCIENCES INC CO $44,148 3,900 (696,100) SCORPIO TANKERS INC COM $7,695,897 788,514 (692,613) CRANE CO COM $14,383,479 233,233 (681,957) EASTMAN CHEMICAL CO COM $21,554,307 276,692 (681,377) ELECTRONIC ARTS INC COM $20,549,099 804,270 (654,396) ARTHROCARE CORP COM $4,177,519 117,412 (631,360) HUBBELL INC CL B $8,303,892 79,281 (627,907) OPENTABLE INC COM $16,077,316 229,758 (626,094) EQT CORP COM $28,769,412 324,272 (620,321) BROOKDALE SENIOR LIVING INC C $4,112,242 156,359 (614,147) GENERAC HOLDINGS INC COM $2,463,100 57,765 (610,052) HCA HOLDINGS INC COM $45,526,142 1,064,939 (609,817) RIVERBED TECHNOLOGY INC COM $23,375,967 1,602,191 (609,727) CAMERON INTERNATIONAL CORP CO $2,202,825 37,739 (605,249) SBA COMMUNICATIONS CORP COM $7,917,264 98,400 (604,826) HOME LOAN SERVICING SOLUTIONS $11,009,402 500,200 (602,400) AOL INC COM $2,922,045 84,501 (600,433) TIME WARNER INC COM $67,534,814 1,026,209 (599,574) SUPERIOR ENERGY SERVICES INC $1,962,034 78,356 (598,235) MONDELEZ INTERNATIONAL INC CL $10,307,251 328,037 (592,610) AMAZON.COM INC COM $47,712,928 152,613 (591,793) SHERWIN WILLIAMS CO COM $18,004,303 98,827 (581,834) COSAN LTD CL A $239,418 15,577 (567,146) ALNYLAM PHARMACEUTICALS INC C $4,160,650 65,000 (555,449) METLIFE INC COM $1,329,577 28,319 (553,478) CORELOGIC INC COM $1,513,934 55,968 (552,640) VMWARE INC CL A $2,408,959 29,777 (549,017) STEEL DYNAMICS INC COM $5,191,560 310,500 (545,300) TOTAL SYSTEMS SERVICES INC CO $217,502 7,393 (544,561) CYTEC INDUSTRIES INC COM $710,517 8,733 (540,306) MARSH & MCLENNAN COS INC COM $11,390,023 261,539 (539,982) EMCOR GROUP INC COM $1,005,837 25,705 (537,165) MYLAN (MYLAN LABS) INC COM $20,013,180 524,317 (529,388) TWO HARBORS INVESTMENT CORP C $184,335 18,984 (529,212) BONANZA CREEK ENERGY INC COM $2,456,434 50,900 (527,810) TRANSOCEAN LTD COM $589,047 13,237 (519,745) INTELSAT SA COM $22,229,784 926,241 (511,168) EQUINIX INC COM $37,905,360 206,400 (492,134) PENN NATIONAL GAMING INC COM $4,635,293 83,730 (490,920) AMARIN CORP PLC ADR $4,139,752 655,024 (488,376) W R GRACE & CO COM $5,735,887 65,628 (483,654) KIRBY CORP COM $9,606,271 110,991 (478,336) FORTINET INC COM $15,283,212 754,354 (475,561) NIKE INC CL B $2,008,060 27,644 (475,332) ITT EDUCATIONAL SERVICES INC $3,947,168 127,328 (472,753) TAIWAN SEMICONDUCTOR MFG CO LT $2,886,355 170,186 (463,625) VERTEX PHARMACEUTICALS INC CO $7,195,318 94,900 (457,026) INTELIQUENT INC COM IQNT (16,500) TATA MOTORS LTD ADR TTM (16,213) MIDSTATES PETROLEUM CO INC CO MPO (15,900) STAAR SURGICAL CO COM STAA (15,830) BANCORPSOUTH INC COM BXS (15,701) ANGLOGOLD ASHANTI LTD ADR AU (15,551) KITE REALTY GROUP TRUST COM KRG (15,500) PERICOM SEMICONDUCTOR CORP CO PSEM (15,350) BGC PARTNERS INC CL A BGCP (15,238) OI SA ADR PFD OIBR (15,147) UNITED STATES NATURAL GAS FUND UNG (15,100) BELDEN INC COM BDC (14,934) WNS HOLDINGS LTD ADR WNS (14,921) GENERAL MOLY INC COM GMO (14,900) GOLDEN STAR RESOURCES LTD COM GSS (14,856) GAFISA SA ADR GFA (14,827) ALBANY MOLECULAR RESEARCH INC AMRI (14,790) HAEMONETICS CORP COM HAE (14,644) LIFELOCK INC COM LOCK (14,562) NV ENERGY INC COM NVE (14,500) JOURNAL COMMUNICATIONS INC CL JRN (14,430) NEW YORK & CO INC COM NWY (14,399) PNM RESOURCES INC COM PNM (14,264) PAPA JOHNS INTERNATIONAL INC PZZA (14,154) STEIN MART INC COM SMRT (13,560) TELEFONICA SA ADR TEF (13,432) IMATION CORP COM IMN (13,263) ARMOUR RESIDENTIAL REIT INC C ARR (13,250) REALD INC COM RLD (13,100) ARENA PHARMACEUTICALS INC COM ARNA (13,100) STEELCASE INC CL A SCS (13,100) UNIVERSAL DISPLAY CORP COM OLED (13,046)
13F data provided by: FactSet Research Systems Inc.; Please send questions to lionsharesinfo@factset.com. Copyright, FactSet Research Systems, 2013. All Rights Reserved.
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