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PKG Packaging Corp

172.85
1.60 (0.93%)
27 Apr 2024 - Closed
Delayed by 15 minutes
Share Name Share Symbol Market Type
Packaging Corp NYSE:PKG NYSE Common Stock
  Price Change % Change Share Price High Price Low Price Open Price Shares Traded Last Trade
  1.60 0.93% 172.85 173.52 171.645 172.26 497,295 01:00:00

CR Intrinsic Investors 3Q 13F: Holdings As Of Sep -2-

15/11/2013 11:39am

Dow Jones News


Packaging (NYSE:PKG)
Historical Stock Chart


From Apr 2019 to Apr 2024

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TYCO INTERNATIONAL LTD  COM         $7,870,500       225,000         35,000 
MONSTER BEVERAGE CORP  COM          $7,837,500       150,000        150,000 * 
ACCRETIVE HEALTH INC  COM           $7,752,000       850,000        850,000 * 
TORNIER NV  COM                     $7,732,000       400,000      (630,140) 
BEST BUY INC  COM                   $7,725,000       206,000      (305,000) 
BRIGHT HORIZONS FAMILY SOLUTIO      $7,667,620       214,000         65,000 
MYRIAD GENETICS INC  COM            $7,637,500       325,000        325,000 * 
LINKEDIN CORP  CL A                 $7,628,106        31,001         31,001 * 
AMERICAN EXPRESS CO  COM            $7,627,596       101,001        101,001 * 
PULTEGROUP INC  COM                 $7,590,000       460,000         60,000 
MELLANOX TECHNOLOGIES LTD  ORD      $7,499,607       197,488        197,488 * 
COMCAST CORP  CL A                  $7,443,975       165,000         85,000 
BLOOMIN BRANDS INC  COM             $7,437,150       315,000        315,000 * 
NORTHSTAR REALTY FINANCE CORP       $7,424,000       800,000        225,000 
MANNKIND CORP  COM                  $7,410,000     1,300,000      1,300,000 * 
MASTERCARD INC  CL A                $7,401,253        11,001              0 
CANADIAN PACIFIC RAILWAY LTD        $7,398,000        60,000       (95,000) 
J B HUNT TRANSPORT SERVICES IN      $7,110,675        97,500         12,500 
3D SYSTEMS CORP  COM                $7,018,700       130,000        105,000 
SUNEDISON INC  COM                  $6,944,261       871,300        871,300 * 
SEALED AIR CORP  COM                $6,797,500       250,000        250,000 * 
NORWEGIAN CRUISE LINE HOLDINGS      $6,756,150       219,000      (205,000) 
BARRICK GOLD CORP  COM              $6,703,200       360,000        360,000 * 
21VIANET GROUP INC  ADR A           $6,593,428       399,844        399,844 * 
W R GRACE & CO  COM                 $6,555,000        75,000       (25,000) 
CONNS INC  COM                      $6,553,930       131,000      (149,000) 
SANOFI AVENTIS  ADR                 $6,328,750       125,000        125,000 * 
AUTONATION INC  COM                 $6,260,400       120,000      (200,000) 
CARDINAL HEALTH INC  COM            $6,258,000       120,000        (5,000) 
UNION PACIFIC CORP  COM             $6,213,600        40,000         40,000 * 
DEMANDWARE INC  COM                 $6,069,276       131,001              0 
IMPAX LABORATORIES INC  COM         $5,932,513       289,815         31,815 
BE AEROSPACE INC  COM               $5,905,600        80,000         80,000 * 
MADISON SQUARE GARDEN CO  CL A      $5,807,000       100,000       (85,000) 
TRW AUTOMOTIVE HOLDINGS CORP        $5,704,800        80,000          5,000 
GENERAL DYNAMICS CORP  COM          $5,688,800        65,000         15,000 
LEAR CORP  COM                      $5,367,750        75,000         75,000 * 
SENSATA TECHNOLOGIES HOLDING N      $5,357,800       140,000       (52,500) 
MEDTRONIC INC  COM                  $5,325,000       100,000        100,000 * 
SUNPOWER CORP  COM                  $5,232,000       200,000        200,000 * 
DICKS SPORTING GOODS INC  COM       $5,231,240        98,000         18,000 
DANAHER CORP  COM                   $5,199,000        75,000         42,700 
CORNERSTONE ONDEMAND INC  COM       $5,195,491       101,001      (170,000) 
INGERSOLL RAND PLC  ORD             $5,195,200        80,000         80,000 * 
INTELSAT SA  COM                    $5,171,376       215,474      (275,000) 
BERRY PLASTICS GROUP INC  COM       $5,092,350       255,000        255,000 * 
SINA CORP (SINA.COM)  ORD           $5,056,891        62,300         62,300 * 
SOUFUN HOLDINGS LTD  ADR            $5,037,998        97,560       (50,140) 
FLOWERS FOODS INC  COM              $5,016,960       234,000      (336,000) 
BRUNSWICK CORP  COM                 $4,988,750       125,000      (177,000) 
YY INC  ADR                         $4,958,680       106,000      (199,700) 
LINCOLN NATIONAL CORP  COM          $4,828,850       115,000         27,628 
CHEMTURA CORP  COM                  $4,827,900       210,000        210,000 * 
SILVER SPRING NETWORKS INC  CO      $4,825,642       278,456        278,456 * 
CADENCE PHARMACEUTICALS INC  C      $4,819,009       764,922        764,922 * 
NEWS CORP  CL A                     $4,818,016       300,001        300,001 * 
GLOBUS MEDICAL INC  CL A            $4,801,500       275,000      (358,375) 
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FOREST OIL CORP  COM                $4,575,000       750,000        125,000 
DOMINION DIAMOND CORP  COM          $4,571,250       375,000        100,000 
COCA COLA CO  COM                   $4,545,600       120,000        120,000 * 
MAGNA INTERNATIONAL INC  CL A       $4,540,800        55,000         55,000 * 
ARGO GROUP INTERNATIONAL HLDGS      $4,537,216       105,770         22,147 
THIRD POINT REINSURANCE LTD  C      $4,498,000       310,421        310,421 * 
EATON CORP PLC  COM                 $4,474,600        65,000         42,000 
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DELPHI AUTOMOTIVE PLC  COM          $4,381,500        75,000         75,000 * 
RF MICRO DEVICES INC  COM           $4,312,908       764,700        764,700 * 
ZILLOW INC  CL A                    $4,299,588        51,001         51,001 * 
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ABAXIS INC  COM                     $4,211,500       100,000         45,000 
INVESCO LTD  COM                    $4,147,000       130,000         65,000 
ONCOMED PHARMACEUTICALS INC  C      $4,142,764       270,592        270,592 * 

* New holding 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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