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GDX General Dynamics Corp

255.30
0.45 (0.18%)
27 Dec 2024 - Closed
Realtime Data
Share Name Share Symbol Market Type
General Dynamics Corp TG:GDX Tradegate Ordinary Share
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  0.45 0.18% 255.30 254.75 256.05 256.55 254.00 255.00 379 22:50:16

S.A.C. Capital Advisors LP 3Q 13F: Largest Eliminations

15/11/2013 1:27pm

Dow Jones News


General Dynamics (TG:GDX)
Historical Stock Chart


From Dec 2019 to Dec 2024

Click Here for more General Dynamics Charts.
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 eliminated positions 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                    Ticker            Change 
 
 
ARCELORMITTAL  NY REG CL A      MT           (4,099,834) 
MEDASSETS INC  COM              MDAS         (1,362,174) 
MARKET VECTORS GOLD MINERS ETF  GDX          (1,271,150) 
PINNACLE FOODS INC  COM         PF           (1,226,224) 
PETSMART INC  COM               PETM           (994,760) 
DEMAND MEDIA INC  COM           DMD            (911,185) 
DISCOVERY COMMUNICATIONS INC    DISCK          (888,293) 
ZIOPHARM ONCOLOGY INC  COM      ZIOP           (888,000) 
FORMFACTOR INC  COM             FORM           (815,140) 
NEKTAR THERAPEUTICS  COM        NKTR           (809,582) 
CNH INDUSTRIAL NV  ORD          CNHI           (765,983) 
FIRST NIAGARA FINANCIAL GROUP   FNFG           (674,314) 
YPF SA  ADR D                   YPF            (627,000) 
UNITED MICROELECTRONICS  ADR    UMC            (597,167) 
RPC INC  COM                    RES            (541,778) 
TRIMBLE NAVIGATION LTD  COM     TRMB           (507,000) 
YAMANA GOLD INC  COM            AUY            (496,285) 
ISHARES MSCI EMERGING MARKETS   EEM            (432,200) 
HARRIS TEETER SUPERMARKETS INC  HTSI           (373,530) 
NII HOLDINGS INC  COM           NIHD           (335,734) 
LIGAND PHARMACEUTICALS INC  CL  LGND           (317,100) 
INTREPID POTASH INC  COM        IPI            (297,800) 
COGNIZANT TECHNOLOGY SOLUTIONS  CTSH           (297,018) 
REDWOOD TRUST INC  COM          RWT            (289,400) 
BANK OF NEW YORK MELLON CORP    BK             (288,788) 
SUSSER HOLDINGS CORP  COM       SUSS           (279,400) 
ARCH COAL INC  COM              ACI            (268,857) 
FOOT LOCKER INC  COM            FL             (261,860) 
MSC INDUSTRIAL DIRECT INC  CL   MSM            (260,106) 
TCF FINANCIAL CORP  COM         TCB            (221,300) 
KODIAK OIL & GAS CORP  COM      KOG            (215,115) 
CHIMERIX INC  COM               CMRX           (212,506) 
DARDEN RESTAURANTS INC  COM     DRI            (202,354) 
PANTRY INC  COM                 PTRY           (200,526) 
LIFE TIME FITNESS INC  COM      LTM            (180,961) 
STMICROELECTRONICS NV  NY REG   STM            (178,915) 
COMMERCIAL VEHICLE GROUP INC    CVGI           (177,000) 
ANIXTER INTERNATIONAL INC  COM  AXE            (168,821) 
HECLA MINING CO  COM            HL             (165,375) 
CEMEX SAB  ADR REP 10 PC 2A/1B  CX             (163,789) 
SAKS INC  COM                   SKS            (156,274) 
HILLTOP HOLDINGS INC  COM       HTH            (141,082) 
DYAX CORP  COM                  DYAX           (140,000) 
PRIVATEBANCORP INC  COM         PVTB           (134,507) 
QUANTUM CORP  DSSG COM          QTM            (129,953) 
JANUS CAPITAL GROUP INC  COM    JNS            (129,554) 
WYNN RESORTS LTD  COM           WYNN           (129,486) 
SAP AG  ADR                     SAP            (128,048) 
HORNBECK OFFSHORE SERVICES INC  HOS            (125,757) 
EXAMWORKS GROUP INC  COM        EXAM           (125,000) 
ARRIS GROUP INC  COM            ARRS           (123,675) 
CLEAN HARBORS INC  COM          CLH            (116,923) 
CITY NATIONAL CORP  COM         CYN            (114,636) 
SABESP (SANEAMENTO BASICO)  AD  SBS            (111,103) 
TEREX CORP  COM                 TEX            (110,996) 
ISHARES CHINA LARGE CAP ETF     FXI            (110,748) 
LHC GROUP INC  COM              LHCG           (104,267) 
SILICONWARE PRECISION INDS  AD  SPIL           (102,000) 
TOTAL SA  ADR                   TOT            (100,000) 
KYTHERA BIOPHARMACEUTICALS INC  KYTH           (100,000) 
SCRIPPS NETWORKS INTERACTIVE    SNI             (95,502) 
BCE INC  COM                    BCE             (94,729) 
TILE SHOP HOLDINGS INC  COM     TTS             (92,434) 
SANDSTORM GOLD LTD  COM         SSL             (89,300) 
PLUM CREEK TIMBER CO INC  COM   PCL             (88,538) 
CHEMED CORP  COM                CHE             (87,652) 
PROS HOLDINGS INC  COM          PRO             (86,274) 
FRANCESCAS HOLDINGS CORP  COM   FRAN            (83,748) 
VALIDUS HOLDINGS LTD  COM       VR              (82,083) 
BANRO CORP  COM                 BAA             (80,700) 
PEABODY ENERGY CORP  COM        BTU             (78,943) 
FRANCO NEVADA CORP  COM         FNV             (75,000) 
GREEN PLAINS RENEWABLE ENERGY   GPRE            (67,806) 
APOLLO GROUP  CL A NON-VTG      APOL            (66,066) 
RENTECH INC  COM                RTK             (63,500) 
ABAXIS INC  COM                 ABAX            (62,500) 
FIRST MAJESTIC SILVER CORP  CO  FR              (59,124) 
ION GEOPHYSICAL CORP  COM       IO              (57,284) 
MFA FINANCIAL INC  COM          MFA             (56,886) 
COMCAST CORP  CL A SPECIAL NVT  CMCSK           (56,560) 
NASDAQ OMX GROUP INC  COM       NDAQ            (55,800) 
SEI INVESTMENTS CO  COM         SEIC            (53,891) 
FIRSTENERGY CORP  COM           FE              (53,271) 
BELO CORP  CL A                 BLC             (52,469) 
FAIR ISAAC CORP  COM            FICO            (51,541) 
GRAY TELEVISION INC  COM        GTN             (51,101) 
DUKE REALTY CORP  COM           DRE             (49,581) 
ADVANTAGE OIL & GAS LTD  COM    AAV             (49,538) 
PACIFIC SUNWEAR CALIFORNIA INC  PSUN            (49,000) 
BLACKBERRY LTD  COM             BBRY            (47,100) 
ASSOCIATED BANC CORP  COM       ASBC            (46,511) 
FELCOR LODGING TRUST INC  COM   FCH             (46,386) 
TENNECO INC  COM                TEN             (42,993) 
NICE SYSTEMS LTD  ADR           NICE            (42,130) 
FINANCIAL SELECT SECTOR SPDR F  XLF             (41,600) 
STAPLES INC  COM                SPLS            (41,305) 
FIFTH THIRD BANCORP  COM        FITB            (38,990) 
TAYLOR MORRISON HOME CORP  CL   TMHC            (38,372) 
MERCADOLIBRE INC  COM           MELI            (38,170) 
AK STEEL HOLDING CORP  COM      AKS             (37,307) 
AVNET INC  COM                  AVT             (37,177) 
VALERO ENERGY CORP  COM         VLO             (36,951) 
PETROQUEST ENERGY INC  COM      PQ              (36,748) 
BRINKER INTERNATIONAL INC  COM  EAT             (36,327) 
FLUOR CORP  COM                 FLR             (36,309) 
AKORN INC  COM                  AKRX            (36,300) 
FIRST POTOMAC REALTY TRUST  CO  FPO             (36,054) 
CGI GROUP INC  CL A SUB-VTG     GIB             (33,754) 
CHUBB CORP  COM                 CB              (33,123) 
GENTEX CORP  COM                GNTX            (31,907) 
CIENA CORP  COM                 CIEN            (31,677) 
AEGERION PHARMACEUTICALS INC    AEGR            (30,700) 
JOS A BANK CLOTHIERS INC  COM   JOSB            (30,272) 
PARKWAY PROPERTIES INC  COM     PKY             (29,559) 
REINSURANCE GROUP OF AMERICA    RGA             (29,526) 
ANADIGICS INC  COM              ANAD            (29,223) 
AKAMAI TECHNOLOGIES INC  COM    AKAM            (28,858) 
ANGIES LIST INC  COM            ANGI            (28,530) 
EATON VANCE CORP  COM NON-VTG   EV              (28,057) 
KENNAMETAL INC  COM             KMT             (27,862) 
HEALTHSOUTH CORP  COM           HLS             (27,661) 
ENTEGRIS INC  COM               ENTG            (27,601) 
ROBERT HALF INTERNATIONAL INC   RHI             (27,474) 
RPX CORP  COM                   RPXC            (27,452) 
SUNTRUST BANKS INC  COM         STI             (27,265) 
OMNIVISION TECHNOLOGIES INC  C  OVTI            (26,618) 
FIRST INDUSTRIAL REALTY TRUST   FR              (26,549) 
RESOLUTE FOREST PRODUCTS INC    RFP             (26,113) 
NAUTILUS INC  COM               NLS             (25,960) 
GFI GROUP INC  COM              GFIG            (25,955) 
NOMURA HOLDINGS INC  ADR        NMR             (25,915) 
CUBESMART  COM                  CUBE            (25,386) 
ARKANSAS BEST CORP  COM         ABFS            (25,200) 
IMAX CORP  COM                  IMAX            (25,181) 
LIMELIGHT NETWORKS INC  COM     LLNW            (25,073) 
INCONTACT INC  COM              SAAS            (25,014) 
AUDIENCE INC  COM               ADNC            (24,471) 
BRIGGS & STRATTON CORP  COM     BGG             (24,106) 
SIRONA DENTAL SYSTEMS INC  COM  SIRO            (24,100) 
SEACOAST BANKING CORP/FL  COM   SBCF            (24,025) 
COTT CORP (QUE)  COM            COT             (23,819) 
HASBRO INC  COM                 HAS             (23,536) 
LORILLARD INC  COM              LO              (22,964) 
BUILDERS FIRSTSOURCE INC  COM   BLDR            (22,933) 
QUANEX BUILDING PRODUCTS CORP   NX              (22,523) 
RETAIL PROPERTIES OF AMERICA    RPAI            (22,300) 
TANGER FACTORY OUTLET CTRS  CO  SKT             (22,180) 
CENTRAL EUROPEAN MEDIA ENT  OR  CETV            (22,100) 
SUNSTONE HOTEL INVESTORS INC    SHO             (21,023) 
COMMERCE BANCSHARES INC  COM    CBSH            (20,951) 
NORFOLK SOUTHERN CORP  COM      NSC             (20,523) 
XERIUM TECHNOLOGIES INC  COM    XRM             (20,319) 
FTI CONSULTING INC  COM         FCN             (20,038) 
SHFL ENTERTAINMENT INC  COM     SHFL            (19,904) 
LEGGETT & PLATT INC  COM        LEG             (19,798) 
MEDIFAST INC  COM               MED             (19,173) 
SOUTHERN COPPER CORP  COM       SCCO            (18,905) 
ENDEAVOUR SILVER CORP  COM      EDR             (18,783) 
PIKE CORP  COM                  PIKE            (18,018) 
CARDTRONICS INC  COM            CATM            (17,761) 
ACADIA HEALTHCARE CO INC  COM   ACHC            (17,700) 
SPECTRA ENERGY CORP  COM        SE              (17,600) 
DESTINATION XL GROUP INC  COM   DXLG            (17,131) 
FLY LEASING LTD  SPONSORED ADR  FLY             (17,087) 
YINGLI GREEN ENERGY HOLDING CO  YGE             (16,941) 
EXTRA SPACE STORAGE INC  COM    EXR             (16,754) 
GIANT INTERACTIVE GROUP INC  A  GA              (16,716) 
CALGON CARBON CORP  COM         CCC             (16,708) 

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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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