DJ CFA SOURCE: SEC 13F-HR
FILER: Millennium Management LLC
QUARTER ENDED: 09/30/2013
SEC RECEIVED: 11/14/2013
Up to 200 of the largest purchases of Millennium Management LLC
are listed below, ordered by the number of shares bought during the
three months ended Sep. 30.
Company Name Value Holdings Change
ZYNGA INC CL A $19,792,274 5,391,521 5,247,118
VANTAGE DRILLING CO COM $8,630,076 4,988,483 4,988,483
WEATHERFORD INTERNATIONAL LTD $93,045,481 6,069,503 4,342,188
CMS ENERGY CORP COM $187,116,171 7,109,277 3,732,425
PPL CORP COM $243,714,922 8,022,216 3,373,113
AMERICAN ELECTRIC POWER INC C $192,411,966 4,438,569 2,669,501
NOKIA OYJ ADR $16,972,582 2,607,556 2,607,556
GROUPON INC CL A $40,349,981 3,599,142 2,600,905
REGIONS FINANCIAL CORP COM $28,351,120 3,061,676 2,584,902
INTERPUBLIC GROUP OF COS COM $48,707,241 2,835,113 2,506,672
LAREDO PETROLEUM HOLDINGS INC $69,855,976 2,353,638 2,353,638
SIRIUS XM RADIO INC COM $20,100,722 5,187,283 2,259,087
FRONTIER COMMUNICATIONS CORP $9,351,157 2,237,119 2,050,513
KB HOME COM $43,459,915 2,411,760 2,048,252
PENN VIRGINIA CORP COM $12,849,682 1,932,283 1,911,101
CABLEVISION SYSTEMS CORP CL A $31,913,905 1,895,125 1,789,361
EXTREME NETWORKS INC COM $9,774,351 1,872,481 1,762,760
EDUCATION REALTY TRUST INC CO $22,270,849 2,447,346 1,760,429
DRAGONWAVE INC COM $3,366,000 1,700,000 1,700,000
ADVANCED MICRO DEVICES INC CO $7,737,824 2,030,925 1,697,055
PACIFIC BIOSCIENCES OF CA INC $11,666,156 2,113,434 1,672,917
VRINGO INC COM $9,606,191 3,347,105 1,671,436
MYLAN (MYLAN LABS) INC COM $79,706,823 2,088,206 1,653,419
FIFTH THIRD BANCORP COM $55,672,915 3,084,372 1,633,895
CBL & ASSOCIATES PROPERTIES IN $32,549,991 1,704,188 1,531,795
GRAPHIC PACKAGING HOLDING COM $16,152,489 1,886,973 1,511,296
IRONWOOD PHARMACEUTICALS INC $19,482,341 1,645,468 1,385,037
TESORO CORP COM $95,114,974 2,162,687 1,380,344
PLANET PAYMENT INC COM $8,981,382 3,601,369 1,365,684
RITE AID CORP COM $36,334,894 7,633,381 1,361,407
NISOURCE INC COM $129,189,919 4,182,257 1,342,967
ELECTRONIC ARTS INC COM $56,207,445 2,199,900 1,295,872
INSMED INC COM $20,072,446 1,285,871 1,272,361
FORD MOTOR CO COM $37,178,376 2,203,816 1,269,518
ZIONS BANCORPORATION COM $48,446,040 1,766,814 1,197,606
HD SUPPLY HOLDINGS INC COM $26,181,913 1,191,712 1,191,712
FLOWERS FOODS INC COM $48,493,078 2,261,804 1,184,391
STILLWATER MINING CO COM $14,496,449 1,316,662 1,170,001
DYAX CORP COM $11,828,863 1,724,324 1,162,873
TWENTY FIRST CENTURY FOX INC $53,555,263 1,603,451 1,156,587
SYMANTEC CORP COM $46,216,987 1,867,353 1,127,386
ONEOK INC COM $81,490,342 1,528,326 1,124,453
RR DONNELLEY & SONS CO COM $17,704,103 1,121,933 1,121,933
FRESH MARKET INC COM $55,764,581 1,178,706 1,121,646
ALCATEL LUCENT SA ADR A $3,897,300 1,104,051 1,104,051
NORTHEAST UTILITIES COM $98,372,670 2,384,792 1,095,027
RIGEL PHARMACEUTICALS INC COM $10,348,763 2,890,716 1,087,149
PACWEST BANCORP COM $37,063,958 1,080,897 1,080,897
ASSOCIATED BANC CORP COM $17,867,157 1,153,464 1,076,770
GLIMCHER REALTY TRUST SBI $10,744,178 1,101,967 1,071,952
PATTERSON UTI ENERGY INC COM $60,393,732 2,824,777 1,035,981
CONAGRA FOODS INC COM $116,567,736 3,842,048 1,022,222
KAR AUCTION SERVICES INC COM $41,085,975 1,456,433 1,020,370
MOLEX INC CL A NVTG $38,886,279 1,015,838 1,015,838
CAMERON INTERNATIONAL CORP CO $75,927,813 1,300,802 985,484
DDR CORP COM $24,585,789 1,564,977 984,198
BAKER HUGHES INC COM $208,099,499 4,238,279 981,228
HERCULES OFFSHORE INC COM $24,603,267 3,342,381 969,964
JUNIPER NETWORKS INC COM $19,471,320 980,429 959,513
ACTIVE NETWORK INC COM $15,344,527 1,072,294 950,279
CABOT OIL & GAS CORP CL A $121,053,093 3,243,652 950,020
GAP INC COM $42,776,957 1,061,990 948,187
YINGLI GREEN ENERGY HOLDING CO $6,460,030 930,840 930,840
HOME DEPOT INC COM $88,882,926 1,171,825 929,077
JPMORGAN CHASE & CO INC COM $67,611,761 1,308,024 904,612
DOLE FOOD CO INC COM $12,244,543 899,012 899,012
JOHNSON & JOHNSON COM $72,482,203 836,108 836,108
CADENCE DESIGN SYSTEM INC COM $15,061,029 1,114,806 835,084
QUICKSILVER RESOURCES INC COM $1,644,680 834,863 834,863
MATADOR RESOURCES CO COM $13,630,782 834,708 834,708
SKECHERS USA INC CL A $35,530,233 1,142,084 823,214
HERTZ GLOBAL HOLDINGS INC COM $21,398,006 965,614 818,467
FACEBOOK INC CL A $59,869,740 1,191,912 813,244
HESS CORP COM $110,175,702 1,424,563 811,707
KIMCO REALTY CORP COM $22,145,128 1,097,380 810,164
APPLIED MATERIALS INC COM $16,224,169 925,456 808,722
CEMEX SAB ADR REP 10 PC 2A/1B $14,628,784 1,308,478 804,902
MARVELL TECHNOLOGY GROUP LTD $10,178,271 885,067 794,565
GENWORTH FINANCIAL INC CL A $13,398,950 1,046,793 778,851
CHARLES SCHWAB CORP COM $17,230,855 815,083 778,183
RADIAN GROUP INC COM $12,643,551 907,649 771,792
VALERO ENERGY CORP COM $28,561,387 836,351 771,232
AXIS CAPITAL HOLDINGS LTD COM $32,861,376 758,748 758,748
DOLLAR GENERAL CORP COM $96,131,563 1,702,649 755,109
FRANKS INTERNATIONAL NV COM $22,527,922 752,687 752,687
MICRON TECHNOLOGY INC COM $33,987,250 1,945,575 744,595
INFINITY PHARMACEUTICALS INC $14,719,496 844,492 733,028
ROYAL BANK OF SCOTLAND ADR PF $15,311,729 729,825 729,825
SPECTRANETICS CORP COM $18,490,500 1,100,625 720,813
MEDTRONIC INC COM $66,329,212 1,245,619 720,336
FOOT LOCKER INC COM $26,757,210 788,368 719,953
XENOPORT INC COM $4,452,558 783,901 712,111
VIACOM INC CL B $63,754,991 762,802 708,197
SALLY BEAUTY HOLDINGS INC COM $18,197,890 695,638 695,638
NATIONAL RETAIL PROPERTIES INC $21,737,801 683,149 683,149
GRIFOLS SA ADR B $76,310,233 2,520,153 680,215
ALTISOURCE RESIDENTIAL CL B $15,920,958 692,818 678,984
OGE ENERGY CORP COM $97,269,660 2,695,197 669,787
VITAMIN SHOPPE INC COM $43,163,050 986,584 669,271
KROGER CO COM $32,248,320 799,413 668,313
DISH NETWORK CORP CL A $60,330,999 1,340,391 658,515
MUELLER WATER PRODUCTS INC CL $22,294,289 2,790,274 657,723
SEMPRA ENERGY COM $154,453,730 1,804,366 657,002
ASIAINFO LINKAGE INC COM $7,501,000 650,000 650,000
MGIC INVESTMENT CORP (WI) COM $24,044,668 3,302,839 647,091
HARRIS TEETER SUPERMARKETS INC $33,007,129 671,013 644,711
EQUITY LIFESTYLE PROPERTIES IN $27,385,341 801,444 643,774
PINNACLE WEST CAPITAL CORP CO $57,742,708 1,054,854 640,122
ARIAD PHARMACEUTICALS INC COM $12,562,950 682,769 627,501
SCORPIO TANKERS INC COM $33,937,306 3,477,183 625,684
NOVAVAX INC COM $1,953,592 620,188 620,188
KINROSS GOLD CORP COM $4,911,357 972,546 619,546
DOMINION RESOURCES INC/VA COM $126,385,231 2,022,811 611,158
MILLENNIAL MEDIA INC COM $4,269,425 603,879 603,879
MANDALAY DIGITAL GROUP INC CO $1,602,000 600,000 600,000
ALCOA INC COM $16,130,932 1,986,568 597,582
FLIR SYSTEMS INC COM $23,963,569 763,171 586,944
NV ENERGY INC COM $27,106,499 1,148,094 586,445
TIBCO SOFTWARE INC COM $21,078,534 823,702 585,133
INTEGRYS ENERGY GROUP INC COM $34,390,235 615,320 581,719
T ROWE PRICE GROUP INC COM $49,585,593 689,359 576,612
D R HORTON INC COM $33,705,901 1,734,735 572,187
ITT CORP COM $26,907,461 748,469 569,082
WALT DISNEY CO COM $36,290,458 562,730 562,730
CORELOGIC INC COM $26,416,056 976,564 559,402
RENREN INC ADR A $1,876,251 556,751 556,751
TEVA PHARMACEUTICAL INDUSTRIES $32,534,511 861,157 553,476
MEDICINES CO COM $22,173,681 661,506 552,973
NEWS CORP CL B $8,874,780 540,157 540,157
CALGON CARBON CORP COM CCC (57,685)
KITE REALTY GROUP TRUST COM KRG (55,756)
COMPASS MINERALS INTERNATIONAL CMP (54,990)
AZZ INC COM AZZ (54,803)
UNION FIRST MARKET BANK CORP UBSH (54,775)
CEPHEID COM CPHD (54,724)
GTX INC COM GTXI (54,614)
MAGICJACK VOCALTEC LTD ORD CALL (53,800)
AMTRUST FINANCIAL SERVICES INC AFSI (53,554)
PINNACLE FINANCIAL PARTNERS IN PNFP (53,114)
MOTOROLA SOLUTIONS INC COM MSI (52,838)
LINCOLN ELECTRIC HOLDINGS INC LECO (52,607)
SILVERCORP METALS INC COM SVM (52,330)
CROWN HOLDINGS INC COM CCK (52,002)
THERMO FISHER SC (ELECTRON) IN TMO (51,077)
KNOT OFFSHORE PARTNERS LP COM KNOP (50,500)
MATERIALS SELECT SECTOR SPDR F XLB (50,411)
PARKER HANNIFIN CORP COM PH (50,335)
BRINKS CO COM BCO (50,056)
HEALTHSOUTH CORP COM HLS (49,930)
REALPAGE INC COM RP (49,205)
WIPRO LTD ADR WIT (48,656)
BB&T CORP PFD 5.2%49 BBT.PRG (47,105)
CARBO CERAMICS INC COM CRR (46,859)
CENTRAL GARDEN & PET CO CL A CENTA (46,457)
FARO TECHNOLOGIES INC COM FARO (45,586)
CARDINAL FINANCIAL CORP COM CFNL (45,239)
KEY ENERGY SERVICES INC COM KEG (45,107)
CIRRUS LOGIC INC COM CRUS (43,491)
COMPUTER PROGRAMS & SYSTEMS C CPSI (42,330)
UNIVERSAL CORP/VA COM UVV (41,249)
IDT CORP CL B IDT (40,452)
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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