DJ CFA SOURCE: SEC 13F-HR
FILER: D. E. Shaw & Co. LP
QUARTER ENDED: 09/30/2013
SEC RECEIVED: 11/14/2013
Up to 200 of the largest purchases of D. E. Shaw & Co. LP
are listed below, ordered by the number of shares bought during the
three months ended Sep. 30.
Company Name Value Holdings Change
TWENTY FIRST CENTURY FOX INC $473,373,658 14,172,864 14,172,864
BANK OF AMERICA CORP COM $158,947,544 11,517,938 8,485,860
RITE AID CORP COM $71,657,768 15,054,153 5,975,127
MGM RESORTS INTERNATIONAL COM $131,393,921 6,428,274 5,648,915
FACEBOOK INC CL A $550,394,773 10,957,491 5,622,697
NEWS CORP CL B $86,583,389 5,269,835 5,269,835
GOLDEN STAR RESOURCES LTD COM $2,542,700 6,356,749 5,177,106
ADVANCED MICRO DEVICES INC CO $31,927,419 8,379,900 4,839,754
BOSTON SCIENTIFIC CORP COM $180,895,637 15,408,487 4,078,945
MICROSOFT CORP COM $247,793,861 7,445,729 3,636,823
FRONTIER COMMUNICATIONS CORP $18,991,308 4,543,375 3,601,160
PENNEY J C INC COM $31,082,715 3,530,121 3,424,737
COMPUWARE CORP COM $54,257,367 4,848,737 3,276,719
SUPERVALU INC COM $54,466,395 6,618,031 3,152,215
NEWS CORP CL A $43,392,048 2,701,871 2,701,871
SYNOVUS FINANCIAL CORP COM $8,925,144 2,704,589 2,666,689
NOKIA OYJ ADR $15,947,187 2,450,021 2,350,613
MORGAN STANLEY COM $109,872,832 4,076,914 2,350,520
PITNEY BOWES INC COM $44,389,621 2,440,331 2,279,372
DISH NETWORK CORP CL A $94,086,338 2,090,343 2,047,365
VISTA GOLD CORP COM $992,845 2,153,677 2,010,480
FIFTH THIRD BANCORP COM $47,522,744 2,632,839 1,943,502
LENDER PROCESSING SERVICES INC $77,222,431 2,321,083 1,873,538
GENERAL MOTORS CO COM $191,090,014 5,312,483 1,862,483
TESORO CORP COM $227,588,672 5,174,822 1,821,866
FLEXTRONICS INTERNATIONAL LTD $20,749,916 2,282,719 1,801,638
NV ENERGY INC COM $42,061,262 1,781,502 1,781,502
BANCO BRADESCO SA ADR PFD $24,183,901 1,742,356 1,742,356
LIBERTY GLOBAL PLC CL A $269,019,273 3,390,287 1,688,086
GERDAU SA ADR PFD $16,049,623 2,151,424 1,683,493
REGIONS FINANCIAL CORP COM $15,549,633 1,679,226 1,679,226
AMERICAN INTERNATIONAL GROUP $537,978,226 11,062,682 1,662,549
CBRE GROUP INC COM $108,611,055 4,695,679 1,651,237
KINDER MORGAN INC COM CL P $140,196,487 3,941,425 1,634,846
H&R BLOCK INC COM $69,968,370 2,624,470 1,633,684
BOYD GAMING CORP COM $23,232,531 1,641,875 1,619,799
VERIFONE SYSTEMS INC COM $38,251,112 1,673,277 1,604,763
MCDERMOTT INTERNATIONAL INC C $19,198,719 2,583,946 1,598,625
JOHNSON & JOHNSON COM $447,350,135 5,160,343 1,584,516
ORACLE CORP COM $87,926,406 2,650,781 1,565,270
CEMEX SAB ADR REP 10 PC 2A/1B $17,353,876 1,552,225 1,552,225
PHILLIPS 66 COM $292,703,458 5,062,322 1,524,615
ZOETIS INC CL A $239,205,280 7,686,545 1,514,368
CABOT OIL & GAS CORP CL A $130,096,923 3,485,984 1,505,342
CONSTELLATION BRANDS INC CL A $142,793,923 2,487,699 1,493,306
AES CORP COM $49,697,065 3,739,433 1,482,123
RR DONNELLEY & SONS CO COM $24,686,958 1,564,446 1,463,517
SPDR S&P 500 ETF TRUST UNIT S $275,760,021 1,641,331 1,390,925
AGILENT TECHNOLOGIES INC COM $94,214,515 1,838,332 1,366,472
ELI LILLY & CO COM $98,175,208 1,950,630 1,341,111
LIFE TECHNOLOGIES CORP COM $237,905,223 3,179,276 1,335,708
CABLEVISION SYSTEMS CORP CL A $33,152,015 1,968,647 1,321,091
SPRINT CORP COM $7,971,981 1,281,875 1,281,875
DENBURY RESOURCES INC COM $42,625,465 2,315,343 1,260,337
ASCENA RETAIL GROUP INC COM $27,047,621 1,357,131 1,242,240
B2GOLD CORP COM $3,448,026 1,390,333 1,240,734
GROUPON INC CL A $13,636,735 1,216,371 1,216,371
PPL CORP COM $37,491,958 1,234,100 1,209,849
ABBVIE INC COM $87,499,663 1,956,174 1,165,352
AUTODESK INC COM $220,217,877 5,348,989 1,123,259
REALOGY HOLDINGS CORP COM $91,018,920 2,115,735 1,121,837
NABORS INDUSTRIES LTD ORD $21,965,872 1,367,738 1,100,721
TE CONNECTIVITY LTD COM REG $60,058,224 1,159,873 1,098,148
LYONDELLBASELL INDUSTRIES ORD $343,529,692 4,691,106 1,096,502
SILVER STANDARD RESOURCES INC $6,774,459 1,101,538 1,090,042
SPIRIT AEROSYSTEMS HOLDINGS C $80,619,355 3,325,881 1,074,042
TANZANIAN ROYALTY EXPLORATION $2,712,550 1,072,154 1,072,154
ALCOA INC COM $10,866,338 1,338,219 1,043,046
VALERO ENERGY CORP COM $102,450,000 3,000,000 1,008,407
HECLA MINING CO COM $13,355,874 4,253,463 994,421
MGIC INVESTMENT CORP (WI) COM $7,359,097 1,010,865 989,348
INTERNATIONAL TOWER HILL MIN $308,107 984,366 984,366
COLE REAL ESTATE INVESTMENTS I $11,975,752 976,815 976,815
YAHOO INC COM $194,827,577 5,873,608 975,980
AVON PRODUCTS INC COM $88,775,865 4,309,508 937,306
ABBOTT LABS COM $47,346,796 1,426,538 930,079
COBALT INTERNATIONAL ENERGY IN $27,321,239 1,099,004 929,304
FIFTH & PACIFIC COS INC COM $78,147,791 3,109,741 905,572
GRAN TIERRA ENERGY INC COM $6,508,698 918,011 895,779
STARBUCKS CORP COM $175,799,557 2,284,001 889,885
GREEN MOUNTAIN COFFEE ROASTERS $115,552,905 1,533,956 886,254
INTERNATIONAL BUSINESS MACHINE $365,574,023 1,974,155 883,270
UNILEVER NV NY SH $35,363,179 937,518 850,793
BLACKBERRY LTD COM $6,841,122 861,060 845,143
BANCO SANTANDER BRASIL SA ADR $6,326,092 910,229 837,902
METLIFE INC COM $39,898,392 849,806 836,325
VERISIGN INC COM $142,354,190 2,797,292 835,312
GENERAL ELECTRIC CO COM $224,212,356 9,385,197 831,390
USG CORP COM $24,690,205 863,898 821,488
EXELIS INC COM $31,928,109 2,032,343 817,576
TW TELECOM INC COM $29,802,194 997,897 806,294
XEROX CORP COM $19,082,167 1,854,438 800,514
HUNTSMAN CORP COM $18,556,894 900,383 793,418
DYNAVAX TECHNOLOGIES CORP COM $1,705,754 1,433,407 773,990
LEVEL 3 COMMUNICATIONS INC CO $22,213,446 832,276 771,370
HOME DEPOT INC COM $99,215,365 1,308,047 769,572
BERKSHIRE HATHAWAY INC CL B $726,883,760 6,403,698 764,234
BIOCRYST PHARMACEUTICALS COM $5,987,858 822,508 748,058
VCA ANTECH INC COM $32,053,564 1,167,282 729,165
KINROSS GOLD CORP COM $7,545,119 1,494,083 727,628
DAVITA HEALTHCARE PARTNERS INC $212,148,179 3,728,439 725,595
GENERAL DYNAMICS CORP COM $138,591,596 1,583,542 715,622
ESTEE LAUDER COMPANIES INC CL $71,029,235 1,016,155 709,578
COEUR MINING INC COM $13,812,746 1,146,286 706,193
KEYCORP COM $13,799,198 1,210,456 695,873
ATMEL CORP COM $5,961,136 801,228 690,406
MARVELL TECHNOLOGY GROUP LTD $25,387,343 2,207,595 675,862
IAMGOLD CORP COM $5,907,281 1,243,638 672,929
DDR CORP COM $30,582,516 1,946,691 671,956
CMS ENERGY CORP COM $44,899,183 1,705,896 655,579
PMC SIERRA INC COM $18,216,420 2,751,725 642,086
WALGREEN CO COM $60,594,671 1,126,295 639,427
EXPEDIA INC COM $37,449,770 722,829 635,790
QUANTUM CORP DSSG COM $1,954,672 1,416,429 632,628
CIA SIDERURGICA NACIONAL (CSN) $2,704,288 632,582 616,823
TEVA PHARMACEUTICAL INDUSTRIES $59,601,199 1,577,586 605,725
JOHNSON CONTROLS INC COM $36,930,975 889,903 598,470
INTERNATIONAL PAPER CO COM $116,259,450 2,595,077 588,539
MRC GLOBAL INC COM $23,432,205 874,336 572,575
MONSTER WORLDWIDE INC COM $10,295,188 2,329,228 567,622
HEALTH NET INC COM $99,211,712 3,129,707 567,063
AETNA INC COM $100,262,746 1,566,116 562,248
NEKTAR THERAPEUTICS COM $10,755,613 1,029,738 549,005
ILLUMINA INC COM $77,720,147 961,526 548,060
OMNICOM GROUP INC COM $36,010,384 567,629 547,970
WAL MART STORES INC COM $417,242,530 5,641,462 538,154
BERRY PETROLEUM CO CL A $25,497,119 591,169 536,915
UNITEDHEALTH GROUP INC COM $135,652,040 1,894,317 532,136
INTERMUNE INC COM $22,407,260 1,456,909 528,155
POOL CORP COM POOL (18,689)
HERITAGE COMMERCE CORP COM HTBK (18,591)
MYR GROUP INC COM MYRG (18,562)
DURECT CORP COM DRRX (18,512)
KLA TENCOR CORP COM KLAC (18,408)
ENVESTNET INC COM ENV (18,293)
DIAGEO PLC ADR DEO (18,260)
TETRAPHASE PHARMACEUTICALS INC TTPH (18,170)
DSW INC CL A DSW (18,160)
21VIANET GROUP INC ADR A VNET (18,099)
CTS CORP COM CTS (17,691)
CHEESECAKE FACTORY INC COM CAKE (17,200)
AMERICAN RAILCAR INDUSTRIES IN ARII (17,102)
FALCONSTOR SOFTWARE INC COM FALC (16,842)
WESBANCO INC COM WSBC (16,645)
TIFFANY & CO COM TIF (16,319)
PIPER JAFFRAY COMPANIES COM PJC (15,824)
ITRON INC COM ITRI (15,728)
CBIZ INC COM CBZ (15,657)
CBOE HOLDINGS INC COM CBOE (15,484)
WISCONSIN ENERGY CORP COM WEC (15,427)
GASLOG LTD COM GLOG (15,410)
CARNIVAL PLC ADR CUK (15,367)
REVLON INC CL A REV (15,141)
ADVISORY BOARD CO COM ABCO (15,127)
UNI PIXEL INC COM UNXL (15,062)
AVNET INC COM AVT (15,050)
CH ROBINSON WORLDWIDE INC COM CHRW (14,946)
RUBICON TECHNOLOGY INC COM RBCN (14,788)
FIRSTENERGY CORP COM FE (14,400)
WIPRO LTD ADR WIT (14,304)
SEADRILL LTD ORD SDRL (14,250)
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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