Twin Securities Inc (1351351) Portfolio


Number of Companies: 15
Inflow: $117,849 K
Outflow: $-56,379 K
Net Flow: $61,470 K
2016-03-31: Recent SEC Filing
2015-12-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
7 1 Alere Inc (ALR) Life Science Equipment 625,301 New Holding 625,301 $50.61 $31,646 $31,646
2983 10 Humana Inc (HUM) Managed Care 158,659 New Holding 158,659 $182.94 $29,026 $29,026
2988 6 Cablevision Systems-Ny Grp-A (CVC) Cable And Satellite 540,456 New Holding 540,456 $33.00 $17,835 $17,835
3031 8 Pfizer Inc (PFE) Large Pharma 400,000 Added More 365,000 $29.63 $10,818 $11,856
37 1 Valeant Pharmaceuticals Inte (VRX) Specialty Pharma 327,100 Added More 307,100 $26.29 $8,076 $8,602
2575 67 Akorn Inc (AKRX) Specialty Pharma 2,523,561 Added More 341,842 $23.53 $8,043 $59,379
2938 11 Starwood Hotels And Resorts (HOT) Lodging 142,900 Added More 85,390 $83.43 $7,124 $11,922
2633 17 Emc Corpma (EMC) Computer Hardware And Storage 649,047 Added More 112,200 $26.65 $2,990 $17,297
152 1 Office Depot Inc (ODP) Other Spec Retail Discr 1,000,200 Added More 145,200 $7.10 $1,030 $7,101
835 16 Synergy Pharmaceuticals Inc (SGYP) Specialty Pharma 1,687,115 Added More 241,383 $2.76 $666 $4,656
162 3 Depomed Inc (DEPO) Specialty Pharma 147,449 Added More 42,449 $13.93 $591 $2,053
2714 11 Staples Inc (SPLS) Other Spec Retail Discr 200,000 No Change 0 $11.03 $0 $2,206
2765 15 Hertz Global Holdings Inc (HTZ) Automotive Retailers 1,710,313 Sold Some -294,661 $10.53 $-3,102 $18,009
2 1 Yahoo Inc (YHOO) Internet Media 166,300 Sold Some -269,700 $36.81 $-9,927 $6,121
2679 4 Ncr Corporation (NCR) Transaction Mgmt Systems 128,590 Sold Some -1,448,341 $29.93 $-43,348 $3,848