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Mason Capital Management Llc

 
Page Created: 2008-12-02 08:49:00-08
 
Fund Type: INSTITUTION Report Date: 2008-11-14 Current Value: $768,030,180 Total Performance: -10.46 %
 
   

Mason Capital Management Llc
Highlights

Worst Move: Mason Capital Management Llc potentially lost $-24,123,547 on changes made with Bce Inc (BCE) buying shares when price went down.
Best Move: Mason Capital Management Llc potentially made $293,006 on changes made with Anheuser-Busch Cos Inc (BUD) buying shares when price went up.
Good Save: Mason Capital Management Llc potentially saved $12,115,185 on changes made with Saic Inc (SAI) selling shares when price went down.
Missed Move: Mason Capital Management Llc potentially missed $-22,115,569 on changes made with Entergy Corp(ETR) selling shares when price went up.
 

Mason Capital Management Llc
Contact Information

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Mason Capital Management Llc
Symbols

Mason Capital Management Llc
Recent Source SEC Filings

2008-11-14 http://www.sec.gov/Archives/edgar/data/1218735/0001144204-08-063987.txt
2008-08-14 http://www.sec.gov/Archives/edgar/data/1218735/0001144204-08-046992.txt
 

Mason Capital Management Llc
Holdings and Details

Click on column headings to sort!
Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Anheuser-Busch Cos Inc (BUD) US BUD Brewery 3,662,572 $251,179,188 $293,006 0.11 % New Holding 3,662,572 100.00 $293,006
Applied Biosystems Inc (CRA) US CRA Medical-Biomedical ... None - - - % Sold All -2,198,249 -100.00 $2,593,934
Bank Of America Corp (BAC) US BAC Super-Regional Ban ... None - - - % Sold All -1,656,600 -100.00 $281,622
Bce Inc (BCE) US BCE Telecom Services 4,496,600 $88,987,714 $-46,899,538 -34.51 % Added More 2,312,900 105.91 $-24,123,547
Calpine Corpold (CPN) US CPN Independ Power Pro ... None - - - % Sold All -1,660,000 -100.00 $-398,400
Cia Cervecerias Unidas Sa (CU) US CU Brewery None - - - % Sold All -4,962,162 -100.00
Constellation Energy Group Incmar ... (CEG) US CEG Electric-Integrate ... 1,705,788 $41,740,632 $-102,347 -0.24 % New Holding 1,705,788 100.00 $-102,347
Cypress Semiconductor Corp (CY) US CY Semicon Compo-Intg ... None - - - % Sold All -7,670,483 -100.00 $-1,303,982
Drs Technologies Inc (DRS) US DRS Aerospace/Defense- ... 2,540,915 % Sold Some -114,785 -4.32
Emc Corpmassachusetts (EMC) US EMC Computers-Memory D ... None - - - % Sold All -8,395,066 -100.00 $-4,953,089
Entergy Corp (ETR) US ETR Electric-Integrate ... None - - - % Sold All -4,327,900 -100.00 $-22,115,569
Genentech Inc (DNA) US DNA Medical-Biomedical ... 2,846,745 $218,060,667 $-14,205,258 -6.11 % New Holding 2,846,745 100.00 $-14,205,258
Golden Enterprises Inc (GLDC) US GLDC Food-Misc/Diversif ... 556,417 $918,088 $-27,821 -2.94 % No Change - - -
Hubbell Inc (HUBA) US HUBA Power Conv/Supply ... 364,413 $10,688,233 $-1,851,218 -14.76 % No Change - - -
Huntsman Corp (HUN) US HUN Chemicals-Diversif ... 6,434,168 $46,004,301 $-13,576,094 -22.78 % New Holding 6,434,168 100.00 $-13,576,094
Internet Capital Group Inc (ICGE) US ICGE Internet Incubator ... 2,280,593 $8,392,582 $-1,163,102 -12.17 % Sold Some -23,571 -1.02 $12,021
Mds Inc (MDZ) BE MDZ Medical Labs And T ... 3,008,508 $21,179,896 $-6,769,143 -24.21 % Sold Some -1,395,800 -31.69 $3,140,550
Microsoft Corp (MSFT) US MSFT Applications Softw ... None - - - % Sold All -10,892,095 -100.00 $-1,742,735
National City Corp (NCC) US NCC Super-Regional Ban ... None - - - % Sold All -1,460,000 -100.00 $467,200
Nationwide Financial Services (NFS) US NFS Life/Health Insura ... 4,982 $253,086 $3,986 1.60 % No Change - - -
Northwest Airlines Corp (NWA) US NWA Airlines 12,214 % Sold Some -22,152 -64.45
Nymex Holdings Inc (NMX) US NMX Finance-Other Serv ... None - - - % Sold All -694,900 -100.00
Playboy Enterprises Inc (PLA) US PLA Publishing-Periodi ... 280,500 $350,625 $-109,395 -23.78 % No Change - - -
Rohm And Haas Co (ROH) US ROH Chemicals-Diversif ... 1,173,442 $80,275,167 $-5,315,692 -6.21 % New Holding 1,173,442 100.00 $-5,315,692
Saic Inc (SAI) US SAI Consulting Service ... None - - - % Sold All -12,888,495 -100.00 $12,115,185
Sunpower Corp (SPWR) US SPWR Energy-Alternate S ... None - - - % Sold All -347,996 -100.00
Take-Two Interactive Software Inc (TTWO) US TTWO Entertainment Soft ... None - - - % Sold All -3,371,803 -100.00 $-4,686,806
Unionbancal Corp (UB) US UB Commer Banks-Weste ... 2,872,817 % New Holding 2,872,817 100.00
Wm Wrigley Jr Co (WWY) US WWY Food-Confectionery 3,361,621 % Added More 898,300 36.46
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Listed 29 holdings.
 

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