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Fund Holdings of LEGG MASON CAPITAL MANAGEMENT INC Filed on 2012-02-14

Link to Original SEC 13F filings sorted on filing date: 2012-02-14 | 2011-11-14 | 2011-08-12 | 2011-05-13 | 2011-02-11 | 2010-11-15 | 2010-08-16 | 2010-05-17 | 2010-02-16 | 2009-11-13 | 2009-08-14 | 2009-05-15 | 2009-02-17 | 2008-11-13 | 2008-08-14 | 2008-05-15 |

1. Fund Information

Fund NameLEGG MASON CAPITAL MANAGEMENT INC
Fund Manager
Address100 LIGHT STREET,
BALTIMORE, MD, 21202
::Google Map
Phone
13F Asset Last Qtr$7,468,587,285
13F Asset This Qtr$7,168,972,534
Asset Change-4.01%

2. Comparison of Holdings by Sectors with Last Quarter

3. Top 20 Holdings (Value) of This Quarter

No.SecurityPut/CallStockSharesValue(x$1000)Activity(Shr)% Port.
1.)APPLE INC.AAPL544,599$220,563Cut -8.84%3.08%
2.)EBAY INC.EBAY6,400,998$194,143Cut -15.20%2.71%
3.)BLACKROCK, INC.BLK901,321$160,652Cut -16.75%2.24%
4.)PHILIP MORRIS INTERNATIONAL INC COMMON STOCKPM2,007,563$157,554Cut -15.84%2.20%
5.)EMC CORP. (MA)EMC6,801,733$146,510Cut -15.93%2.04%
6.)MICROSOFT CORPORATIONMSFT5,590,077$145,119Cut -31.75%2.02%
7.)GENERAL ELECTRIC COGE8,070,266$144,539Cut -4.73%2.02%
8.)PEPSICO INC.PEP2,177,347$144,467Cut -21.78%2.02%
9.)ABBOTT LABORATORIESABT2,496,944$140,403Cut -10.04%1.96%
10.)MEDTRONIC, INC.MDT3,632,012$138,925Cut -17.93%1.94%
11.)CELGENE CORPORATIONCELG2,029,561$137,199Cut -18.62%1.91%
12.)PROCTER & GAMBLE CO.PG2,043,173$136,301Cut -20.94%1.90%
13.)PFIZER INCPFE6,255,792$135,376Cut -7.90%1.89%
14.)CISCO SYSTEMS, INC.CSCO7,347,844$132,850Cut -28.46%1.85%
15.)LOWE COMPANIES INCLOW5,196,096$131,877Added 146.82%1.84%
16.)UNITED CONTINENTAL HOLDINGS INCUAL6,812,003$128,543Cut -14.91%1.79%
17.)TIME WARNER INCTWX3,553,889$128,438Cut -8.14%1.79%
18.)JOHNSON & JOHNSONJNJ1,944,242$127,504Cut -12.26%1.78%
19.)CONOCOPHILLIPSCOP1,729,910$126,059Cut -9.44%1.76%
20.)PNC FINANCIAL SERVICES GROUP (THE)PNC2,165,341$124,876Cut -11.33%1.74%

4. Top 20 (Value) Holdings BOUGHT NEW in This Quarter

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)GROUPON INCGRPN3,154,316$65,0740.91%
2.)AUTOLIV INC.ALV268,728$14,3750.20%
3.)EXPEDIA INCEXPE281,768$8,1770.11%
4.)TRIPADVISOR INCTRIP281,768$7,1040.10%
5.)AMERICAN EAGLE OUTFITTERS, INC.AEO223,000$3,4100.05%
6.)LYONDELLBASELL INDUSTRIES NV ORDINARY SHARES CLASS A (NETHERLANDS)LYB100,000$3,2490.05%
7.)E*TRADE FINANCIAL CORPORATIONETFC300,000$2,3880.03%
8.)JIVE SOFTWARE INC114,400$1,8310.03%
9.)CTRIP.COM INTERNATIONAL, LTD. - AMERICAN DEPOSITARY SHARESCTRP35,510$8310.01%
10.)CEDAR SHOPPING CENTERS INCCDR75,889$3280.00%
11.)CLOUD PEAK ENERGY INC COMMON STOCKCLD1,550$300.00%
12.)WABASH NATIONAL CORP.WNC3,430$270.00%
13.)GUESS ?, INC.GES573$180.00%
14.)MOODY CORP.MCO399$140.00%
15.)GAMESTOP CORPGME476$120.00%
16.)HELMERICH & PAYNE, INC.HP179$110.00%
17.)LEAR CORP.LEA234$100.00%
18.)TECO ENERGY INC.TE387$80.00%
19.)VERISIGN, INC.VRSN204$80.00%
20.)FRANKLIN RESOURCES, INC.BEN75$80.00%

5. Top 20 (Value) Holdings Totally SOLD OUT in This Quarter

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)FIRST SOLAR, INC.FSLR347,494$21,9650.29%
2.)MEDASSETS, INC.MDAS1,690,250$16,2440.22%
3.)EXPEDIA, INC.EXPE624,372$16,0780.22%
4.)CAREER EDUCATION CORPORATIONCECO1,220,200$15,9240.21%
5.)RADIAN GROUP, INC.RDN2,844,496$6,2300.08%
6.)GOODRICH CORP.GR8,000$9660.01%
7.)NOBLE CORP (SWITZERLAND)NE1,415$420.00%
8.)MATTEL, INC.MAT995$260.00%
9.)COACH, INC.COH498$260.00%
10.)FEDERATED INVESTORS INC (PA)FII1,191$210.00%
11.)EQUIFAX, INC.EFX636$200.00%
12.)ASIAINFO-LINKAGE, INC.ASIA2,401$180.00%
13.)SEALED AIR CORP.SEE1,064$180.00%
14.)SOUTHERN UNION CO.SUG307$130.00%
15.)HUDSON CITY BANCORP, INC.HCBK2,165$130.00%
16.)OSHKOSH CORPOSK661$110.00%
17.)NALCO HOLDING CONLC311$110.00%
18.)ARCH COAL, INC.ACI668$100.00%
19.)CAMPBELL SOUP CO.CPB272$90.00%
20.)MOTOROLA SOLUTIONS INC.MSI195$90.00%