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Fund Holdings of CAMBER CAPITAL MANAGEMENT LLC Filed on 2012-02-14

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

1. Fund Information

Fund NameCAMBER CAPITAL MANAGEMENT LLC
Fund Manager
Address101 HUNTINGTON AVENUE, SUITE 2550
BOSTON, MA, 02199
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Phone(617) 717-6600
13F Asset Last Qtr$661,493,000
13F Asset This Qtr$737,962,000
Asset Change11.56%

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.)TEVA PHARMACEUTICAL INDUSTRIES LIMITED - AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONETEVA1,100,000$44,396Cut -12.00%6.02%
2.)LILLY (ELI) & CO.CALLLLY1,000,000$41,560New5.63%
3.)TENET HEALTHCARE CORP.THC7,100,000$36,423Cut -5.33%4.94%
4.)HCA HLDGS INC COMHCA1,500,000$33,045Cut -18.92%4.48%
5.)BOSTON SCIENTIFIC CORP.BSX6,000,000$32,040Added 71.43%4.34%
6.)SONOSITE, INC.SONO587,603$31,648Unchanged4.29%
7.)LIFE TECHNOLOGIES CORPORATIONLIFE800,000$31,128New4.22%
8.)ACORDA THERAPEUTICS, INC.ACOR1,200,000$28,608Unchanged3.88%
9.)VANGUARD HEALTH SYSTEMS INCVHS2,689,400$27,486Added 36.21%3.72%
10.)SANOFI-AVENTIS SASNY750,000$27,405Cut -44.44%3.71%
11.)CONCEPTUS, INC.CPTS2,035,862$25,733Added 3.27%3.49%
12.)WALGREEN CO.WAG750,000$24,795New3.36%
13.)WRIGHT MEDICAL GROUP, INC.WMGI1,461,253$24,111Added 22.31%3.27%
14.)HEARTWARE INTERNATIONAL, INC.HTWR337,497$23,287Added 36.91%3.16%
15.)AUXILIUM PHARMACEUTICALS, INC.AUXL1,164,500$23,208Added 8.98%3.14%
16.)LIFEPOINT HOSPITALS, INC.LPNT600,000$22,290Cut -14.29%3.02%
17.)MYLAN INC.MYL1,000,000$21,460New2.91%
18.)TEVA PHARMACEUTICAL INDUSTRIES LIMITED - AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONECALLTEVA500,000$20,180Cut -50.00%2.73%
19.)NATUS MEDICAL INCORPORATEDBABY2,062,788$19,452New2.64%
20.)CAREFUSION CORPORATION COMMON STOCKCFN750,000$19,057Unchanged2.58%

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

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)LILLY (ELI) & CO.CALLLLY1,000,000$41,5605.63%
2.)LIFE TECHNOLOGIES CORPORATIONLIFE800,000$31,1284.22%
3.)WALGREEN CO.WAG750,000$24,7953.36%
4.)MYLAN INC.MYL1,000,000$21,4602.91%
5.)NATUS MEDICAL INCORPORATEDBABY2,062,788$19,4522.64%
6.)MASIMO CORPORATIONMASI1,000,000$18,6852.53%
7.)ABBOTT LABORATORIESCALLABT250,000$14,0581.90%
8.)STRYKER CORP.CALLSYK250,000$12,4281.68%
9.)WARNER CHILCOTT PLCWCRX364,272$5,5110.75%
10.)DYNAVAX TECHNOLOGIES CORPORATIONDVAX1,250,000$4,1500.56%
11.)SEQUENOM, INC.SQNM250,000$1,1120.15%

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

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)EXPRESS SCRIPTS, INC.ESRX700,000$25,9493.92%
2.)MEDTRONIC, INC.MDT750,000$24,9303.77%
3.)DENDREON CORPORATIONDNDN2,000,000$18,0002.72%
4.)HEALTH MANAGEMENT ASSOCIATES, INC.HMA2,000,000$13,8402.09%
5.)UNITED THERAPEUTICS CORPORATIONUTHR300,000$11,2471.70%
6.)ALERE INC.ALR500,000$9,8251.49%
7.)SAVIENT PHARMACEUTICALS INCSVNT2,000,000$8,2001.24%
8.)EXPRESS SCRIPTS, INC.CALLESRX200,000$7,4141.12%
9.)POZEN, INC.POZN457,550$1,1030.17%
10.)GENTIVA HEALTH SERVICES, INC.GTIV97,000$5350.08%
11.)WORLD HEART CORPORATIONCALLWHRT1,639,345$420.01%