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Fund Holdings of ALDEN GLOBAL CAPITAL LTD Filed on 2012-02-15

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

1. Fund Information

Fund NameALDEN GLOBAL CAPITAL LTD
Fund Manager
AddressFIRST FLOOR, LIBERATION STATION, ESPLANADE
ST. HELIER, Y9, JE2 3AS
::Google Map
Phone(212) 888-5500
13F Asset Last Qtr$248,938,000
13F Asset This Qtr$931,758,000
Asset Change274.29%

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.)YAHOO! INC.YHOO9,371,387$151,160New16.22%
2.)DELPHI AUTOMOTIVE PLC SHS6,428,474$138,469New14.86%
3.)GANNETT CO INCGCI9,475,613$126,689Added 2.16%13.60%
4.)BANK OF AMERICA CORP.BAC10,286,380$57,192Added 11,176.45%6.14%
5.)VISTEON CORP.VC1,098,860$54,877Added 341.78%5.89%
6.)CITIGROUP INC NEWC1,413,600$37,192New3.99%
7.)FORD MOTOR CO *W EXP 01/01/20114,590,300$35,017Unchanged3.76%
8.)WELLS FARGO & CO.WFC771,000$21,249Added 3,853.85%2.28%
9.)CLEARWIRE CORPORATIONCLWR10,905,000$21,156New2.27%
10.)PATRIOT COAL CORPORATION COMMON STOCKPCX2,314,300$19,602New2.10%
11.)JEFFERIES GROUP, INC.JEF1,228,100$16,886New1.81%
12.)EMMIS COMMUNICATIONS CORPORATION - 6.25% SERIES A CUMULATIVE CONVERTIBLE PREFERRED STOCKEMMSP1,035,925$16,160Unchanged1.73%
13.)FIRST SOLAR, INC.FSLR458,700$15,486New1.66%
14.)ISTAR FINANCIAL INCSFI2,912,400$15,407Added 32.38%1.65%
15.)SINCLAIR BROADCAST GROUP, INC.SBGI1,300,000$14,729Unchanged1.58%
16.)OVERSEAS SHIPHOLDING GROUP, INC.OSG1,040,000$11,367New1.22%
17.)POPULAR, INC.BPOP8,099,500$11,258New1.21%
18.)CABLEVISION SYSTEMS CORP.CVC763,600$10,858New1.17%
19.)SPRINT NEXTEL CORPS4,429,800$10,366New1.11%
20.)MONSTER WORLDWIDE INCMWW1,288,700$10,219New1.10%

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

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)YAHOO! INC.YHOO9,371,387$151,16016.22%
2.)DELPHI AUTOMOTIVE PLC SHS6,428,474$138,46914.86%
3.)CITIGROUP INC NEWC1,413,600$37,1923.99%
4.)CLEARWIRE CORPORATIONCLWR10,905,000$21,1562.27%
5.)PATRIOT COAL CORPORATION COMMON STOCKPCX2,314,300$19,6022.10%
6.)JEFFERIES GROUP, INC.JEF1,228,100$16,8861.81%
7.)FIRST SOLAR, INC.FSLR458,700$15,4861.66%
8.)OVERSEAS SHIPHOLDING GROUP, INC.OSG1,040,000$11,3671.22%
9.)POPULAR, INC.BPOP8,099,500$11,2581.21%
10.)CABLEVISION SYSTEMS CORP.CVC763,600$10,8581.17%
11.)SPRINT NEXTEL CORPS4,429,800$10,3661.11%
12.)MONSTER WORLDWIDE INCMWW1,288,700$10,2191.10%
13.)CASCADE BANCORPCACB2,287,500$10,0191.08%
14.)ALCOA, INC.AA1,116,300$9,6561.04%
15.)TRANSOCEAN LTD (SWITZERLAND) COMMON STOCKRIG413,216$9,6441.04%
16.)US AIRWAYS GROUP INCLCC1,889,100$9,5781.03%
17.)UNITED STATES STEEL CORP.X360,000$9,5261.02%
18.)MOLYCORP, INC COMMON STOCK $0.001 PAR VALUEMCP350,700$8,4100.90%
19.)FRONTLINE LTDFRO1,698,000$7,2840.78%
20.)AK STEEL HOLDING CORP.AKS578,400$4,7780.51%

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

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)CUMULUS MEDIA INC.CMLS1,336,794$3,7961.53%
2.)EXTERRAN HOLDINGS INCEXH362,600$3,5241.42%
3.)STILLWATER MINING CO.SWC410,000$3,4851.40%
4.)AMERICAN AXLE & MANUFACTURING HOLDINGS INCAXL451,400$3,4441.38%
5.)TRIQUINT SEMICONDUCTOR, INC.TQNT682,000$3,4241.38%
6.)NEW YORK TIMES CO.NYT584,100$3,3941.36%
7.)POWER-ONE, INC.PWER747,000$3,3621.35%
8.)VISHAY INTERTECHNOLOGY, INC.VSH398,000$3,3271.34%
9.)OFFICE DEPOT, INC.ODP1,600,000$3,2961.32%
10.)MANITOWOC CO., INC.MTW483,000$3,2411.30%
11.)DESTINATION MATERNITY CORPORATIONDEST79,600$1,0240.41%
12.)SYMS CORPSYMS100,493$8810.35%
13.)MORTON RESTAURANT GROUP INCMRT107,400$5130.21%