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Fund Holdings of YORK CAPITAL MANAGEMENT GLOBAL ADVISORS 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 |

1. Fund Information

Fund NameYORK CAPITAL MANAGEMENT GLOBAL ADVISORS LLC
Fund Manager
Address767 FIFTH AVENUE, 17TH FLOOR
NEW YORK, NY, 10153
::Google Map
Phone(212) 300-1300
13F Asset Last Qtr$3,476,431,000
13F Asset This Qtr$3,989,849,000
Asset Change14.77%

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.)DOLLAR THRIFTY AUTOMOTIVE GROUP, INC.DTG5,298,457$372,270Cut -1.65%9.33%
2.)GOODRICH CORP.GR2,394,041$296,143Added 5.11%7.42%
3.)WILLIAMS COS INC (THE)WMB7,253,399$239,507Added 82.94%6.00%
4.)CITIGROUP INC NEWCALLC8,711,000$229,186Added 93.58%5.74%
5.)EL PASO CORP.EP6,675,934$177,380Added 2,570.37%4.45%
6.)GENERAL MOTORS COMPANY COMMON STOCKCALLGM8,281,000$167,856Cut -3.45%4.21%
7.)HERTZ GLOBAL HOLDINGS INCHTZ12,156,216$142,471Added 0.39%3.57%
8.)IVANHOE MINES LTDIVN7,847,708$139,061Added 129.55%3.49%
9.)ISHARES TRUST RUSSELL 2000 INDEX FUNDPUTIWM1,635,000$120,581Added 133.57%3.02%
10.)CITIGROUP INC NEWC4,507,100$118,582Added 463.39%2.97%
11.)DOW CHEMICAL CO.DOW3,496,000$100,545New2.52%
12.)SARA LEE CORP.SLE5,283,271$99,959Added 0.61%2.51%
13.)TYCO INTERNATIONAL LTD. (SWITZERLAND)TYC2,108,356$98,481Added 46.42%2.47%
14.)MEDCO HEALTH SOLUTIONS, INC.MHS1,743,148$97,442New2.44%
15.)CIGNA CORP.CI2,223,971$93,407New2.34%
16.)UNITED STATES STEEL CORP.CALLX3,507,000$92,795New2.33%
17.)YAHOO! INC.YHOO5,658,752$91,276New2.29%
18.)WALTER ENERGY, INC.WLT1,473,826$89,255New2.24%
19.)PEPSICO INC.PEP1,339,380$88,868New2.23%
20.)RSC HOLDINGS INC. RSC HOLDINGS INC. COMMON STOCKRRR4,495,229$83,162Cut -6.35%2.08%

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

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)DOW CHEMICAL CO.DOW3,496,000$100,5452.52%
2.)MEDCO HEALTH SOLUTIONS, INC.MHS1,743,148$97,4422.44%
3.)CIGNA CORP.CI2,223,971$93,4072.34%
4.)UNITED STATES STEEL CORP.CALLX3,507,000$92,7952.33%
5.)YAHOO! INC.YHOO5,658,752$91,2762.29%
6.)WALTER ENERGY, INC.WLT1,473,826$89,2552.24%
7.)PEPSICO INC.PEP1,339,380$88,8682.23%
8.)ABERCROMBIE & FITCH CO.ANF1,531,090$74,7781.87%
9.)APPLE INC.AAPL180,906$73,2671.84%
10.)FORTUNE BRANDS HOME AND SECURITY INCFBHS3,271,629$55,7161.40%
11.)BEAM INCBEAM741,154$37,9690.95%
12.)POTASH CORP. OF SASKATCHEWAN INC.CALLPOT845,200$34,8900.87%
13.)BANK OF AMERICA CORP.BAC5,625,306$31,2770.78%
14.)SUCCESSFACTORS, INC.SFSF704,597$28,0920.70%
15.)DISH NETWORK CORPORATIONDISH978,866$27,8780.70%
16.)TRINA SOLAR LIMITED NOTE 4.000% 7/133,407,000$25,7230.64%
17.)PROSHARES ULTRASHORT BARCLAYS 20+ TRSYCALLTBT1,000,000$18,0700.45%
18.)TALISMAN ENERGY, INC.TLM1,215,617$15,4790.39%
19.)WILLIAMS COS INC (THE)CALLWMB525,500$14,1690.36%
20.)HARRY WINSTON DIAMOND CORPHWD1,250,000$13,3170.33%

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

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)SPDR GOLD TRUST GSPUTGLD2,210,000$349,31310.05%
2.)GOLDMAN SACHS GROUP, INC.CALLGS2,380,800$225,1056.48%
3.)SPDR RETAIL ETFCALLXRT4,717,900$218,0616.27%
4.)CENTERPOINT ENERGY, INCCNP6,257,000$122,7623.53%
5.)FORTUNE BRANDS INCFO2,115,623$114,4133.29%
6.)FREEPORT-MCMORAN COPPER & GOLD INC.CALLFCX3,040,000$92,5682.66%
7.)AMERICAN TOWER CORP.AMT1,273,400$68,5091.97%
8.)PETSMART, INCPETM1,168,435$49,8341.43%
9.)VULCAN MATERIALS CO (HOLDING COMPANY)CALLVMC1,685,500$46,4521.34%
10.)CUMMINS, INC.CALLCMI456,000$37,2371.07%
11.)INTERDIGITAL, INC.IDCC741,483$34,5380.99%
12.)AIR PRODUCTS & CHEMICALS, INC.CALLAPD390,000$29,7840.86%
13.)HERTZ GLOBAL HOLDINGS INCCALLHTZ3,300,000$29,3700.85%
14.)WARNER CHILCOTT PLCWCRX1,692,293$24,2000.70%
15.)SPDR S&P 500 ETFPUTSPY200,000$22,6300.65%
16.)CUMMINS, INC.CMI193,434$15,7960.45%
17.)DISCOVER FINANCIAL SERVICES COMMON STOCK WHEN ISSUED DFS500,000$11,4700.33%
18.)LYONDELLBASELL INDUSTRIES NV ORDINARY SHARES CLASS A (NETHERLANDS)LYB390,781$9,5470.28%
19.)CROWN CASTLE INTERNATIONAL CORPCALLCCI225,000$9,1510.26%
20.)MOTOROLA SOLUTIONS INC.CALLMSI200,000$8,3800.24%