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Fund Holdings of CADIAN 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 | 2010-05-17 | 2010-02-16 | 2009-11-16 | 2009-08-14 | 2009-05-15 | 2009-02-17 | 2008-11-14 | 2008-08-14 | 2008-05-15 |

1. Fund Information

Fund NameCADIAN CAPITAL MANAGEMENT LLC
Fund Manager
Address535 MADISON AVENUE, 36TH FLOOR,
NEW YORK, NY, 10022
::Google Map
Phone(212) 792-8800
13F Asset Last Qtr$2,231,494,000
13F Asset This Qtr$2,456,238,000
Asset Change10.07%

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.)ISHARES TRUST RUSSELL 2000 INDEX FUNDPUTIWM2,700,000$199,125Cut -3.57%8.11%
2.)EXPRESS SCRIPTS, INC.ESRX3,810,328$170,284Added 0.78%6.93%
3.)NCR CORP.NCR8,431,458$138,782Cut -15.15%5.65%
4.)ON SEMICONDUCTOR CORPORATIONONNN17,236,647$133,067Added 0.14%5.42%
5.)THORATEC CORPORATIONTHOR3,903,775$131,011Added 3.98%5.33%
6.)PMC - SIERRA, INC.PMCS22,882,283$126,081Added 52.08%5.13%
7.)NETAPP, INC.NTAP2,987,200$108,346Added 21.32%4.41%
8.)SOLUTIA, INC.SOA6,097,004$105,356Added 0.16%4.29%
9.)LIFE TECHNOLOGIES CORPORATIONLIFE2,481,534$96,556Added 32.00%3.93%
10.)NICE-SYSTEMS LIMITED - AMERICAN DEPOSITARY SHARESNICE2,448,127$84,338Added 3.50%3.43%
11.)GENERAL CABLE CORP. (DE)BGC3,226,455$80,694Added 11.37%3.29%
12.)NXP SEMICONDUCTORS N V5,136,786$78,952Cut -3.31%3.21%
13.)NETSCOUT SYSTEMS, INC.NTCT4,196,674$73,861Unchanged3.01%
14.)CAREFUSION CORPORATION COMMON STOCKCFN2,866,795$72,845Unchanged2.97%
15.)VERINT SYSTEMS INC.VRNT2,500,200$68,856Added 23.46%2.80%
16.)COMVERSE TECHNOLOGY INCCMVT9,432,994$64,710New2.63%
17.)ABERCROMBIE & FITCH CO.ANF1,160,000$56,654New2.31%
18.)AUTODESK, INC.ADSK1,804,340$54,726Added 24.74%2.23%
19.)ALTERA CORPORATIONALTR1,294,000$48,007New1.95%
20.)EQUINIX, INC.EQIX446,973$45,323Cut -18.25%1.85%

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

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)COMVERSE TECHNOLOGY INCCMVT9,432,994$64,7102.63%
2.)ABERCROMBIE & FITCH CO.ANF1,160,000$56,6542.31%
3.)ALTERA CORPORATIONALTR1,294,000$48,0071.95%
4.)EXPRESS SCRIPTS, INC.CALLESRX900,000$40,2211.64%
5.)VMWARE, INC. COMMON STOCK, CLASS AVMW200,000$16,6380.68%
6.)UNIVERSAL DISPLAY CORPORATIONPANL409,600$15,0280.61%
7.)ROCK-TENN CO.RKT200,000$11,5400.47%
8.)SHUTTERFLY, INC.SFLY493,100$11,2230.46%
9.)EMC CORP. (MA)EMC400,000$8,6160.35%
10.)EXPEDIA INCEXPE150,000$4,3530.18%
11.)FORTINET, INC.FTNT186,300$4,0630.17%
12.)VIRNETX HOLDING CORPORATIONPUTVHC100,000$2,4970.10%
13.)RPX CORPORATIONRPXC140,000$1,7710.07%

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

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)MF GLOBAL HOLDINGS LTD COMMON STOCKMF15,217,754$62,8492.82%
2.)QUALITY SYSTEMS, INC.PUTQSII840,000$40,7401.83%
3.)EXPEDIA, INC.EXPE1,102,556$28,3911.27%
4.)WEBMD HEALTH CORPWBMD425,000$12,8140.57%
5.)ANALOG DEVICES, INC.ADI335,000$10,4690.47%
6.)OPEN TEXT CO COM NPVPUTOTEX170,000$8,8600.40%
7.)INTERDIGITAL, INC.PUTIDCC100,000$4,6580.21%
8.)NET 1 UEPS TECHNOLOGIES, INC.CALLUEPS600,000$3,9000.18%
9.)AIXTRON AG ADR REG.-SHSPUTAIXG250,000$3,6300.16%
10.)TERADYNE, INC.TER50,000$5510.03%
11.)HOMEAWAY INCAWAY15,000$5040.02%