13F filing recap · Q2 2013
What did First Eagle Investment Management buy in Q2 2013?
Reported stock-position changes between this filing and the previous one. US-listed stocks across every First Eagle account, including accounts that belong to no fund below.
Stock value
$32.89B
Positions
351
Estimated turnover
19.9%
Turnover is a proxy: verified trade-origin share changes valued at period-end and divided by average reported stock value. SEC holdings reports do not disclose execution dates or prices. Corporate actions and unreconciled activity are excluded.
New positions
GMGeneral Motors Company$123.14Mreported value+3.70M sharesLBTYALiberty Global Ltd.MIXED CORP ACTION$112.48Mreported value+1.52M sharesDTVDirectv$103.66Mreported value+1.68M sharesDISHDish Network Corporation$74.18Mreported value+1.74M sharesNKENike, Inc.$53.25Mreported value+836.2K sharesDOWDow Inc.$46.29Mreported value+1.44M sharesPBIPitney Bowes Inc$34.64Mreported value+2.36M sharesLIFELife Technologies Corporation$33.73Mreported value+455.7K sharesLCCUS Airways Group Inc$33.57Mreported value+2.04M sharesMWVMeadwestvaco Corp$32.22Mreported value+944.6K sharesLYBLyondellbasell Industries N.v.$27.68Mreported value+417.7K sharesLDOSLeidos Holdings, Inc.$25.13Mreported value+1.80M sharesETExacttarget, Inc.$16.86Mreported value+500.0K sharesLPSLender Processing Services, Inc.$15.37Mreported value+475.0K sharesNVENV Energy, Inc.$14.08Mreported value+600.0K sharesBLCBelo Corp$13.95Mreported value+1.00M sharesFSCIFisher Communications Inc$13.53Mreported value+329.4K sharesCTBCooper Tire & Rubber Company$12.27Mreported value+370.0K sharesCEMPCempra Inc$10.25Mreported value+1.31M sharesDBCInvesco Db Commodity Index Tracking Fund$9.95Mreported value+396.0K sharesCHGCh Energy Group Inc$8.31Mreported value+127.9K sharesASCAAmeristar Casinos Inc$6.83Mreported value+260.0K sharesXLITechnology Select Sector SPDR Fund$6.77Mreported value+159.0K sharesGDPGoodrich Petroleum Corporation$5.12Mreported value+400.0K sharesBMCBmc Software Inc$5.08Mreported value+112.5K sharesLBTYKLiberty Global Ltd.$4.85Mreported value+71.4K sharesLUFKLufkin Industries, Inc.$4.36Mreported value+49.3K sharesLEDRMarket Leader, Inc.$4.28Mreported value+400.0K sharesAEPIAep Industries Inc.$3.72Mreported value+50.0K sharesVHSVanguard Health Systems, Inc.$3.63Mreported value+175.0K sharesSFDSmithfield Foods, Inc.$3.27Mreported value+100.0K sharesLMNRLimoneira Company$3.27Mreported value+157.6K sharesBWPBoardwalk Pipeline Partners, LP$3.02Mreported value+100.0K sharesMHGCMorgans Hotel Group Co.$2.42Mreported value+300.0K sharesLSECaplease, Inc.$2.05Mreported value+242.5K sharesHCBKHudson City Bancorp, Inc.$1.83Mreported value+200.0K sharesPBTHProlor Biotech, Inc.$1.51Mreported value+240.4K sharesIRMIron Mountain Inc$1.33Mreported value+50.0K sharesIDRAAceragen, Inc.$1.31Mreported value+2.00M sharesDELLDell Technologies Inc.$1.16Mreported value+87.1K sharesOIO-I Glass, Inc.$934.0Kreported value+33.6K sharesPNKPinnacle Entertainment, Inc.$511.0Kreported value+26.0K sharesKMPKinder Morgan Energy Partners, L.p.$390.0Kreported value+4.6K sharesPWERPower-One, Inc.$287.0Kreported value+45.4K sharesSLViShares Silver Trust$285.0Kreported value+15.0K sharesMPGMpg Office Trust Inc$285.0Kreported value+90.8K sharesSGFAberdeen Singapore Fund Inc$259.0Kreported value+20.0K sharesHMSYHms Holdings Corp$186.0Kreported value+8.0K sharesNGNovagold Resources Inc.$32.0Kreported value+15.0K shares