$129 Million is the total value of TRAXIS PARTNERS LP's 61 reported holdings in Q2 2013. The portfolio turnover from Q1 2013 to Q2 2013 was - .
Value | Shares | ↓ Weighting | ||||||
---|---|---|---|---|---|---|---|---|
HMA | New | HEALTH MGMT ASSOCIATES INC-Acash securities | $4,873,000 | – | 310,000 | +100.0% | 3.77% | – |
STJ | New | ST JUDE MEDICAL INCcash securities | $3,422,000 | – | 75,000 | +100.0% | 2.65% | – |
MOH | New | MOLINA HEALTHCARE INCcash securities | $3,346,000 | – | 90,000 | +100.0% | 2.59% | – |
ICLR | New | ICON PLCcash securities | $3,189,000 | – | 90,000 | +100.0% | 2.47% | – |
AET | New | AETNA INCcash securities | $3,177,000 | – | 50,000 | +100.0% | 2.46% | – |
CNC | New | CENTENE CORPcash securities | $3,148,000 | – | 60,000 | +100.0% | 2.44% | – |
BMY | New | BRISTOL-MYERS SQUIBB COcash securities | $3,128,000 | – | 70,000 | +100.0% | 2.42% | – |
CYH | New | COMMUNITY HEALTH SYSTEMS INCcash securities | $3,047,000 | – | 65,000 | +100.0% | 2.36% | – |
BIIB | New | BIOGEN IDEC INCcash securities | $3,013,000 | – | 14,000 | +100.0% | 2.33% | – |
TMO | New | THERMO FISHER SCIENTIFIC INCcash securities | $2,962,000 | – | 35,000 | +100.0% | 2.29% | – |
MDVN | New | MEDIVATION INCcash securities | $2,952,000 | – | 60,000 | +100.0% | 2.28% | – |
LPNT | New | LIFEPOINT HOSPITALS INCcash securities | $2,930,000 | – | 60,000 | +100.0% | 2.27% | – |
CELG | New | CELGENE CORPcash securities | $2,906,000 | – | 24,840 | +100.0% | 2.25% | – |
CAH | New | CARDINAL HEALTH INCcash securities | $2,832,000 | – | 60,000 | +100.0% | 2.19% | – |
MDT | New | MEDTRONIC INCcash securities | $2,831,000 | – | 55,000 | +100.0% | 2.19% | – |
WCG | New | WELLCARE HEALTH PLANS INCcash securities | $2,778,000 | – | 50,000 | +100.0% | 2.15% | – |
BRKR | New | BRUKER CORPcash securities | $2,746,000 | – | 170,000 | +100.0% | 2.12% | – |
HCA | New | HCA HOLDINGS INCcash securities | $2,705,000 | – | 75,000 | +100.0% | 2.09% | – |
UNH | New | UNITEDHEALTH GROUP INCcash securities | $2,619,000 | – | 40,000 | +100.0% | 2.03% | – |
HNT | New | HEALTH NET INCcash securities | $2,546,000 | – | 80,000 | +100.0% | 1.97% | – |
HSP | New | HOSPIRA INCcash securities | $2,505,000 | – | 65,400 | +100.0% | 1.94% | – |
DGX | New | QUEST DIAGNOSTICS INCcash securities | $2,425,000 | – | 40,000 | +100.0% | 1.88% | – |
PODD | New | INSULET CORPcash securities | $2,356,000 | – | 75,000 | +100.0% | 1.82% | – |
GILD | New | GILEAD SCIENCES INCcash securities | $2,307,000 | – | 45,000 | +100.0% | 1.78% | – |
THC | New | TENET HEALTHCARE CORPcash securities | $2,305,000 | – | 50,000 | +100.0% | 1.78% | – |
CVS | New | CVS CAREMARK CORPcash securities | $2,287,000 | – | 40,000 | +100.0% | 1.77% | – |
ZBH | New | ZIMMER HOLDINGS INCcash securities | $2,248,000 | – | 30,000 | +100.0% | 1.74% | – |
UHS | New | UNIVERSAL HEALTH SERVICES-Bcash securities | $2,212,000 | – | 33,031 | +100.0% | 1.71% | – |
CI | New | CIGNA CORPcash securities | $2,175,000 | – | 30,000 | +100.0% | 1.68% | – |
MYGN | New | MYRIAD GENETICS INCcash securities | $2,150,000 | – | 80,000 | +100.0% | 1.66% | – |
ESRX | New | EXPRESS SCRIPTS HOLDING COcash securities | $2,143,000 | – | 34,716 | +100.0% | 1.66% | – |
AGN | New | ALLERGAN INCcash securities | $2,106,000 | – | 25,000 | +100.0% | 1.63% | – |
MRK | New | MERCK & CO. INC.cash securities | $2,090,000 | – | 45,000 | +100.0% | 1.62% | – |
BAX | New | BAXTER INTERNATIONAL INCcash securities | $2,065,000 | – | 29,813 | +100.0% | 1.60% | – |
OMI | New | OWENS & MINOR INCcash securities | $2,030,000 | – | 60,000 | +100.0% | 1.57% | – |
HRC | New | HILL-ROM HOLDINGS INCcash securities | $2,007,000 | – | 59,588 | +100.0% | 1.55% | – |
ACHC | New | ACADIA HEALTHCARE CO INCcash securities | $1,971,000 | – | 59,598 | +100.0% | 1.52% | – |
CFN | New | CAREFUSION CORPcash securities | $1,830,000 | – | 49,649 | +100.0% | 1.42% | – |
NVS | New | NOVARTIS AG-ADRcash securities | $1,768,000 | – | 25,000 | +100.0% | 1.37% | – |
CTRX | New | CATAMARAN CORPcash securities | $1,696,000 | – | 34,780 | +100.0% | 1.31% | – |
ABBV | New | ABBVIE INCcash securities | $1,654,000 | – | 40,000 | +100.0% | 1.28% | – |
SYK | New | STRYKER CORPcash securities | $1,617,000 | – | 25,000 | +100.0% | 1.25% | – |
VRTX | New | VERTEX PHARMACEUTICALS INCcash securities | $1,601,000 | – | 20,000 | +100.0% | 1.24% | – |
T107PS | New | WRIGHT MEDICAL GROUP INCcash securities | $1,573,000 | – | 60,000 | +100.0% | 1.22% | – |
HTWR | New | HEARTWARE INTERNATIONAL INCcash securities | $1,427,000 | – | 15,000 | +100.0% | 1.10% | – |
TRNX | New | TORNIER NVcash securities | $1,418,000 | – | 81,000 | +100.0% | 1.10% | – |
HUM | New | HUMANA INCcash securities | $1,350,000 | – | 16,000 | +100.0% | 1.04% | – |
IDXX | New | IDEXX LABORATORIES INCcash securities | $1,345,000 | – | 15,000 | +100.0% | 1.04% | – |
PLL | New | PALL CORPcash securities | $1,329,000 | – | 20,000 | +100.0% | 1.03% | – |
WOOF | New | VCA ANTECH INCcash securities | $1,305,000 | – | 50,000 | +100.0% | 1.01% | – |
A | New | AGILENT TECHNOLOGIES INCcash securities | $1,283,000 | – | 30,000 | +100.0% | 0.99% | – |
AMN | New | AMN HEALTHCARE SERVICES INCcash securities | $1,272,000 | – | 88,803 | +100.0% | 0.98% | – |
VVUS | New | VIVUS INCcash securities | $1,258,000 | – | 100,000 | +100.0% | 0.97% | – |
CPHD | New | CEPHEID INCcash securities | $1,205,000 | – | 35,000 | +100.0% | 0.93% | – |
HMSY | New | HMS HOLDINGS CORPcash securities | $1,165,000 | – | 50,000 | +100.0% | 0.90% | – |
MNTA | New | MOMENTA PHARMACEUTICALS INCcash securities | $1,079,000 | – | 71,628 | +100.0% | 0.84% | – |
CCRN | New | CROSS COUNTRY HEALTHCARE INCcash securities | $887,000 | – | 171,839 | +100.0% | 0.69% | – |
RAD | New | RITE AID CORPcash securities | $858,000 | – | 300,000 | +100.0% | 0.66% | – |
DNDNQ | New | DENDREON CORPcash securities | $824,000 | – | 200,000 | +100.0% | 0.64% | – |
KND | New | KINDRED HEALTHCARE INCcash securities | $657,000 | – | 50,000 | +100.0% | 0.51% | – |
LLY | New | ELI LILLY & COcash securities | $317,000 | – | 6,452 | +100.0% | 0.24% | – |
Original filings
The following EDGAR filing(s) were analyzed to create this report:
- View 13F-HR filed 2013-07-23
Top long-term holdings
Name | Quarters owned | Latest quarter owned | Max weighting |
---|---|---|---|
HEALTH MGMT ASSOCIATES INC-A | 1 | Q2 2013 | 3.8% |
ST JUDE MEDICAL INC | 1 | Q2 2013 | 2.6% |
MOLINA HEALTHCARE INC | 1 | Q2 2013 | 2.6% |
ICON PLC | 1 | Q2 2013 | 2.5% |
AETNA INC | 1 | Q2 2013 | 2.5% |
CENTENE CORP | 1 | Q2 2013 | 2.4% |
BRISTOL-MYERS SQUIBB CO | 1 | Q2 2013 | 2.4% |
COMMUNITY HEALTH SYSTEMS INC | 1 | Q2 2013 | 2.4% |
BIOGEN IDEC INC | 1 | Q2 2013 | 2.3% |
THERMO FISHER SCIENTIFIC INC | 1 | Q2 2013 | 2.3% |
View TRAXIS PARTNERS LP's complete holdings history.
Latest filings
Type | Filed |
---|---|
13F-HR | 2013-10-16 |
13F-HR | 2013-07-23 |
13F-HR | 2013-05-09 |
13F-HR | 2013-02-07 |
13F-HR | 2012-11-13 |
13F-HR | 2012-08-09 |
13F-HR | 2012-05-15 |
13F-HR | 2012-02-14 |
13F-HR | 2011-11-08 |
13F-HR | 2011-08-11 |
View TRAXIS PARTNERS LP's complete filings history.
All filings
- Holdings (13F-HR)
- Significant ownership (13-D/G)
- Insider transactions (4, 5, 6)
- Events (8-K)
- Shareholder votes (proxy)
View complete filings history.