TRAXIS PARTNERS LP - Q2 2013 holdings

$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 NewHEALTH MGMT ASSOCIATES INC-Acash securities$4,873,000310,000
+100.0%
3.77%
STJ NewST JUDE MEDICAL INCcash securities$3,422,00075,000
+100.0%
2.65%
MOH NewMOLINA HEALTHCARE INCcash securities$3,346,00090,000
+100.0%
2.59%
ICLR NewICON PLCcash securities$3,189,00090,000
+100.0%
2.47%
AET NewAETNA INCcash securities$3,177,00050,000
+100.0%
2.46%
CNC NewCENTENE CORPcash securities$3,148,00060,000
+100.0%
2.44%
BMY NewBRISTOL-MYERS SQUIBB COcash securities$3,128,00070,000
+100.0%
2.42%
CYH NewCOMMUNITY HEALTH SYSTEMS INCcash securities$3,047,00065,000
+100.0%
2.36%
BIIB NewBIOGEN IDEC INCcash securities$3,013,00014,000
+100.0%
2.33%
TMO NewTHERMO FISHER SCIENTIFIC INCcash securities$2,962,00035,000
+100.0%
2.29%
MDVN NewMEDIVATION INCcash securities$2,952,00060,000
+100.0%
2.28%
LPNT NewLIFEPOINT HOSPITALS INCcash securities$2,930,00060,000
+100.0%
2.27%
CELG NewCELGENE CORPcash securities$2,906,00024,840
+100.0%
2.25%
CAH NewCARDINAL HEALTH INCcash securities$2,832,00060,000
+100.0%
2.19%
MDT NewMEDTRONIC INCcash securities$2,831,00055,000
+100.0%
2.19%
WCG NewWELLCARE HEALTH PLANS INCcash securities$2,778,00050,000
+100.0%
2.15%
BRKR NewBRUKER CORPcash securities$2,746,000170,000
+100.0%
2.12%
HCA NewHCA HOLDINGS INCcash securities$2,705,00075,000
+100.0%
2.09%
UNH NewUNITEDHEALTH GROUP INCcash securities$2,619,00040,000
+100.0%
2.03%
HNT NewHEALTH NET INCcash securities$2,546,00080,000
+100.0%
1.97%
HSP NewHOSPIRA INCcash securities$2,505,00065,400
+100.0%
1.94%
DGX NewQUEST DIAGNOSTICS INCcash securities$2,425,00040,000
+100.0%
1.88%
PODD NewINSULET CORPcash securities$2,356,00075,000
+100.0%
1.82%
GILD NewGILEAD SCIENCES INCcash securities$2,307,00045,000
+100.0%
1.78%
THC NewTENET HEALTHCARE CORPcash securities$2,305,00050,000
+100.0%
1.78%
CVS NewCVS CAREMARK CORPcash securities$2,287,00040,000
+100.0%
1.77%
ZBH NewZIMMER HOLDINGS INCcash securities$2,248,00030,000
+100.0%
1.74%
UHS NewUNIVERSAL HEALTH SERVICES-Bcash securities$2,212,00033,031
+100.0%
1.71%
CI NewCIGNA CORPcash securities$2,175,00030,000
+100.0%
1.68%
MYGN NewMYRIAD GENETICS INCcash securities$2,150,00080,000
+100.0%
1.66%
ESRX NewEXPRESS SCRIPTS HOLDING COcash securities$2,143,00034,716
+100.0%
1.66%
AGN NewALLERGAN INCcash securities$2,106,00025,000
+100.0%
1.63%
MRK NewMERCK & CO. INC.cash securities$2,090,00045,000
+100.0%
1.62%
BAX NewBAXTER INTERNATIONAL INCcash securities$2,065,00029,813
+100.0%
1.60%
OMI NewOWENS & MINOR INCcash securities$2,030,00060,000
+100.0%
1.57%
HRC NewHILL-ROM HOLDINGS INCcash securities$2,007,00059,588
+100.0%
1.55%
ACHC NewACADIA HEALTHCARE CO INCcash securities$1,971,00059,598
+100.0%
1.52%
CFN NewCAREFUSION CORPcash securities$1,830,00049,649
+100.0%
1.42%
NVS NewNOVARTIS AG-ADRcash securities$1,768,00025,000
+100.0%
1.37%
CTRX NewCATAMARAN CORPcash securities$1,696,00034,780
+100.0%
1.31%
ABBV NewABBVIE INCcash securities$1,654,00040,000
+100.0%
1.28%
SYK NewSTRYKER CORPcash securities$1,617,00025,000
+100.0%
1.25%
VRTX NewVERTEX PHARMACEUTICALS INCcash securities$1,601,00020,000
+100.0%
1.24%
T107PS NewWRIGHT MEDICAL GROUP INCcash securities$1,573,00060,000
+100.0%
1.22%
HTWR NewHEARTWARE INTERNATIONAL INCcash securities$1,427,00015,000
+100.0%
1.10%
TRNX NewTORNIER NVcash securities$1,418,00081,000
+100.0%
1.10%
HUM NewHUMANA INCcash securities$1,350,00016,000
+100.0%
1.04%
IDXX NewIDEXX LABORATORIES INCcash securities$1,345,00015,000
+100.0%
1.04%
PLL NewPALL CORPcash securities$1,329,00020,000
+100.0%
1.03%
WOOF NewVCA ANTECH INCcash securities$1,305,00050,000
+100.0%
1.01%
A NewAGILENT TECHNOLOGIES INCcash securities$1,283,00030,000
+100.0%
0.99%
AMN NewAMN HEALTHCARE SERVICES INCcash securities$1,272,00088,803
+100.0%
0.98%
VVUS NewVIVUS INCcash securities$1,258,000100,000
+100.0%
0.97%
CPHD NewCEPHEID INCcash securities$1,205,00035,000
+100.0%
0.93%
HMSY NewHMS HOLDINGS CORPcash securities$1,165,00050,000
+100.0%
0.90%
MNTA NewMOMENTA PHARMACEUTICALS INCcash securities$1,079,00071,628
+100.0%
0.84%
CCRN NewCROSS COUNTRY HEALTHCARE INCcash securities$887,000171,839
+100.0%
0.69%
RAD NewRITE AID CORPcash securities$858,000300,000
+100.0%
0.66%
DNDNQ NewDENDREON CORPcash securities$824,000200,000
+100.0%
0.64%
KND NewKINDRED HEALTHCARE INCcash securities$657,00050,000
+100.0%
0.51%
LLY NewELI LILLY & COcash securities$317,0006,452
+100.0%
0.24%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2013-07-23
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
HEALTH MGMT ASSOCIATES INC-A1Q2 20133.8%
ST JUDE MEDICAL INC1Q2 20132.6%
MOLINA HEALTHCARE INC1Q2 20132.6%
ICON PLC1Q2 20132.5%
AETNA INC1Q2 20132.5%
CENTENE CORP1Q2 20132.4%
BRISTOL-MYERS SQUIBB CO1Q2 20132.4%
COMMUNITY HEALTH SYSTEMS INC1Q2 20132.4%
BIOGEN IDEC INC1Q2 20132.3%
THERMO FISHER SCIENTIFIC INC1Q2 20132.3%

View TRAXIS PARTNERS LP's complete holdings history.

Latest filings
TypeFiled
13F-HR2013-10-16
13F-HR2013-07-23
13F-HR2013-05-09
13F-HR2013-02-07
13F-HR2012-11-13
13F-HR2012-08-09
13F-HR2012-05-15
13F-HR2012-02-14
13F-HR2011-11-08
13F-HR2011-08-11

View TRAXIS PARTNERS LP's complete filings history.

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