WELLINGTON MANAGEMENT CO LLP
Email Notification.
Schedule 13D and 13G filings submitted since 09/30/2011
| Subject Company | Symbol | Date of Filing | Total Reported Shares Owned |
Shares Reported on 13F |
Change | |
|---|---|---|---|---|---|---|
| SC 13G/A | Sapient Corp. | SAPE | 10/11/2011 | 14,575,383 | 14,575,383 |
Decreased position by
0
|
| SC 13G | VANGUARD HEALTH SYSTEMS INC | VHS | 10/11/2011 | 9,156,008 | 9,156,008 |
Decreased position by
0
|
| SC 13G | Express Inc. | EXPR | 10/11/2011 | 8,952,898 | 8,952,898 |
Decreased position by
0
|
| SC 13G | Multiband Corporation | MBND | 10/11/2011 | 2,303,800 | 2,303,800 |
Decreased position by
0
|
| SC 13G/A | Glu Mobile, Inc. | GLUU | 10/11/2011 | 892,830 | 892,830 |
Decreased position by
0
|
| SC 13G/A | ANADYS PHARMACEUTICALS | ANDS | 10/11/2011 | 1,579,757 | 1,579,757 |
Decreased position by
0
|
| SC 13G | Gulfmark Offshore, Inc. | GLF | 10/11/2011 | 2,763,319 | 2,763,319 |
Decreased position by
0
|
| SC 13G/A | Health Net Inc. | HNT | 10/11/2011 | 8,937,430 | 8,937,430 |
Decreased position by
0
|
| SC 13G | IAC/InterActiveCorp. | IACI | 10/11/2011 | 8,233,540 | 8,233,540 |
Decreased position by
0
|
| SC 13G/A | Western Union Co. | WU | 10/11/2011 | 65,879,577 | 65,879,577 |
Decreased position by
0
|
| SC 13G/A | Vitran Corp Inc. | VTNC | 10/11/2011 | 1,338,634 | 1,338,634 |
Decreased position by
0
|
| SC 13G/A | AerCap Holdings N.V. | AER | 10/11/2011 | 15,250,039 | 15,250,039 |
Decreased position by
0
|
| SC 13G/A | Lumber Liquidators Holdings, Inc. | LL | 11/10/2011 | 2,022,787 | 3,790,923 |
Decreased position by
-1,768,136
|
| SC 13G/A | Rosetta Resources, Inc. | ROSE | 11/10/2011 | 5,308,852 | 4,891,541 |
Increased position by
417,311
|
| SC 13G/A | ADOLOR CORPORATION | ADLR | 11/10/2011 | 3,504,730 | 6,002,890 |
Decreased position by
-2,498,160
|
| SC 13G/A | Pentair, Inc. | PNR | 11/10/2011 | 5,446,232 | 6,999,200 |
Decreased position by
-1,552,968
|
| SC 13G/A | Forest City Enterprises Inc. | FCE-A | 11/10/2011 | 15,994,940 | 10,065,562 |
Increased position by
5,929,378
|
| SC 13G/A | SWIFT TRANSPORTATION COMPANY CLASS A COMMON STOCK | SWFT | 11/10/2011 | 10,229,275 | 6,723,709 |
Increased position by
3,505,566
|
| SC 13G | rue21, Inc. | RUE | 11/10/2011 | 2,739,394 | 2,370,264 |
Increased position by
369,130
|
| SC 13G/A | Beacon Roofing Supply Inc. | BECN | 11/10/2011 | 0 | 1,184,421 |
Decreased position by
-1,184,421
|
| SC 13G/A | ACADIA PHARMACEUTICALS INC. | ACAD | 11/10/2011 | 333,579 | 2,220,450 |
Decreased position by
-1,886,871
|
| SC 13G/A | S1 Corporation | SONE | 11/10/2011 | 0 | 5,309,190 |
Decreased position by
-5,309,190
|
| SC 13G | Whiting Petroleum Corp. | WLL | 11/10/2011 | 12,040,998 | 11,665,552 |
Increased position by
375,446
|
| SC 13G | Conmed Healthcare Management, Inc | CONM | 12/12/2011 | 1,586,800 | 377,863 |
Increased position by
1,208,937
|
| SC 13G/A | James River Coal Co. | JRCC | 12/12/2011 | 476,638 | 3,889,942 |
Decreased position by
-3,413,304
|
| SC 13G/A | Arena Pharmaceuticals, Inc. | ARNA | 12/12/2011 | 9,126,367 | 11,151,504 |
Decreased position by
-2,025,137
|
| SC 13G/A | MDC Holdings Inc. | MDC | 12/12/2011 | 0 | 4,331,145 |
Decreased position by
-4,331,145
|
| SC 13G/A | Ligand Pharmaceuticals Inc. | LGND | 12/12/2011 | 1,267,025 | 1,627,703 |
Decreased position by
-360,678
|
| SC 13G | Diamond Foods, Inc. | DMND | 12/12/2011 | 2,999,904 | 284,561 |
Increased position by
2,715,343
|
| SC 13G/A | SUNPOWER CORP CL B COM | SPWRB | 12/12/2011 | 0 | 2,145,184 |
Decreased position by
-2,145,184
|
| SC 13G | LINKEDIN CORP | LNKD | 12/12/2011 | 2,069,970 | 390,700 |
Increased position by
1,679,270
|
| SC 13G/A | Omniamerican Bancorp, Inc. | OABC | 12/12/2011 | 1,160,747 | 1,178,347 |
Decreased position by
-17,600
|
| SC 13G | SeraCare Life Sciences, Inc. | SRLS | 12/12/2011 | 2,294,358 | 1,917,458 |
Increased position by
376,900
|
| SC 13G/A | United Rentals, Inc. | URI | 12/12/2011 | 4,462,711 | 8,277,778 |
Decreased position by
-3,815,067
|
| SC 13G | Newfield Exploration Co. | NFX | 12/12/2011 | 13,607,469 | 5,311,958 |
Increased position by
8,295,511
|
| SC 13G/A | LINKEDIN CORP | LNKD | 01/10/2012 | 2,033,370 | 390,700 |
Increased position by
1,642,670
|
| SC 13G/A | JetBlue Airways Corporation | JBLU | 01/10/2012 | 31,761,896 | 557,200 |
Increased position by
31,204,696
|
| SC 13G | ARDEA BIOSCIENCES, INC. | RDEA | 01/10/2012 | 2,782,755 | 2,010,151 |
Increased position by
772,604
|
| SC 13G/A | SWIFT TRANSPORTATION COMPANY CLASS A COMMON STOCK | SWFT | 01/10/2012 | 3,958,495 | 6,723,709 |
Decreased position by
-2,765,214
|
| SC 13G | Shutterfly, Inc. | SFLY | 01/10/2012 | 4,851,343 | 2,645,453 |
Increased position by
2,205,890
|
| SC 13G/A | Targacept, Inc. | TRGT | 01/10/2012 | 1,004,343 | 2,731,177 |
Decreased position by
-1,726,834
|
| SC 13G/A | USA Technologies Inc. | USAT | 01/10/2012 | 831,800 | 903,200 |
Decreased position by
-71,400
|
| SC 13G/A | Deckers Outdoor Corp. | DECK | 02/10/2012 | 4,276,444 | 2,897,358 |
Increased position by
1,379,086
|
| SC 13G/A | CoreSite Realty Corporation | cor | 02/10/2012 | 2,087,069 | 1,314,131 |
Increased position by
772,938
|
| SC 13G/A | Trex Co. Inc. | TREX | 02/10/2012 | 1,624,718 | 1,483,079 |
Increased position by
141,639
|
| SC 13G/A | Destination Maternity Corporation | DEST | 02/10/2012 | 1,431,402 | 1,384,802 |
Increased position by
46,600
|
| SC 13G/A | Abiomed Inc. | ABMD | 02/10/2012 | 4,035,040 | 4,527,232 |
Decreased position by
-492,192
|
| SC 13G | Trius Therapeutics, Inc. | TSRX | 02/10/2012 | 4,477,216 | 872,510 |
Increased position by
3,604,706
|
| SC 13G/A | Ensco plc | ESV | 02/10/2012 | 23,771,702 | 19,779,391 |
Increased position by
3,992,311
|
