UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

                              FORM 13F Cover Page



          Report for the Calendar Year or Quarter Ended March 31, 2013

Check here if Amendment:           |_|; Amendment Number: ____

This Amendment (Check only one):   |_| is a restatement
                                   |_| adds new holding entries.

Institutional Manager Filing this Report:

Name:      Samlyn Capital, LLC

Address:   500 Park Avenue, 2nd Floor
           New York, NY 10022

13F File Number: 028-12823

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:   Robert Pohly
Title:  Managing Member
Phone:  (212) 848-0519


Signature, Place and Date of Signing:

/s/ Robert Pohly                New York, New York             May 15, 2013
-----------------------     --------------------------    ----------------------
     [Signature]                   [City, State]                   [Date]





Report Type: (Check only one):

[X]      13F HOLDINGS REPORT.  (Check here if all holdings of this reporting
         manager are reported in this report).

[ ]      13F NOTICE.  (Check here if no holdings reported are in this report,
         and all holdings are reported by other reporting managers(s).)

[ ]      13F COMBINATION REPORT.  (Check here if a portion of the holdings for
         this reporting manager are reported in this report and a portion are
         reported by other reporting manager(s).)


List of Other Managers Reporting for this Manager: NONE



Form 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:       3

Form 13F Information Table Entry Total:   168

Form 13F Information Table Value Total:  $3,251,806
                                         (thousands)


List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

No.  Form 13F File Number     Name

1.   028-12828                Samlyn Onshore Fund, LP
2.   028-13310                Samlyn Offshore Master Fund, Ltd.
3    028-13210                Samlyn Partners, LLC








                                           FORM 13F INFORMATION TABLE
                                               SAMLYN CAPITAL, LLC
                                                 March 31, 2013



COL 1                         COL 2           COL 3      COL 4            COL 5          COL 6           COL 7        COL 8

                              TITLE                      VALUE     SHARES/    SH/  PUT/  INVESTMENT      OTHER     VOTING AUTHORITY
NAME OF ISSUER                OF CLASS        CUSIP      (x1000)   PRN AMT    PRN  CALL  DISCRETION      MGRS    SOLE    SHARED NONE
--------------                --------        -----      -------   -------    ---  ----  ----------      ----    ----    ------ ----
                                                                                                
ABBVIE INC                    COM             00287Y109  37,944      930,450  SH         SHARED-DEFINED  2         930,450
ABBVIE INC                    COM             00287Y109  23,952      587,350  SH         SHARED-DEFINED  1,3       587,350
AGILENT TECHNOLOGIES INC      COM             00846U101  30,543      727,730  SH         SHARED-DEFINED  2         727,730
AGILENT TECHNOLOGIES INC      COM             00846U101  19,271      459,170  SH         SHARED-DEFINED  1,3       459,170
ALLERGAN INC                  COM             018490102  47,553      425,990  SH         SHARED-DEFINED  2         425,990
ALLERGAN INC                  COM             018490102  30,012      268,856  SH         SHARED-DEFINED  1,3       268,856
ALLIANCE DATA SYSTEMS CORP    COM             018581108  18,867      116,541  SH         SHARED-DEFINED  2         116,541
ALLIANCE DATA SYSTEMS CORP    COM             018581108  11,886       73,422  SH         SHARED-DEFINED  1,3        73,422
ALTISOURCE PORTFOLIO SOLNS S  REG SHS         L0175J104   4,053       58,106  SH         SHARED-DEFINED  2          58,106
ALTISOURCE PORTFOLIO SOLNS S  REG SHS         L0175J104   2,551       36,580  SH         SHARED-DEFINED  1,3        36,580
AMAZON COM INC                COM             023135106  37,278      139,884  SH         SHARED-DEFINED  2         139,884
AMAZON COM INC                COM             023135106  23,488       88,138  SH         SHARED-DEFINED  1,3        88,138
AMERICAN EXPRESS CO           COM             025816109  90,389    1,339,892  SH         SHARED-DEFINED  2       1,339,892
AMERICAN EXPRESS CO           COM             025816109  57,066      845,930  SH         SHARED-DEFINED  1,3       845,930
AMERISOURCEBERGEN CORP        COM             03073E105  24,845      482,900  SH         SHARED-DEFINED  2         482,900
AMERISOURCEBERGEN CORP        COM             03073E105  15,692      305,000  SH         SHARED-DEFINED  1,3       305,000
ANADARKO PETE CORP            COM             032511107  42,081      481,201  SH         SHARED-DEFINED  2         481,201
ANADARKO PETE CORP            COM             032511107  26,571      303,842  SH         SHARED-DEFINED  1,3       303,842
ANHEUSER BUSCH INBEV SA/NV    SPONSORED ADR   03524A108  61,144      614,203  SH         SHARED-DEFINED  2         614,203
ANHEUSER BUSCH INBEV SA/NV    SPONSORED ADR   03524A108  38,622      387,965  SH         SHARED-DEFINED  1,3       387,965
ARENA PHARMACEUTICALS INC     COM             040047102   2,221      270,540  SH         SHARED-DEFINED  2         270,540
ARENA PHARMACEUTICALS INC     COM             040047102   2,248      273,800       PUT   SHARED-DEFINED  2         273,800
ARENA PHARMACEUTICALS INC     COM             040047102   1,401      170,660  SH         SHARED-DEFINED  1,3       170,660
ARENA PHARMACEUTICALS INC     COM             040047102   1,374      167,400       PUT   SHARED-DEFINED  1,3       167,400
AUXILIUM PHARMACEUTICALS INC  COM             05334D107   9,113      527,070  SH         SHARED-DEFINED  2         527,070
AUXILIUM PHARMACEUTICALS INC  COM             05334D107   5,756      332,930  SH         SHARED-DEFINED  1,3       332,930
B/E AEROSPACE INC             COM             073302101  14,390      238,720  SH         SHARED-DEFINED  2         238,720
B/E AEROSPACE INC             COM             073302101   9,089      150,780  SH         SHARED-DEFINED  1,3       150,780
BAXTER INTL INC               COM             071813109   4,932       67,900  SH         SHARED-DEFINED  2          67,900
BAXTER INTL INC               COM             071813109   3,109       42,800  SH         SHARED-DEFINED  1,3        42,800
BEAM INC                      COM             073730103  24,930      392,349  SH         SHARED-DEFINED  2         392,349
BEAM INC                      COM             073730103  15,748      247,840  SH         SHARED-DEFINED  1,3       247,840
BRUKER CORP                   COM             116794108  19,966    1,045,362  SH         SHARED-DEFINED  2       1,045,362
BRUKER CORP                   COM             116794108  12,604      659,887  SH         SHARED-DEFINED  1,3       659,887
CIGNA CORPORATION             COM             125509109  31,050      497,840  SH         SHARED-DEFINED  2         497,840
CIGNA CORPORATION             COM             125509109  19,604      314,310  SH         SHARED-DEFINED  1,3       314,310
CITIGROUP INC                 COM NEW         172967424  35,188      795,383  SH         SHARED-DEFINED  2         795,383
CITIGROUP INC                 COM NEW         172967424  22,213      502,098  SH         SHARED-DEFINED  1,3       502,098
CITY NATL CORP                COM             178566105  32,421      550,352  SH         SHARED-DEFINED  2         550,352
CITY NATL CORP                COM             178566105  20,473      347,532  SH         SHARED-DEFINED  1,3       347,532
COCA COLA ENTERPRISES INC NE  COM             19122T109  15,220      412,251  SH         SHARED-DEFINED  2         412,251
COCA COLA ENTERPRISES INC NE  COM             19122T109   9,613      260,370  SH         SHARED-DEFINED  1,3       260,370
COMPUTER SCIENCES CORP        COM             205363104   9,743      197,906  SH         SHARED-DEFINED  2         197,906
COMPUTER SCIENCES CORP        COM             205363104   6,147      124,870  SH         SHARED-DEFINED  1,3       124,870
DEVON ENERGY CORP NEW         COM             25179M103  17,439      309,100  SH         SHARED-DEFINED  2         309,100
DEVON ENERGY CORP NEW         COM             25179M103  11,008      195,100  SH         SHARED-DEFINED  1,3       195,100
DORAL FINL CORP               COM NEW         25811P886   2,797      932,228  SH         SHARED-DEFINED  2         932,228
DORAL FINL CORP               COM NEW         25811P886   3,083    1,027,781  SH         SHARED-DEFINED  1,3     1,027,781
EAGLE MATERIALS INC           COM             26969P108   3,125       46,900  SH         SHARED-DEFINED  2          46,900
EAGLE MATERIALS INC           COM             26969P108   1,972       29,600  SH         SHARED-DEFINED  1,3        29,600
EBAY INC                      COM             278642103  37,881      698,650  SH         SHARED-DEFINED  2         698,650
EBAY INC                      COM             278642103  23,907      440,920  SH         SHARED-DEFINED  1,3       440,920
EQUINIX INC                   COM NEW         29444U502   7,665       35,435  SH         SHARED-DEFINED  2          35,435
EQUINIX INC                   COM NEW         29444U502   4,801       22,195  SH         SHARED-DEFINED  1,3        22,195
EXPEDITORS INTL WASH INC      COM             302130109  20,973      586,993  SH         SHARED-DEFINED  2         586,993
EXPEDITORS INTL WASH INC      COM             302130109  13,238      370,500  SH         SHARED-DEFINED  1,3       370,500
FIFTH & PAC COS INC           COM             316645100  28,158    1,491,399  SH         SHARED-DEFINED  2       1,491,399
FIFTH & PAC COS INC           COM             316645100  17,774      941,420  SH         SHARED-DEFINED  1,3       941,420
FIRST AMERN FINL CORP         COM             31847R102  10,852      424,396  SH         SHARED-DEFINED  2         424,396
FIRST AMERN FINL CORP         COM             31847R102   6,852      267,953  SH         SHARED-DEFINED  1,3       267,953
GENERAL MTRS CO               COM             37045V100  11,968      430,200  SH         SHARED-DEFINED  2         430,200
GENERAL MTRS CO               COM             37045V100   7,556      271,600  SH         SHARED-DEFINED  1,3       271,600
GOLAR LNG LTD BERMUDA         SHS             G9456A100  12,871      347,969  SH         SHARED-DEFINED  2         347,969
GOLAR LNG LTD BERMUDA         SHS             G9456A100   8,116      219,400  SH         SHARED-DEFINED  1,3       219,400
GOODYEAR TIRE & RUBR CO       COM             382550101  25,553    2,027,232  SH         SHARED-DEFINED  2       2,027,232
GOODYEAR TIRE & RUBR CO       COM             382550101  16,136    1,280,093  SH         SHARED-DEFINED  1,3     1,280,093
GOOGLE INC                    CL A            38259P508  39,495       49,730  SH         SHARED-DEFINED  2          49,730
GOOGLE INC                    CL A            38259P508  24,934       31,396  SH         SHARED-DEFINED  1,3        31,396
GRAFTECH INTL LTD             COM             384313102  27,704    3,607,258  SH         SHARED-DEFINED  2       3,607,258
GRAFTECH INTL LTD             COM             384313102  17,490    2,277,340  SH         SHARED-DEFINED  1,3     2,277,340
HCA HOLDINGS INC              COM             40412C101  48,108    1,184,061  SH         SHARED-DEFINED  2       1,184,061
HCA HOLDINGS INC              COM             40412C101  30,367      747,410  SH         SHARED-DEFINED  1,3       747,410
HESS CORP                     COM             42809H107  16,506      230,500  SH         SHARED-DEFINED  2         230,500
HESS CORP                     COM             42809H107  10,419      145,500  SH         SHARED-DEFINED  1,3       145,500
HILLSHIRE BRANDS CO           COM             432589109  26,963      767,081  SH         SHARED-DEFINED  2         767,081
HILLSHIRE BRANDS CO           COM             432589109  17,020      484,219  SH         SHARED-DEFINED  1,3       484,219
HUMANA INC                    COM             444859102  29,897      432,600       CALL  SHARED-DEFINED  2         432,600
HUMANA INC                    COM             444859102  18,874      273,100       CALL  SHARED-DEFINED  1,3       273,100
IHS INC                       CL A            451734107  23,851      227,756  SH         SHARED-DEFINED  2         227,756
IHS INC                       CL A            451734107  15,069      143,900  SH         SHARED-DEFINED  1,3       143,900
LEAR CORP                     COM NEW         521865204  10,552      192,300  SH         SHARED-DEFINED  2         192,300
LEAR CORP                     COM NEW         521865204   6,661      121,400  SH         SHARED-DEFINED  1,3       121,400
LIBERTY GLOBAL INC            COM SER A       530555101  11,418      155,602  SH         SHARED-DEFINED  2         155,602
LIBERTY GLOBAL INC            COM SER A       530555101   7,206       98,198  SH         SHARED-DEFINED  1,3        98,198
LIBERTY GLOBAL INC            COM SER C       530555309  11,441      166,700  SH         SHARED-DEFINED  2         166,700
LIBERTY GLOBAL INC            COM SER C       530555309   7,227      105,300  SH         SHARED-DEFINED  1,3       105,300
LIBERTY INTERACTIVE CORP      LBT VENT COM A  53071M880  22,184      293,521  SH         SHARED-DEFINED  2         293,521
LIBERTY INTERACTIVE CORP      LBT VENT COM A  53071M880  14,018      185,470  SH         SHARED-DEFINED  1,3       185,470
LINKEDIN CORP                 COM CL A        53578A108  18,826      106,930  SH         SHARED-DEFINED  2         106,930
LINKEDIN CORP                 COM CL A        53578A108  11,848       67,295  SH         SHARED-DEFINED  1,3        67,295
LPL FINL HLDGS INC            COM             50212V100  11,047      342,656  SH         SHARED-DEFINED  2         342,656
LPL FINL HLDGS INC            COM             50212V100   6,978      216,435  SH         SHARED-DEFINED  1,3       216,435
LYONDELLBASELL INDUSTRIES N   SHS - A -       N53745100  22,208      350,900  SH         SHARED-DEFINED  2         350,900
LYONDELLBASELL INDUSTRIES N   SHS - A -       N53745100  14,025      221,600  SH         SHARED-DEFINED  1,3       221,600
M & T BK CORP                 COM             55261F104  36,735      356,101  SH         SHARED-DEFINED  2         356,101
M & T BK CORP                 COM             55261F104  23,211      225,000  SH         SHARED-DEFINED  1,3       225,000
MARATHON PETE CORP            COM             56585A102  18,664      208,300  SH         SHARED-DEFINED  2         208,300
MARATHON PETE CORP            COM             56585A102  11,782      131,500  SH         SHARED-DEFINED  1,3       131,500
METLIFE INC                   COM             59156R108  45,710    1,202,256  SH         SHARED-DEFINED  2       1,202,256
METLIFE INC                   COM             59156R108  28,854      758,919  SH         SHARED-DEFINED  1,3       758,919
MICHAEL KORS HLDGS LTD        SHS             G60754101  31,337      551,800  SH         SHARED-DEFINED  2         551,800
MICHAEL KORS HLDGS LTD        SHS             G60754101  19,769      348,100  SH         SHARED-DEFINED  1,3       348,100
MYLAN INC                     COM             628530107  19,718      680,980  SH         SHARED-DEFINED  2         680,980
MYLAN INC                     COM             628530107  12,451      430,012  SH         SHARED-DEFINED  1,3       430,012
NATIONSTAR MTG HLDGS INC      COM             63861C109  15,564      421,776  SH         SHARED-DEFINED  2         421,776
NATIONSTAR MTG HLDGS INC      COM             63861C109   9,825      266,270  SH         SHARED-DEFINED  1,3       266,270
NEWS CORP                     CL A            65248E104  24,503      803,120  SH         SHARED-DEFINED  2         803,120
NEWS CORP                     CL A            65248E104  15,471      507,096  SH         SHARED-DEFINED  1,3       507,096
OCWEN FINL CORP               COM NEW         675746309   4,108      108,326  SH         SHARED-DEFINED  2         108,326
OCWEN FINL CORP               COM NEW         675746309   2,594       68,400  SH         SHARED-DEFINED  1,3        68,400
OWENS CORNING NEW             COM             690742101  37,989      963,457  SH         SHARED-DEFINED  2         963,457
OWENS CORNING NEW             COM             690742101  23,983      608,243  SH         SHARED-DEFINED  1,3       608,243
PFIZER INC                    COM             717081103  34,825    1,206,680  SH         SHARED-DEFINED  2       1,206,680
PFIZER INC                    COM             717081103  21,986      761,824  SH         SHARED-DEFINED  1,3       761,824
RADIAN GROUP INC              COM             750236101   9,939      928,000  SH         SHARED-DEFINED  2         928,000
RADIAN GROUP INC              COM             750236101   6,274      585,800  SH         SHARED-DEFINED  1,3       585,800
REALOGY HLDGS CORP            COM             75605Y106  31,800      651,097  SH         SHARED-DEFINED  2         651,097
REALOGY HLDGS CORP            COM             75605Y106  20,076      411,052  SH         SHARED-DEFINED  1,3       411,052
SEALED AIR CORP NEW           COM             81211K100  12,508      518,794  SH         SHARED-DEFINED  2         518,794
SEALED AIR CORP NEW           COM             81211K100   7,896      327,500  SH         SHARED-DEFINED  1,3       327,500
SENSATA TECHNOLOGIES HLDG BV  SHS             N7902X106  23,045      701,106  SH         SHARED-DEFINED  2         701,106
SENSATA TECHNOLOGIES HLDG BV  SHS             N7902X106  14,549      442,622  SH         SHARED-DEFINED  1,3       442,622
STARBUCKS CORP                COM             855244109  31,083      545,790  SH         SHARED-DEFINED  2         545,790
STARBUCKS CORP                COM             855244109  19,623      344,569  SH         SHARED-DEFINED  1,3       344,569
STARWOOD PPTY TR INC          COM             85571B105  20,075      723,151  SH         SHARED-DEFINED  2         723,151
STARWOOD PPTY TR INC          COM             85571B105  12,670      456,400  SH         SHARED-DEFINED  1,3       456,400
STATE BK FINL CORP            COM             856190103   5,005      500,500  SH         SHARED-DEFINED  2         500,500
STATE BK FINL CORP            COM             856190103   5,995      599,500  SH         SHARED-DEFINED  1,3       599,500
SVB FINL GROUP                COM             78486Q101  26,834      378,269  SH         SHARED-DEFINED  2         378,269
SVB FINL GROUP                COM             78486Q101  16,928      238,631  SH         SHARED-DEFINED  1,3       238,631
TEAM HEALTH HOLDINGS INC      COM             87817A107  21,472      590,213  SH         SHARED-DEFINED  2         590,213
TEAM HEALTH HOLDINGS INC      COM             87817A107  13,557      372,656  SH         SHARED-DEFINED  1,3       372,656
TENET HEALTHCARE CORP         COM NEW         88033G407  53,454    1,123,461  SH         SHARED-DEFINED  2       1,123,461
TENET HEALTHCARE CORP         COM NEW         88033G407  33,746      709,250  SH         SHARED-DEFINED  1,3       709,250
TEREX CORP NEW                COM             880779103  16,423      477,124  SH         SHARED-DEFINED  2         477,124
TEREX CORP NEW                COM             880779103  10,367      301,200  SH         SHARED-DEFINED  1,3       301,200
TESORO CORP                   COM             881609101  33,347      569,552  SH         SHARED-DEFINED  2         569,552
TESORO CORP                   COM             881609101  21,043      359,398  SH         SHARED-DEFINED  1,3       359,398
THE ADT CORPORATION           COM             00101J106  31,085      635,164  SH         SHARED-DEFINED  2         635,164
THE ADT CORPORATION           COM             00101J106  19,633      401,173  SH         SHARED-DEFINED  1,3       401,173
THERMO FISHER SCIENTIFIC INC  COM             883556102  32,667      427,076  SH         SHARED-DEFINED  2         427,076
THERMO FISHER SCIENTIFIC INC  COM             883556102  20,624      269,632  SH         SHARED-DEFINED  1,3       269,632
ULTA SALON COSMETCS & FRAG I  COM             90384S303  50,863      625,700  SH         SHARED-DEFINED  2         625,700
ULTA SALON COSMETCS & FRAG I  COM             90384S303  32,093      394,800  SH         SHARED-DEFINED  1,3       394,800
VERISIGN INC                  COM             92343E102  46,596      985,751  SH         SHARED-DEFINED  2         985,751
VERISIGN INC                  COM             92343E102  29,417      622,325  SH         SHARED-DEFINED  1,3       622,325
VIVUS INC                     COM             928551100   1,618      147,120  SH         SHARED-DEFINED  2         147,120
VIVUS INC                     COM             928551100   1,022       92,880  SH         SHARED-DEFINED  1,3        92,880
WABCO HLDGS INC               COM             92927K102  15,910      225,390  SH         SHARED-DEFINED  2         225,390
WABCO HLDGS INC               COM             92927K102  10,042      142,260  SH         SHARED-DEFINED  1,3       142,260
WALTER INVT MGMT CORP         COM             93317W102   7,710      206,984  SH         SHARED-DEFINED  2         206,984
WALTER INVT MGMT CORP         COM             93317W102   4,871      130,772  SH         SHARED-DEFINED  1,3       130,772
WESCO INTL INC                COM             95082P105   1,079       14,864  SH         SHARED-DEFINED  2          14,864
WESCO INTL INC                COM             95082P105     690        9,500  SH         SHARED-DEFINED  1,3         9,500
WEX INC                       COM             96208T104  18,988      241,887  SH         SHARED-DEFINED  2         241,887
WEX INC                       COM             96208T104  11,995      152,800  SH         SHARED-DEFINED  1,3       152,800
WHIRLPOOL CORP                COM             963320106  49,242      415,681  SH         SHARED-DEFINED  2         415,681
WHIRLPOOL CORP                COM             963320106  31,092      262,471  SH         SHARED-DEFINED  1,3       262,471
WHOLE FOODS MKT INC           COM             966837106  41,017      472,816  SH         SHARED-DEFINED  2         472,816
WHOLE FOODS MKT INC           COM             966837106  25,880      298,329  SH         SHARED-DEFINED  1,3       298,329
WISDOMTREE INVTS INC          COM             97717P104   7,150      687,462  SH         SHARED-DEFINED  2         687,462
WISDOMTREE INVTS INC          COM             97717P104   4,516      434,220  SH         SHARED-DEFINED  1,3       434,220
WORLD FUEL SVCS CORP          COM             981475106   1,079       27,168  SH         SHARED-DEFINED  2          27,168
WORLD FUEL SVCS CORP          COM             981475106     683       17,199  SH         SHARED-DEFINED  1,3        17,199
XL GROUP PLC                  SHS             G98290102  21,949      724,396  SH         SHARED-DEFINED  2         724,396
XL GROUP PLC                  SHS             G98290102  13,859      457,404  SH         SHARED-DEFINED  1,3       457,404
YUM BRANDS INC                COM             988498101  14,237      197,900  SH         SHARED-DEFINED  2         197,900
YUM BRANDS INC                COM             988498101   8,989      124,956  SH         SHARED-DEFINED  1,3       124,956



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