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 holdings entries.

Institutional Investment Manager Filing this Report:

   Name:         Magnetar Financial LLC
                 ------------------------------------
   Address:      1603 Orrington Avenue, 13th Floor
                 ------------------------------------
                 Evanston, IL  60201
                 ------------------------------------

Form 13F File Number: 28-11800
                         ---------------------

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:    Michael Turro
         -------------------------------
Title:   Chief Compliance Officer
         -------------------------------
Phone:   847-905-4690
         -------------------------------

Signature, Place, and Date of Signing:

         /s/Michael Turro               Evanston, IL       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 manager(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).)



                                    FORM 13F

                                  SUMMARY PAGE

Report Summary:

Number of Other Included Managers:      1
                                        --------------------

Form 13F Information Table Entry Total: 238
                                        --------------------

Form 13F Information Table Value Total: $ 3,099,886
                                        --------------------
                                            (thousands)

CONFIDENTIAL MATERIAL APPEARING IN THIS DOCUMENT HAS BEEN OMITTED AND FILED
SEPARATELY WITH THE SECURITIES AND EXCHANGE COMMISSION IN ACCORDANCE WITH THE
SECURITIES EXCHANGE ACT OF 1934, AS AMENDED, AND RULE 24B-2 PROMULGATED
THEREUNDER.

List of Other Included Managers:

    No.       Form 13F File Number         Name

    1         28-14458                     MTP Energy Management LLC
    ------       -----------------         ---------------------------------



                           FORM 13F INFORMATION TABLE



COLUMN 1                             COLUMN 2      COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7       COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                         TITLE OF                      VALUE     SHRS OR   SH/ PUT/ INVESTMENT OTHER    VOTING AUTHORITY
ISSUER                          CLASS             CUSIP       [x$1000]  PRN AMT   PRN CALL DISCRETION MANAGERS SOLE      SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
*  ALPS ETF TR                  ALERIAN MLP       00162Q866      1,520     85,800 SH  PUT  SOLE                   85,800
*  ADOBE SYS INC                COM               00724F101        884     20,312 SH       SOLE                   20,312
*  ALLIANT ENERGY CORP          COM               018802108        623     12,422 SH       SOLE                   12,422
*  AMEREN CORP                  COM               023608102        639     18,245 SH       SOLE                   18,245
*  AMERICAN CAPITAL AGENCY CORP COM               02503X105        855     26,093 SH       SOLE                   26,093
*  AMERICAN INTL GROUP INC      COM NEW           026874784        388     10,000 SH  PUT  SOLE                   10,000
AMTRUST FINANCIAL SERVICES I    NOTE 5.500%12/1   032359AC5      4,989  3,500,000 PRN                                           NONE
*  ANADARKO PETE CORP           COM               032511107      8,624     98,612 SH       SOLE                   98,612
*  ANADARKO PETE CORP           COM               032511107    140,760  1,609,600 SH  CALL SOLE                1,609,600
*  ANADARKO PETE CORP           COM               032511107      8,745    100,000 SH  PUT  SOLE                  100,000
*  APOLLO RESIDENTIAL MTG INC   COM               03763V102      8,916    400,000 SH       SOLE                  400,000
*  APPLE INC                    COM               037833100     11,066     25,000 SH  CALL SOLE                   25,000
*  ARES CAP CORP                COM               04010L103      1,210     66,836 SH       SOLE                   66,836
ARMOUR RESIDENTIAL REIT INC     *W EXP 11/07/201  042315119         63  2,358,651 SH       SOLE                2,358,651
*  ARRIS GROUP INC              COM               04269Q100     21,305  1,240,855 SH       SOLE                1,240,855
*  ASCENA RETAIL GROUP INC      COM               04351G101        678     36,545 SH       SOLE                   36,545
*  ASPEN TECHNOLOGY INC         COM               045327103        750     23,219 SH       SOLE                   23,219
*  AVON PRODS INC               COM               054303102      5,183    250,000 SH  CALL SOLE                  250,000
*  BANK OF AMERICA CORPORATION  COM               060505104     18,270  1,500,000 SH  CALL SOLE                1,500,000
*  BARD C R INC                 COM               067383109      1,115     11,066 SH       SOLE                   11,066
*  BEAM INC                     COM               073730103      1,170     18,420 SH       SOLE                   18,420
*  BERKSHIRE HATHAWAY INC DEL   CL B NEW          084670702        596      5,719 SH       SOLE                    5,719
*  BREITBURN ENERGY PARTNERS LP COM UT LTD PTN    106776107      8,716    434,948 SH       DEFINED         1     434,948
*  BRINKER INTL INC             COM               109641100        657     17,453 SH       SOLE                   17,453
*  BROOKDALE SR LIVING INC      COM               112463104      2,281     81,826 SH       SOLE                   81,826
*  BROWN & BROWN INC            COM               115236101        849     26,490 SH       SOLE                   26,490
*  CIGNA CORPORATION            COM               125509109        636     10,190 SH       SOLE                   10,190
*  CME GROUP INC                COM               12572Q105        744     12,110 SH       SOLE                   12,110
*  CA INC                       COM               12673P105        561     22,288 SH       SOLE                   22,288
*  CABOT OIL & GAS CORP         COM               127097103     30,972    458,103 SH       DEFINED         1     458,103
*  CABOT OIL & GAS CORP         COM               127097103      9,993    147,800 SH  PUT  SOLE                  147,800
CEMEX SAB DE CV                 NOTE 3.750% 3/1   151290BC6     16,246 12,000,000 PRN      SOLE                                 NONE
*  CHENIERE ENERGY INC          COM NEW           16411R208     95,879  3,424,262 SH       DEFINED         1   3,424,262
*  CHENIERE ENERGY INC          COM NEW           16411R208        840     30,000 SH  CALL SOLE                   30,000
*  CHESAPEAKE ENERGY CORP       COM               165167107      2,715    133,000 SH       DEFINED         1     133,000
*  CHICAGO BRIDGE & IRON CO N V N Y REGISTRY SH   167250109        838     13,500 SH  CALL SOLE                   13,500
*  CINEMARK HOLDINGS INC        COM               17243V102        631     21,419 SH       SOLE                   21,419
*  CITIZENS REPUBLIC BANCORP IN COM NEW           174420307      4,192    185,897 SH       SOLE                  185,897
*  COBALT INTL ENERGY INC       COM               19075F106     12,521    444,008 SH       SOLE                  444,008
*  COCA COLA ENTERPRISES INC NE COM               19122T109      1,162     31,484 SH       SOLE                   31,484
*  COGNIZANT TECHNOLOGY SOLUTIO CL A              192446102        829     10,824 SH       SOLE                   10,824





                                                                                               
*  COMPUTER SCIENCES CORP       COM               205363104        738     15,000 SH  CALL SOLE                   15,000
*  CONAGRA FOODS INC            COM               205887102        607     16,956 SH       SOLE                   16,956
*  CONCHO RES INC               COM               20605P101     58,659    602,060 SH       DEFINED         1     602,060
*  CONCHO RES INC               COM               20605P101        507      5,200 SH  PUT  SOLE                    5,200
*  CONSTELLATION BRANDS INC     CL A              21036P108     84,334  1,770,240 SH       SOLE                1,770,240
*  CONSTELLATION BRANDS INC     CL A              21036P108     48,593  1,020,000 SH  CALL SOLE                1,020,000
*  CONSTELLATION BRANDS INC     CL A              21036P108     64,314  1,350,000 SH  PUT  SOLE                1,350,000
*  CORRECTIONS CORP AMER NEW    COM NEW           22025Y407      1,160     29,697 SH       SOLE                   29,697
*  COVENTRY HEALTH CARE INC     COM               222862104     25,807    548,731 SH       SOLE                  548,731
*  CROSSTEX ENERGY L P          COM               22765U102     49,680  2,700,000 SH       DEFINED         1   2,700,000
*  CYRUSONE INC                 COM               23283R100      4,534    198,515 SH       SOLE                  198,515
*  DST SYS INC DEL              COM               233326107      1,234     17,321 SH       SOLE                   17,321
*  DAVITA HEALTHCARE PARTNERS I COM               23918K108        732      6,170 SH       SOLE                    6,170
*  DELEK US HLDGS INC           COM               246647101      1,973     50,000 SH       SOLE                   50,000
*  DOMTAR CORP                  COM NEW           257559203        724      9,330 SH       SOLE                    9,330
*  EOG RES INC                  COM               26875P101     58,459    456,463 SH       SOLE                  456,463
*  EOG RES INC                  COM               26875P101    122,486    956,400 SH  PUT  SOLE                  956,400
*  EQT CORP                     COM               26884L109        679     10,020 SH       SOLE                   10,020
*  EASTMAN CHEM CO              COM               277432100        650      9,302 SH       SOLE                    9,302
*  EBAY INC                     COM               278642103        595     10,981 SH       SOLE                   10,981
*  EMERITUS CORP                COM               291005106      4,863    175,000 SH       SOLE                  175,000
*  ENERGY TRANSFER EQUITY L P   COM UT LTD PTN    29273V100      5,411     92,521 SH       DEFINED         1      92,521
*  EQUINIX INC                  COM NEW           29444U502      1,623      7,504 SH       SOLE                    7,504
*  EQUITY LIFESTYLE PPTYS INC   COM               29472R108        866     11,276 SH       SOLE                   11,276
EXELIXIS INC                    NOTE 4.250% 8/1   30161QAC8      2,689  2,690,000 PRN                                           NONE
*  EXPRESS SCRIPTS HLDG CO      COM               30219G108     43,268    750,914 SH       SOLE                  750,914
*  EXPRESS SCRIPTS HLDG CO      COM               30219G108     11,524    200,000 SH  PUT  SOLE                  200,000
*  FIDELITY NATL INFORMATION SV COM               31620M106      1,283     32,374 SH       SOLE                   32,374
*  FIDELITY NATIONAL FINANCIAL  CL A              31620R105      1,253     49,667 SH       SOLE                   49,667
*  FOREST LABS INC              COM               345838106        744     19,555 SH       SOLE                   19,555
*  FRANCESCAS HLDGS CORP        COM               351793104      5,118    178,200 SH       SOLE                  178,200
*  FULLER H B CO                COM               359694106        574     14,691 SH       SOLE                   14,691
*  GEO GROUP INC                COM               36159R103      1,039     27,608 SH       SOLE                   27,608
*  GALLAGHER ARTHUR J & CO      COM               363576109        960     23,243 SH       SOLE                   23,243
*  GENERAL DYNAMICS CORP        COM               369550108        569      8,065 SH       SOLE                    8,065
GENERAL MTRS CO                 *W EXP 07/10/201  37045V126      1,179    100,000 SH       SOLE                  100,000
*  GLOBAL PMTS INC              COM               37940X102        714     14,379 SH       SOLE                   14,379
*  GOOGLE INC                   CL A              38259P508        788        992 SH       SOLE                      992
*  GROUPON INC                  COM CL A          399473107      1,530    250,000 SH       SOLE                  250,000
*  GULFPORT ENERGY CORP         COM NEW           402635304     11,971    261,210 SH       DEFINED         1     261,210
*  HAIN CELESTIAL GROUP INC     COM               405217100        942     15,424 SH       SOLE                   15,424
*  HALLIBURTON CO               COM               406216101      5,253    130,000 SH       SOLE                  130,000
*  HALLIBURTON CO               COM               406216101    134,016  3,316,400 SH  CALL SOLE                3,316,400
*  HANCOCK HLDG CO              COM               410120109        740     23,936 SH       SOLE                   23,936
*  HERCULES TECH GROWTH CAP INC COM               427096508      1,838    150,000 SH       SOLE                  150,000
*  HERSHEY CO                   COM               427866108        596      6,808 SH       SOLE                    6,808
*  HERTZ GLOBAL HOLDINGS INC    COM               42805T105     18,253    820,000 SH       SOLE                  820,000





                                                                                               
*  HESS CORP                    COM               42809H107     99,144  1,384,500 SH  CALL SOLE                1,384,500
*  HILLSHIRE BRANDS CO          COM               432589109      1,601     45,552 SH       SOLE                   45,552
*  HOLOGIC INC                  COM               436440101     15,318    677,800 SH       SOLE                  677,800
*  HOWARD HUGHES CORP           COM               44267D107        729      8,695 SH       SOLE                    8,695
*  HUBBELL INC                  CL B              443510201      1,291     13,290 SH       SOLE                   13,290
*  HUNTINGTON INGALLS INDS INC  COM               446413106      1,287     24,134 SH       SOLE                   24,134
*  INERGY MIDSTREAM LP          U LTD PARTNERS    45671U106     20,342    833,333 SH       DEFINED         1     833,333
*  INTERNATIONAL GAME TECHNOLOG COM               459902102        585     35,446 SH       SOLE                   35,446
*  IRON MTN INC                 COM               462846106        907     24,983 SH       SOLE                   24,983
*  ISHARES TR                   RUSSELL 2000      464287655    108,629  1,150,000 SH  PUT  SOLE                1,150,000
*  ISHARES TR                   HIGH YLD CORP     464288513     16,040    170,000 SH  PUT  SOLE                  170,000
*  JPMORGAN CHASE & CO          ALERIAN ML ETN    46625H365     20,292    446,668 SH       SOLE                  446,668
*  JPMORGAN CHASE & CO          COM               46625H100     33,991    716,200 SH  CALL SOLE                  716,200
*  JARDEN CORP                  COM               471109108      2,507     58,498 SH       SOLE                   58,498
KINDER MORGAN INC DEL           *W EXP 05/25/201  49456B119      1,112    216,267 SH       SOLE                  216,267
*  KRAFT FOODS GROUP INC        COM               50076Q106        860     16,698 SH       SOLE                   16,698
*  LAUDER ESTEE COS INC         CL A              518439104      1,053     16,447 SH       SOLE                   16,447
*  LEAP WIRELESS INTL INC       COM NEW           521863308      8,588  1,456,872 SH       SOLE                1,456,872
LEAP WIRELESS INTL INC          NOTE   4.500% 7/1 521863AL4      1,525  1,500,000 PRN                                           NONE
*  LEGACY RESERVES LP           UNIT LP INT       524707304     20,877    755,982 SH       DEFINED         1     755,982
*  LEGG MASON INC               COM               524901105        892     27,759 SH       SOLE                   27,759
*  LIBERTY GLOBAL INC           COM SER C         530555309      1,623     23,652 SH       SOLE                   23,652
LIBERTY INTERACTIVE CORP        LBT VENT COM A    53071M880      1,693     22,398 SH       SOLE                   22,398
*  LIFEPOINT HOSPITALS INC      COM               53219L109        951     19,624 SH       SOLE                   19,624
*  LINEAR TECHNOLOGY CORP       COM               535678106        802     20,901 SH       SOLE                   20,901
*  LORAL SPACE & COMMUNICATNS I COM               543881106        618      9,983 SH       SOLE                    9,983
*  LORAL SPACE & COMMUNICATNS I COM               543881106        309      5,000 SH  PUT  SOLE                    5,000
*  MFA FINANCIAL INC            COM               55272X102      1,113    119,373 SH       SOLE                  119,373
*  MADISON SQUARE GARDEN CO     CL A              55826P100        962     16,696 SH       SOLE                   16,696
*  MARATHON PETE CORP           COM               56585A102     91,213  1,018,000 SH  CALL SOLE                1,018,000
*  MARKET VECTORS ETF TR        OIL SVCS ETF      57060U191     42,928  1,000,000 SH  PUT  SOLE                1,000,000
*  MARKWEST ENERGY PARTNERS L P UNIT LTD PARTN    570759100     54,589    898,581 SH       DEFINED         1     898,581
*  MARTIN MARIETTA MATLS INC    COM               573284106        713      6,992 SH       SOLE                    6,992
*  MCGRAW HILL COS INC          COM               580645109     26,040    500,000 SH  CALL SOLE                  500,000
*  MCMORAN EXPLORATION CO       COM               582411104      8,175    500,000 SH  PUT  SOLE                  500,000
*  MEDIVATION INC               COM               58501N101        712     15,236 SH       SOLE                   15,236
*  MERRIMACK PHARMACEUTICALS IN COM               590328100      4,605    754,837 SH       SOLE                  754,837
*  METROPCS COMMUNICATIONS INC  COM               591708102     21,515  1,973,840 SH       SOLE                1,973,840
*  METROPCS COMMUNICATIONS INC  COM               591708102      5,450    500,000 SH  CALL SOLE                  500,000
*  MICROSOFT CORP               COM               594918104        584     20,422 SH       SOLE                   20,422
*  MICROCHIP TECHNOLOGY INC     COM               595017104        796     21,641 SH       SOLE                   21,641
MICROCHIP TECHNOLOGY INC        SDCV 2.125%12/1   595017AB0     25,630 18,000,000 PRN                                           NONE
*  MONDELEZ INTL INC            CL A              609207105      1,086     35,458 SH       SOLE                   35,458
*  MONSANTO CO NEW              COM               61166W101        770      7,287 SH       SOLE                    7,287
*  MOTOROLA SOLUTIONS INC       COM NEW           620076307      1,113     17,385 SH       SOLE                   17,385
*  NCR CORP NEW                 COM               62886E108      1,045     37,918 SH       SOLE                   37,918





                                                                                               
NVR INC                         COM               62944T105      1,333      1,234 SH       SOLE                    1,234
*  NATIONAL FUEL GAS CO N J     COM               636180101        671     10,937 SH       SOLE                   10,937
*  NETAPP INC                   COM               64110D104        782     22,896 SH       SOLE                   22,896
NETAPP INC                      NOTE 1.750% 6/0   64110DAB0     20,932 19,191,000 PRN                                           NONE
*  NETSPEND HLDGS INC           COM               64118V106        701     44,090 SH       SOLE                   44,090
*  NEUSTAR INC                  CL A              64126X201        741     15,934 SH       SOLE                   15,934
*  NEWCASTLE INVT CORP          COM               65105M108        894     80,000 SH  CALL SOLE                   80,000
*  NEWELL RUBBERMAID INC        COM               651229106        904     34,629 SH       SOLE                   34,629
*  NEWMONT MINING CORP          COM               651639106      3,720     88,800 SH       SOLE                   88,800
*  NEWS CORP                    CL A              65248E104      1,812     59,381 SH       SOLE                   59,381
*  NOBLE ENERGY INC             COM               655044105     27,544    238,147 SH       SOLE                  238,147
*  NOBLE ENERGY INC             COM               655044105    196,622  1,700,000 SH  CALL SOLE                1,700,000
OFS CAP CORP                    COM               67103B100      3,250    232,154 SH       SOLE                  232,154
*  OCCIDENTAL PETE CORP DEL     COM               674599105        556      7,095 SH       SOLE                    7,095
*  ONEOK INC NEW                COM               682680103     13,586    285,000 SH       DEFINED         1     285,000
*  ORACLE CORP                  COM               68389X105        323     10,000 SH  CALL SOLE                   10,000
*  ORACLE CORP                  COM               68389X105        323     10,000 SH  PUT  SOLE                   10,000
*  PDC ENERGY INC               COM               69327R101     19,223    387,799 SH       SOLE                  387,799
*  PPL CORP                     COM               69351T106        665     21,248 SH       SOLE                   21,248
*  PVR PARTNERS L P             COM UNIT REPTG L  693665101     14,677    608,746 SH       DEFINED         1     608,746
*  PALOMAR MED TECHNOLOGIES INC COM NEW           697529303      5,973    442,760 SH       SOLE                  442,760
*  PANERA BREAD CO              CL A              69840W108        564      3,414 SH       SOLE                    3,414
*  PERKINELMER INC              COM               714046109        536     15,928 SH       SOLE                   15,928
*  PHILLIPS 66                  COM               718546104      3,792     54,200 SH  CALL SOLE                   54,200
*  PIONEER NAT RES CO           COM               723787107     98,961    796,466 SH       DEFINED         1     796,466
*  PIONEER NAT RES CO           COM               723787107     45,177    363,600 SH  PUT  SOLE                  363,600
*  PLAINS ALL AMERN PIPELINE L  UNIT LTD PARTN    726503105      1,694     30,000 SH  PUT  SOLE                   30,000
*  POOL CORPORATION             COM               73278L105        712     14,823 SH       SOLE                   14,823
*  PROASSURANCE CORP            COM               74267C106        594     12,554 SH       SOLE                   12,554
*  PROCTER & GAMBLE CO          COM               742718109        918     11,919 SH       SOLE                   11,919
*  PROSPECT CAPITAL CORPORATION COM               74348T102      1,217    111,549 SH       SOLE                  111,549
*  QUALCOMM INC                 COM               747525103        897     13,393 SH       SOLE                   13,393
RADIAN GROUP INC                NOTE 3.000%11/1   750236AK7      9,068  7,500,000 PRN      SOLE                                 NONE
*  RALPH LAUREN CORP            CL A              751212101      1,281      7,568 SH       SOLE                    7,568
*  RANGE RES CORP               COM               75281A109     27,261    336,384 SH       DEFINED         1     336,384
*  RANGE RES CORP               COM               75281A109     18,412    227,200 SH  PUT  SOLE                  227,200
*  REALOGY HLDGS CORP           COM               75605Y106        996     20,386 SH       SOLE                   20,386
*  REGENCY CTRS CORP            COM               758849103        739     13,962 SH       SOLE                   13,962
*  REGENCY ENERGY PARTNERS L P  COM UNITS L P     75885Y107     35,976  1,256,831 SH       DEFINED         1   1,256,831
*  RENT A CTR INC NEW           COM               76009N100      1,191     32,237 SH       SOLE                   32,237
*  ROCKWELL COLLINS INC         COM               774341101      1,056     16,734 SH       SOLE                   16,734
*  ROYAL DUTCH SHELL PLC        SPON ADR B        780259107     55,255    826,928 SH       DEFINED         1     826,928
*  ROYAL GOLD INC               COM               780287108      2,259     31,800 SH                              31,800
RYLAND GROUP INC                NOTE 1.625% 5/1   783764AQ6     25,165 17,000,000 PRN      SOLE                                 NONE
*  SAIC INC                     COM               78390X101        766     56,564 SH       SOLE                   56,564
*  SPDR S&P 500 ETF TR          TR UNIT           78462F103     32,916    210,000 SH  PUT  SOLE                  210,000
*  SPDR GOLD TRUST              GOLD SHS          78463V107      7,723     50,000 SH  CALL SOLE                   50,000





                                                                                               
*  SPDR SERIES TRUST            BRC HGH YLD BD    78464A417      5,139    125,000 SH  PUT  SOLE                  125,000
*  SS&C TECHNOLOGIES HLDGS INC  COM               78467J100        426     14,222 SH       SOLE                   14,222
*  SALIX PHARMACEUTICALS INC    COM               795435106        997     19,484 SH       SOLE                   19,484
*  SALLY BEAUTY HLDGS INC       COM               79546E104        921     31,338 SH       SOLE                   31,338
*  SELECT SECTOR SPDR TR        SBI INT-FINL      81369Y605        910     50,000 SH  PUT  SOLE                   50,000
*  SELECT SECTOR SPDR TR        SBI INT-ENERGY    81369Y956     79,328  1,000,000 SH  PUT  SOLE                1,000,000
*  SILVER BAY RLTY TR CORP      COM               82735Q102        507     24,495 SH       SOLE                   24,495
*  SIRONA DENTAL SYSTEMS INC    COM               82966C103        703      9,531 SH       SOLE                    9,531
*  SOUTHWEST GAS CORP           COM               844895102      1,078     22,708 SH       SOLE                   22,708
*  SPECTRA ENERGY CORP          COM               847560109     51,557  1,676,660 SH       DEFINED         1   1,676,660
*  SPECTRUM BRANDS HLDGS INC    COM               84763R101        818     14,456 SH       SOLE                   14,456
*  STARWOOD PPTY TR INC         COM               85571B105      1,252     45,087 SH       SOLE                   45,087
*  STILLWATER MNG CO            COM               86074Q102        259     20,000 SH  CALL SOLE                   20,000
*  SYNOPSYS INC                 COM               871607107        604     16,843 SH       SOLE                   16,843
*  TW TELECOM INC               COM               87311L104        936     37,139 SH       SOLE                   37,139
*  TECK RESOURCES LTD           CL B              878742204     19,523    693,300 SH       DEFINED         1     693,300
*  THORATEC CORP                COM NEW           885175307      1,228     32,752 SH       SOLE                   32,752
*  TIME WARNER INC              COM NEW           887317303        611     10,604 SH       SOLE                   10,604
*  TOTAL SYS SVCS INC           COM               891906109        700     28,262 SH       SOLE                   28,262
*  TRANSDIGM GROUP INC          COM               893641100        958      6,266 SH       SOLE                    6,266
*  TWO HBRS INVT CORP           COM               90187B101      8,827    700,000 SH       SOLE                  700,000
*  UNITED PARCEL SERVICE INC    CL B              911312106        754      8,781 SH       SOLE                    8,781
*  VERISIGN INC                 COM               92343E102        992     20,992 SH       SOLE                   20,992
VERISIGN INC                    SDCV 3.250% 8/1   92343EAD4     41,946 28,315,000 PRN                                           NONE
*  VISA INC                     COM CL A          92826C839        873      5,139 SH       SOLE                    5,139
WASHINGTON POST CO              CL B              939640108        647      1,447 SH       SOLE                    1,447
*  WENDYS CO                    COM               95058W100        703    123,856 SH       SOLE                  123,856
*  WEST COAST BANCORP ORE NEW   COM NEW           952145209     13,206    543,888 SH       SOLE                  543,888
*  WHITING PETE CORP NEW        COM               966387102     46,311    910,923 SH       DEFINED         1     910,923
*  WHITING PETE CORP NEW        COM               966387102     10,107    198,800 SH  PUT  SOLE                  198,800
*  WILLIAMS COS INC DEL         COM               969457100      1,059     28,282 SH       SOLE                   28,282
*  WPX ENERGY INC               COM               98212B103     12,218    762,677 SH       DEFINED         1     762,677
*  XILINX INC                   COM               983919101        628     16,454 SH       SOLE                   16,454
XOOM CORP                       COM               98419Q101      2,415    105,747 SH       SOLE                  105,747
*  YAHOO INC                    COM               984332106      1,070     45,491 SH       SOLE                   45,491
ZAIS FINL CORP                  COM               98886K108      3,204    155,310 SH       SOLE                  155,310
*  ZEBRA TECHNOLOGIES CORP      CL A              989207105        921     19,536 SH       SOLE                   19,536
ZIONS BANCORPORATION            *W EXP 11/14/201  989701131        918    333,909 SH       SOLE                  333,909
*  ALTERRA CAPITAL HOLDINGS LIM COM               G0229R108     23,138    734,784 SH       SOLE                  734,784
FLEETMATICS GROUP PLC           COM               G35569105      5,738    236,600 SH       SOLE                  236,600
*  KOSMOS ENERGY LTD            SHS               G5315B107     17,912  1,585,108 SH       SOLE                1,585,108
*  ROWAN COMPANIES PLC          SHS CL A          G7665A101      4,822    136,364 SH       SOLE                  136,364
*  ROWAN COMPANIES PLC          SHS CL A          G7665A101      8,858    250,500 SH  PUT  SOLE                  250,500
SHIP FINANCE INTERNATIONAL L    NOTE 3.250% 2/0   G81075AE6      5,156  5,000,000 PRN                                           NONE
*  TEXTAINER GROUP HOLDINGS LTD SHS               G8766E109        560     14,149 SH       SOLE                   14,149
*  VALIDUS HOLDINGS LTD         COM SHS           G9319H102        818     21,895 SH       SOLE                   21,895
*  WARNER CHILCOTT PLC IRELAND  SHS A             G94368100        271     20,000 SH  CALL SOLE                   20,000
*  GOLAR LNG LTD BERMUDA        SHS               G9456A100      1,803     48,741 SH       SOLE                   48,741





                                                                                               
*  ACE LTD                      SHS               H0023R105        650      7,303 SH       SOLE                    7,303
*  NOBLE CORPORATION BAAR       NAMEN -AKT        H5833N103     22,659    593,950 SH       DEFINED         1     593,950
*  NOBLE CORPORATION BAAR       NAMEN -AKT        H5833N103      7,630    200,000 SH  PUT  SOLE                  200,000
*  TRANSOCEAN LTD               REG SHS           H8817H100     20,061    386,080 SH       DEFINED         1     386,080
*  TYCO INTERNATIONAL LTD       SHS               H89128104      1,107     34,593 SH       SOLE                   34,593
*  PACIFIC DRILLING SA LUXEMBOU REG SHS           L7257P106      2,967    293,749 SH       SOLE                  293,749
*  NXP SEMICONDUCTORS N V       COM               N6596X109      7,436    245,500 SH       SOLE                  245,500
*  AVAGO TECHNOLOGIES LTD       SHS               Y0486S104      1,224     34,097 SH       SOLE                   34,097
*  TEEKAY CORPORATION           COM               Y8564W103     93,179  2,591,196 SH       DEFINED         1   2,591,196