VIA EDGAR

May 15, 2013

Securities and Exchange Commission
450 Fifth Street, N.W.
Washington, D.C. 20549

Re:   CR Intrinsic Investors, LLC

Ladies and Gentlemen:

On behalf of CR Intrinsic Investors, LLC, enclosed for filing with the
Securities and Exchange Commission pursuant to the requirements of
Section 13(f) of the Securities Exchange Act of 1934 and Rule 13f-1 thereunder,
please find the attached report on Form 13F for the reporting period ended
March 31, 2013.

These materials are being submitted electronically pursuant to Rule
101(a)(1)(iii) of Regulation S-T.

Should you have any questions regarding the enclosures, please contact the
undersigned at (203) 890-2094.

Very truly yours,

Peter Nussbaum

Enclosures



                                 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:         CR Intrinsic Investors, LLC
Address:      72 Cummings Point Road
              Stamford, Connecticut 06902

Form 13F File Number: 28-11740

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:         Peter Nussbaum
Title:        Authorized Person
Phone:        203-890-2094

Signature, Place, and Date of Signing:

     /s/ Peter Nussbaum      Stamford, Connecticut        May 15, 2013
   -----------------------  -----------------------  -----------------------
         [Signature]             [City, State]               [Date]

Report type (Check only one.):

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

[_] 13F NOTICE. (Check here if no holdings reported are in this report, and all
    holding 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:             329*
                                                   ----------

Form 13F Information Table Value Total:             $2,872,254
                                                   ----------
                                                   (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                  28-13297                  S.A.C. Capital Advisors, L.P.

* Positions that are exempt from reporting under Special Instruction 9 to the
  Form 13F are excluded. However, positions that would not be exempt when
  aggregated with positions of the same security held by (i) the Other Included
  Managers or (ii) certain affiliates of the Reporting Manager which include
  the Reporting Manager as an Other Included Manager on their own Forms 13F,
  are listed herein.





Column 1                            Column 2 Column 3  Column 4       Column 5          Column 6    Column 7      Column 8
--------                            -------- --------- -------- -------------------- -------------- -------- -------------------
                                    Title of            Value   SH or PRN SH / Put /   Investment    Other
Name of Issuer                       Class    CUSIP    (x$1000)  Amount   PRN  Call    Discretion   Manager   Voting Authority
--------------                      -------- --------- -------- --------- ---- ----- -------------- -------- -------------------
                                                                                                             Sole  Shared   None
                                                                                                             ---- --------- ----
                                                                                           

AMAG PHARMACEUTICALS INC            Common   00163U106    1,213    50,865 SH         Shared-Defined        1         50,865
ACCRETIVE HEALTH INC                Common   00438V103    4,064   400,000 SH         Shared-Defined        1        400,000
ADOBE SYS INC                       Common   00724F101    5,700   131,001 SH         Shared-Defined        1        131,001
ADVANCE AUTO PARTS INC              Common   00751Y106    5,389    65,200 SH         Shared-Defined        1         65,200
AETNA INC NEW                       Common   00817Y108   12,780   250,000 SH         Shared-Defined        1        250,000
AKAMAI TECHNOLOGIES INC             Common   00971T101   13,619   385,913 SH         Shared-Defined        1        385,913
ALERE INC                           Common   01449J105    2,137    83,700 SH         Shared-Defined        1         83,700
ALLSCRIPTS HEALTHCARE SOLUTN        Common   01988P108   16,308 1,200,000 SH         Shared-Defined        1      1,200,000
AMERISTAR CASINOS INC               Common   03070Q101    1,967    75,000 SH         Shared-Defined        1         75,000
ARRIS GROUP INC                     Common   04269Q100    2,331   135,742 SH         Shared-Defined        1        135,742
ARRAY BIOPHARMA INC                 Common   04269X105      295    60,000 SH         Shared-Defined        1         60,000
AVANIR PHARMACEUTICALS INC          Common   05348P401    5,260 1,919,612 SH         Shared-Defined        1      1,919,612
BLACKROCK INC                       Common   09247X101    1,541     6,000 SH         Shared-Defined        1          6,000
CABLEVISION SYS CORP                Common   12686C109   12,716   850,000 SH         Shared-Defined        1        850,000
CANADIAN PAC RY LTD                 Common   13645T100    9,133    70,000 SH         Shared-Defined        1         70,000
CAPITAL ONE FINL CORP               Common   14040H105    4,946    90,000 SH         Shared-Defined        1         90,000
CARDINAL HEALTH INC                 Common   14149Y108   16,648   400,000 SH         Shared-Defined        1        400,000
CHANGYOU COM LTD                    Common   15911M107      708    24,500 SH         Shared-Defined        1         24,500
CHARTER COMMUNICATIONS INC D        Common   16117M305   21,357   205,000 SH         Shared-Defined        1        205,000
COLONY FINL INC                     Common   19624R106    3,330   150,000 SH         Shared-Defined        1        150,000
COMPANHIA DE BEBIDAS DAS AME        Common   20441W203    6,350   150,000 SH         Shared-Defined        1        150,000
CORRECTIONS CORP AMER NEW           Common   22025Y407    9,768   250,000 SH         Shared-Defined        1        250,000
COSTCO WHSL CORP NEW                Common   22160K105   12,733   120,000 SH         Shared-Defined        1        120,000
CTRIP COM INTL LTD                  Common   22943F100    6,307   295,000 SH         Shared-Defined        1        295,000
CYBERONICS INC                      Common   23251P102   11,234   240,000 SH         Shared-Defined        1        240,000
EQT CORP                            Common   26884L109   12,534   185,000 SH         Shared-Defined        1        185,000
ENDOLOGIX INC                       Common   29266S106      187    11,583 SH         Shared-Defined        1         11,583
EQUINIX INC                         Common   29444U502   25,957   120,000 SH         Shared-Defined        1        120,000
FEDEX CORP                          Common   31428X106   12,375   126,020 SH         Shared-Defined        1        126,020
FREEPORT-MCMORAN COPPER & GO        Common   35671D857    9,103   275,000 SH         Shared-Defined        1        275,000
GENOMIC HEALTH INC                  Common   37244C101    2,545    90,000 SH         Shared-Defined        1         90,000
GRACE W R & CO DEL NEW              Common   38388F108    7,751   100,000 SH         Shared-Defined        1        100,000
HEALTH NET INC                      Common   42222G108   29,390 1,026,900 SH         Shared-Defined        1      1,026,900
HERTZ GLOBAL HOLDINGS INC           Common   42805T105   14,246   640,000 SH         Shared-Defined        1        640,000
IPC THE HOSPITALIST CO INC          Common   44984A105    2,224    50,000 SH         Shared-Defined        1         50,000
IDEXX LABS INC                      Common   45168D104    6,929    75,000 SH         Shared-Defined        1         75,000
INTERCONTINENTALEXCHANGE INC        Common   45865V100    2,446    15,000 SH         Shared-Defined        1         15,000
INTUITIVE SURGICAL INC              Common   46120E602   22,104    45,000 SH         Shared-Defined        1         45,000
ISHARES TR                          Option   464287955    4,713    50,000      Put   Shared-Defined        1         50,000
KBR INC                             Common   48242W106    2,246    70,000 SH         Shared-Defined        1         70,000
LAS VEGAS SANDS CORP                Common   517834107   14,533   257,900 SH         Shared-Defined        1        257,900
LIFE TECHNOLOGIES CORP              Common   53217V109    2,585    40,000 SH         Shared-Defined        1         40,000
LIFEPOINT HOSPITALS INC             Common   53219L109   22,534   465,000 SH         Shared-Defined        1        465,000
MBIA INC                            Common   55262C100    2,982   290,314 SH         Shared-Defined        1        290,314
MWI VETERINARY SUPPLY INC           Common   55402X105    9,589    72,500 SH         Shared-Defined        1         72,500
MACQUARIE INFRASTR CO LLC           Common   55608B105    5,404   100,000 SH         Shared-Defined        1        100,000






Column 1                            Column 2 Column 3  Column 4       Column 5          Column 6    Column 7      Column 8
--------                            -------- --------- -------- -------------------- -------------- -------- -------------------
                                    Title of            Value   SH or PRN SH / Put /   Investment    Other
Name of Issuer                       Class    CUSIP    (x$1000)  Amount   PRN  Call    Discretion   Manager   Voting Authority
--------------                      -------- --------- -------- --------- ---- ----- -------------- -------- -------------------
                                                                                                             Sole  Shared   None
                                                                                                             ---- --------- ----
                                                                                           

MACYS INC                           Common   55616P104   10,983   262,500 SH         Shared-Defined        1        262,500
MADISON SQUARE GARDEN CO            Common   55826P100   15,264   265,000 SH         Shared-Defined        1        265,000
MARKET VECTORS ETF TR               Common   57060U100    5,678   150,000 SH         Shared-Defined        1        150,000
METHANEX CORP                       Common   59151K108    3,047    75,000 SH         Shared-Defined        1         75,000
MOLINA HEALTHCARE INC               Common   60855R100   29,327   950,000 SH         Shared-Defined        1        950,000
MOMENTA PHARMACEUTICALS INC         Common   60877T100    2,571   192,700 SH         Shared-Defined        1        192,700
MONSANTO CO NEW                     Common   61166W101   13,204   125,000 SH         Shared-Defined        1        125,000
NATIONAL FINL PARTNERS CORP         Common   63607P208    1,191    53,100 SH         Shared-Defined        1         53,100
NETFLIX INC                         Common   64110L106   13,448    71,001 SH         Shared-Defined        1         71,001
NETSUITE INC                        Common   64118Q107   21,696   271,001 SH         Shared-Defined        1        271,001
NEUROCRINE BIOSCIENCES INC          Common   64125C109      977    80,484 SH         Shared-Defined        1         80,484
NEWCASTLE INVT CORP                 Common   65105M108    5,306   475,000 SH         Shared-Defined        1        475,000
NORTHSTAR RLTY FIN CORP             Common   66704R100    6,162   650,000 SH         Shared-Defined        1        650,000
NVIDIA CORP                         Common   67066G104    4,127   321,910 SH         Shared-Defined        1        321,910
OFFICEMAX INC DEL                   Common   67622P101   19,749 1,701,000 SH         Shared-Defined        1      1,701,000
OPENTABLE INC                       Common   68372A104    4,472    71,001 SH         Shared-Defined        1         71,001
POLYCOM INC                         Common   73172K104   10,584   955,212 SH         Shared-Defined        1        955,212
PROASSURANCE CORP                   Common   74267C106    7,973   168,454 SH         Shared-Defined        1        168,454
SPDR S&P 500 ETF TR                 Option   78462F953  127,353   813,500      Put   Shared-Defined        1        813,500
SPDR SERIES TRUST                   Option   78464A954    2,462    35,000      Put   Shared-Defined        1         35,000
SALESFORCE COM INC                  Common   79466L302   18,062   101,001 SH         Shared-Defined        1        101,001
SELECT COMFORT CORP                 Common   81616X103    2,372   120,000 SH         Shared-Defined        1        120,000
SHIRE PLC                           Common   82481R106    8,679    95,000 SH         Shared-Defined        1         95,000
SIRIUS XM RADIO INC                 Common   82967N108    7,854 2,550,000 SH         Shared-Defined        1      2,550,000
SOLARWINDS INC                      Common   83416B109    8,924   151,001 SH         Shared-Defined        1        151,001
SPECTRANETICS CORP                  Common   84760C107    9,821   530,000 SH         Shared-Defined        1        530,000
STAGE STORES INC                    Common   85254C305    1,889    73,000 SH         Shared-Defined        1         73,000
STARWOOD HOTELS&RESORTS WRLD        Common   85590A401    6,373   100,000 SH         Shared-Defined        1        100,000
STILLWATER MNG CO                   Common   86074Q102    5,172   400,000 SH         Shared-Defined        1        400,000
TW TELECOM INC                      Common   87311L104    1,260    50,000 SH         Shared-Defined        1         50,000
TEAM HEALTH HOLDINGS INC            Common   87817A107    1,455    40,000 SH         Shared-Defined        1         40,000
THERAVANCE INC                      Common   88338T104    4,252   180,003 SH         Shared-Defined        1        180,003
ULTA SALON COSMETCS & FRAG I        Common   90384S303   15,163   186,800 SH         Shared-Defined        1        186,800
VISA INC                            Common   92826C839   19,192   113,001 SH         Shared-Defined        1        113,001
WALTER ENERGY INC                   Common   93317Q105      428    15,000 SH         Shared-Defined        1         15,000
WESCO INTL INC                      Common   95082P105    1,099    15,140 SH         Shared-Defined        1         15,140
WRIGHT MED GROUP INC                Common   98235T107   10,715   450,000 SH         Shared-Defined        1        450,000
WYNDHAM WORLDWIDE CORP              Common   98310W108   12,251   190,000 SH         Shared-Defined        1        190,000
XENOPORT INC                        Common   98411C100    5,327   745,000 SH         Shared-Defined        1        745,000
YAMANA GOLD INC                     Common   98462Y100    1,842   120,000 SH         Shared-Defined        1        120,000
ARGO GROUP INTL HLDGS LTD           Common   G0464B107    4,182   101,063 SH         Shared-Defined        1        101,063
INGERSOLL-RAND PLC                  Common   G47791101       20       370 SH         Shared-Defined        1            370
INVESCO LTD                         Common   G491BT108    2,027    70,000 SH         Shared-Defined        1         70,000
RENAISSANCERE HOLDINGS LTD          Common   G7496G103   43,382   471,600 SH         Shared-Defined        1        471,600
VALIDUS HOLDINGS LTD                Common   G9319H102   18,876   505,100 SH         Shared-Defined        1        505,100
WARNER CHILCOTT PLC IRELAND         Common   G94368100   18,293 1,350,000 SH         Shared-Defined        1      1,350,000
XL GROUP PLC                        Common   G98290102    5,303   175,000 SH         Shared-Defined        1        175,000
ACE LTD                             Common   H0023R105    8,007    90,000 SH         Shared-Defined        1         90,000
WEATHERFORD INTERNATIONAL LT        Common   H27013103   21,579 1,777,500 SH         Shared-Defined        1      1,777,500
TRANSOCEAN LTD                      Common   H8817H100      260     5,000 SH         Shared-Defined        1          5,000
TYCO INTERNATIONAL LTD              Common   H89128104       20       635 SH         Shared-Defined        1            635
GIVEN IMAGING                       Common   M52020100    1,568    95,900 SH         Shared-Defined        1         95,900
QIAGEN NV                           Common   N72482107    8,327   395,000 SH         Shared-Defined        1        395,000






Column 1                            Column 2 Column 3  Column 4       Column 5          Column 6    Column 7      Column 8
--------                            -------- --------- -------- -------------------- -------------- -------- -------------------
                                    Title of            Value   SH or PRN SH / Put /   Investment    Other
Name of Issuer                       Class    CUSIP    (x$1000)  Amount   PRN  Call    Discretion   Manager   Voting Authority
--------------                      -------- --------- -------- --------- ---- ----- -------------- -------- -------------------
                                                                                                             Sole  Shared   None
                                                                                                             ---- --------- ----
                                                                                           

SENSATA TECHNOLOGIES HLDG BV        Common   N7902X106    8,701   264,700 SH         Shared-Defined        1        264,700
NEWS CORP                           Common   65248E104   14,436   473,000 SH         Shared-Defined        1        473,000
TALISMAN ENERGY INC                 Common   87425E103   20,754 1,700,000 SH         Shared-Defined        1      1,700,000
DANAHER CORP DEL                    Common   235851102       30       480 SH         Shared-Defined        1            480
GENERAL MTRS CO                     Common   37045V100    6,616   237,800 SH         Shared-Defined        1        237,800
NEWMONT MINING CORP                 Common   651639106    1,676    40,000 SH         Shared-Defined        1         40,000
THERMO FISHER SCIENTIFIC INC        Common   883556102    1,147    15,000 SH         Shared-Defined        1         15,000
UNITED CONTL HLDGS INC              Common   910047109    2,881    90,000 SH         Shared-Defined        1         90,000
MARRIOTT INTL INC NEW               Common   571903202    2,534    60,000 SH         Shared-Defined        1         60,000
OWENS ILL INC                       Common   690768403    9,328   350,001 SH         Shared-Defined        1        350,001
UNIVERSAL HLTH SVCS INC             Common   913903100   13,093   205,000 SH         Shared-Defined        1        205,000
WYNN RESORTS LTD                    Common   983134107    5,006    40,000 SH         Shared-Defined        1         40,000
PFIZER INC                          Common   717081103   10,101   350,000 SH         Shared-Defined        1        350,000
TEVA PHARMACEUTICAL INDS LTD        Common   881624209    4,563   115,000 SH         Shared-Defined        1        115,000
LIBERTY GLOBAL INC                  Common   530555101   34,916   475,700 SH         Shared-Defined        1        475,700
SPRINT NEXTEL CORP                  Common   852061100   19,211 3,093,600 SH         Shared-Defined        1      3,093,600
CBS CORP NEW                        Common   124857202   34,439   737,600 SH         Shared-Defined        1        737,600
CARNIVAL CORP                       Common   143658300    5,145   150,000 SH         Shared-Defined        1        150,000
EBAY INC                            Common   278642103   27,164   501,001 SH         Shared-Defined        1        501,001
EASTMAN CHEM CO                     Common   277432100    6,638    95,000 SH         Shared-Defined        1         95,000
FORD MTR CO DEL                     Common   345370860   10,520   800,000 SH         Shared-Defined        1        800,000
FOSSIL INC                          Common   349882100   10,037   103,900 SH         Shared-Defined        1        103,900
GENERAL DYNAMICS CORP               Common   369550108    4,583    65,000 SH         Shared-Defined        1         65,000
HANESBRANDS INC                     Common   410345102    3,189    70,000 SH         Shared-Defined        1         70,000
HARLEY DAVIDSON INC                 Common   412822108    9,519   178,600 SH         Shared-Defined        1        178,600
NORDSTROM INC                       Common   655664100    5,523   100,000 SH         Shared-Defined        1        100,000
MORGAN STANLEY                      Common   617446448    2,857   130,000 SH         Shared-Defined        1        130,000
PETSMART INC                        Common   716768106   18,009   290,000 SH         Shared-Defined        1        290,000
PLAINS EXPL& PRODTN CO              Common   726505100   54,353 1,145,000 SH         Shared-Defined        1      1,145,000
ROSS STORES INC                     Common   778296103    2,425    40,000 SH         Shared-Defined        1         40,000
RELIANCE STEEL & ALUMINUM CO        Common   759509102   16,725   235,000 SH         Shared-Defined        1        235,000
STARBUCKS CORP                      Common   855244109   10,555   185,300 SH         Shared-Defined        1        185,300
SUNCOR ENERGY INC NEW               Common   867224107    1,200    40,000 SH         Shared-Defined        1         40,000
TIME WARNER INC                     Common   887317303   20,262   351,650 SH         Shared-Defined        1        351,650
URBAN OUTFITTERS INC                Common   917047102    7,271   187,700 SH         Shared-Defined        1        187,700
WHOLE FOODS MKT INC                 Common   966837106   14,331   165,200 SH         Shared-Defined        1        165,200
LYONDELLBASELL INDUSTRIES N         Common   N53745100   18,987   300,000 SH         Shared-Defined        1        300,000
PACKAGING CORP AMER                 Common   695156109   35,467   790,450 SH         Shared-Defined        1        790,450
FOREST OIL CORP                     Common   346091705    3,288   625,000 SH         Shared-Defined        1        625,000
NEWFIELD EXPL CO                    Common   651290108      112     5,000 SH         Shared-Defined        1          5,000
CHUBB CORP                          Common   171232101    7,638    87,259 SH         Shared-Defined        1         87,259
CRANE CO                            Common   224399105   10,349   185,270 SH         Shared-Defined        1        185,270
DISCOVER FINL SVCS                  Common   254709108    3,363    75,000 SH         Shared-Defined        1         75,000
DICKS SPORTING GOODS INC            Common   253393102    2,445    51,700 SH         Shared-Defined        1         51,700
LAUDER ESTEE COS INC                Common   518439104      682    10,650 SH         Shared-Defined        1         10,650
LOWES COS INC                       Common   548661107   18,394   485,085 SH         Shared-Defined        1        485,085
MEAD JOHNSON NUTRITION CO           Common   582839106   15,080   194,700 SH         Shared-Defined        1        194,700
PPG INDS INC                        Common   693506107    4,018    30,000 SH         Shared-Defined        1         30,000
PROCTER & GAMBLE CO                 Common   742718109    3,853    50,000 SH         Shared-Defined        1         50,000
HOME DEPOT INC                      Common   437076102       15       215 SH         Shared-Defined        1            215
MCDONALDS CORP                      Common   580135101    8,972    90,000 SH         Shared-Defined        1         90,000
TIVO INC                            Common   888706108   25,400 2,050,000 SH         Shared-Defined        1      2,050,000
COMPUWARE CORP                      Common   205638109   20,000 1,600,000 SH         Shared-Defined        1      1,600,000






Column 1                            Column 2 Column 3  Column 4       Column 5          Column 6    Column 7      Column 8
--------                            -------- --------- -------- -------------------- -------------- -------- -------------------
                                    Title of            Value   SH or PRN SH / Put /   Investment    Other
Name of Issuer                       Class    CUSIP    (x$1000)  Amount   PRN  Call    Discretion   Manager   Voting Authority
--------------                      -------- --------- -------- --------- ---- ----- -------------- -------- -------------------
                                                                                                             Sole  Shared   None
                                                                                                             ---- --------- ----
                                                                                           

LAMAR ADVERTISING CO                Common   512815101   15,798   325,000 SH         Shared-Defined        1        325,000
DR PEPPER SNAPPLE GROUP INC         Common   26138E109    7,982   170,000 SH         Shared-Defined        1        170,000
DENTSPLY INTL INC NEW               Common   249030107    2,545    60,000 SH         Shared-Defined        1         60,000
CUMMINS INC                         Common   231021106    3,706    32,000 SH         Shared-Defined        1         32,000
F M C CORP                          Common   302491303    4,562    80,000 SH         Shared-Defined        1         80,000
UNION PAC CORP                      Common   907818108       20       140 SH         Shared-Defined        1            140
CARMAX INC                          Common   143130102    6,302   151,120 SH         Shared-Defined        1        151,120
MEADWESTVACO CORP                   Common   583334107    3,993   110,000 SH         Shared-Defined        1        110,000
PATTERSON COMPANIES INC             Common   703395103    4,755   125,000 SH         Shared-Defined        1        125,000
SUPERVALU INC                       Common   868536103    8,064 1,600,000 SH         Shared-Defined        1      1,600,000
WHIRLPOOL CORP                      Common   963320106   21,339   180,135 SH         Shared-Defined        1        180,135
BROOKDALE SR LIVING INC             Common   112463104   16,867   605,000 SH         Shared-Defined        1        605,000
MELCO CROWN ENTMT LTD               Common   585464100      685    29,330 SH         Shared-Defined        1         29,330
SEQUENOM INC                        Common   817337405   20,750 5,000,000 SH         Shared-Defined        1      5,000,000
VOLCANO CORPORATION                 Common   928645100    3,339   150,000 SH         Shared-Defined        1        150,000
DIEBOLD INC                         Common   253651103      758    25,000 SH         Shared-Defined        1         25,000
PRICELINE COM INC                   Common   741503403    9,937    14,445 SH         Shared-Defined        1         14,445
ROCK-TENN CO                        Common   772739207    5,799    62,500 SH         Shared-Defined        1         62,500
CARTER INC                          Common   146229109   12,651   220,900 SH         Shared-Defined        1        220,900
JARDEN CORP                         Common   471109108    2,830    66,050 SH         Shared-Defined        1         66,050
EDWARDS LIFESCIENCES CORP           Common   28176E108   15,200   185,000 SH         Shared-Defined        1        185,000
BUFFALO WILD WINGS INC              Common   119848109    4,377    50,000 SH         Shared-Defined        1         50,000
DANA HLDG CORP                      Common   235825205    4,458   250,000 SH         Shared-Defined        1        250,000
OREXIGEN THERAPEUTICS INC           Common   686164104    3,115   498,406 SH         Shared-Defined        1        498,406
VIROPHARMA INC                      Common   928241108    4,026   160,000 SH         Shared-Defined        1        160,000
VIVUS INC                           Common   928551100   15,053 1,368,426 SH         Shared-Defined        1      1,368,426
FORTINET INC                        Common   34959E109    5,283   223,115 SH         Shared-Defined        1        223,115
MICROS SYS INC                      Common   594901100    5,885   129,312 SH         Shared-Defined        1        129,312
CHICAGO BRIDGE & IRON CO N V        Common   167250109    3,105    50,000 SH         Shared-Defined        1         50,000
QUALITY SYS INC                     Common   747582104   18,280 1,000,000 SH         Shared-Defined        1      1,000,000
MOHAWK INDS INC                     Common   608190104    3,394    30,000 SH         Shared-Defined        1         30,000
TRANSDIGM GROUP INC                 Common   893641100    6,117    40,000 SH         Shared-Defined        1         40,000
GOODYEAR TIRE & RUBR CO             Common   382550101   16,267 1,290,000 SH         Shared-Defined        1      1,290,000
CUBIST PHARMACEUTICALS INC          Common   229678107    1,171    25,000 SH         Shared-Defined        1         25,000
DELTA AIR LINES INC DEL             Common   247361702    5,861   355,000 SH         Shared-Defined        1        355,000
DEAN FOODS CO NEW                   Common   242370104    5,258   290,000 SH         Shared-Defined        1        290,000
HYATT HOTELS CORP                   Common   448579102    4,755   110,000 SH         Shared-Defined        1        110,000
MCDERMOTT INTL INC                  Common   580037109    1,099   100,000 SH         Shared-Defined        1        100,000
OWENS CORNING NEW                   Common   690742101    9,614   243,815 SH         Shared-Defined        1        243,815
OCWEN FINL CORP                     Common   675746309    4,550   120,000 SH         Shared-Defined        1        120,000
ROCKWOOD HLDGS INC                  Common   774415103    9,816   150,000 SH         Shared-Defined        1        150,000
TOLL BROTHERS INC                   Common   889478103       15       440 SH         Shared-Defined        1            440
UNITED NAT FOODS INC                Common   911163103    2,858    58,096 SH         Shared-Defined        1         58,096
UNITED RENTALS INC                  Common   911363109    2,749    50,000 SH         Shared-Defined        1         50,000
GALLAGHER ARTHUR J & CO             Common   363576109    9,621   232,899 SH         Shared-Defined        1        232,899
NATUS MEDICAL INC DEL               Common   639050103    2,461   183,100 SH         Shared-Defined        1        183,100
CAPITAL SR LIVING CORP              Common   140475104    7,797   295,000 SH         Shared-Defined        1        295,000
COOPER TIRE & RUBR CO               Common   216831107    7,894   307,645 SH         Shared-Defined        1        307,645
CYTEC INDS INC                      Common   232820100    4,815    65,000 SH         Shared-Defined        1         65,000
DEPOMED INC                         Common   249908104      293    49,922 SH         Shared-Defined        1         49,922
DRESSER-RAND GROUP INC              Common   261608103    4,008    65,000 SH         Shared-Defined        1         65,000
DEXCOM INC                          Common   252131107    8,360   500,000 SH         Shared-Defined        1        500,000
EMERITUS CORP                       Common   291005106    7,642   275,000 SH         Shared-Defined        1        275,000






Column 1                            Column 2 Column 3  Column 4       Column 5          Column 6    Column 7      Column 8
--------                            -------- --------- -------- -------------------- -------------- -------- -------------------
                                    Title of            Value   SH or PRN SH / Put /   Investment    Other
Name of Issuer                       Class    CUSIP    (x$1000)  Amount   PRN  Call    Discretion   Manager   Voting Authority
--------------                      -------- --------- -------- --------- ---- ----- -------------- -------- -------------------
                                                                                                             Sole  Shared   None
                                                                                                             ---- --------- ----
                                                                                           

EXAMWORKS GROUP INC                 Common   30066A105    7,188   415,000 SH         Shared-Defined        1        415,000
GREENBRIER COS INC                  Common   393657101    2,498   110,000 SH         Shared-Defined        1        110,000
HCC INS HLDGS INC                   Common   404132102    3,152    75,000 SH         Shared-Defined        1         75,000
HEARTWARE INTL INC                  Common   422368100   12,371   139,900 SH         Shared-Defined        1        139,900
INTL PAPER CO                       Common   460146103   22,824   490,000 SH         Shared-Defined        1        490,000
LIBERTY GLOBAL INC                  Common   530555309   11,324   165,000 SH         Shared-Defined        1        165,000
MAKO SURGICAL CORP                  Common   560879108    4,708   422,200 SH         Shared-Defined        1        422,200
MDU RES GROUP INC                   Common   552690109      625    25,000 SH         Shared-Defined        1         25,000
OFFICE DEPOT INC                    Common   676220106    8,253 2,100,000 SH         Shared-Defined        1      2,100,000
PULTE GROUP INC                     Common   745867101       13       625 SH         Shared-Defined        1            625
RPM INTL INC                        Common   749685103    5,132   162,500 SH         Shared-Defined        1        162,500
RIVERBED TECHNOLOGY INC             Common   768573107    3,355   225,000 SH         Shared-Defined        1        225,000
STATE AUTO FINL CORP                Common   855707105    1,308    75,083 SH         Shared-Defined        1         75,083
VIRTUS INVT PARTNERS INC            Common   92828Q109    1,397     7,500 SH         Shared-Defined        1          7,500
WESTLAKE CHEM CORP                  Common   960413102    8,415    90,000 SH         Shared-Defined        1         90,000
WEST PHARMACEUTICAL SVSC INC        Common   955306105   12,663   195,000 SH         Shared-Defined        1        195,000
LIONS GATE ENTMNT CORP              Common   535919203    8,320   350,000 SH         Shared-Defined        1        350,000
CONAGRA FOODS INC                   Common   205887102   17,905   500,000 SH         Shared-Defined        1        500,000
SERVICE CORP INTL                   Common   817565104   13,802   825,000 SH         Shared-Defined        1        825,000
MSC INDL DIRECT INC                 Common   553530106    1,990    23,195 SH         Shared-Defined        1         23,195
DYNAVAX TECHNOLOGIES CORP           Common   268158102      631   284,100 SH         Shared-Defined        1        284,100
HCA HOLDINGS INC                    Common   40412C101   12,189   300,000 SH         Shared-Defined        1        300,000
RITE AID CORP                       Common   767754104   11,400 6,000,000 SH         Shared-Defined        1      6,000,000
VISTEON CORP                        Common   92839U206    3,462    60,000 SH         Shared-Defined        1         60,000
YOUKU TUDOU INC                     Common   98742U100    4,276   255,000 SH         Shared-Defined        1        255,000
GENERAC HLDGS INC                   Common   368736104   18,730   530,000 SH         Shared-Defined        1        530,000
MOTOROLA SOLUTIONS INC              Common   620076307   14,759   230,500 SH         Shared-Defined        1        230,500
TORNIER N V                         Common   N87237108   12,355   655,446 SH         Shared-Defined        1        655,446
CITIGROUP INC                       Common   172967424    8,627   195,000 SH         Shared-Defined        1        195,000
PVH CORP                            Common   693656100   16,998   159,140 SH         Shared-Defined        1        159,140
QIHOO 360 TECHNOLOGY CO LTD         Common   74734M109    8,973   302,840 SH         Shared-Defined        1        302,840
RALPH LAUREN CORP                   Common   751212101   24,499   144,700 SH         Shared-Defined        1        144,700
GNC HLDGS INC                       Common   36191G107   29,460   750,000 SH         Shared-Defined        1        750,000
MOSAIC CO NEW                       Common   61945C103    6,557   110,000 SH         Shared-Defined        1        110,000
AMC NETWORKS INC                    Common   00164V103   13,110   207,500 SH         Shared-Defined        1        207,500
FUSION-IO INC                       Common   36112J107    1,461    89,269 SH         Shared-Defined        1         89,269
FREEPORT-MCMORAN COPPER & GO        Option   35671D907    4,138   125,000      Call  Shared-Defined        1        125,000
FRANCESCAS HLDGS CORP               Common   351793104    5,732   200,000 SH         Shared-Defined        1        200,000
CORNERSTONE ONDEMAND INC            Common   21925Y103    6,854   201,001 SH         Shared-Defined        1        201,001
SAGENT PHARMACEUTICALS INC          Common   786692103    2,379   135,536 SH         Shared-Defined        1        135,536
WISDOMTREE INVTS INC                Common   97717P104    1,872   180,000 SH         Shared-Defined        1        180,000
CONNS INC                           Common   208242107    7,360   205,000 SH         Shared-Defined        1        205,000
ANIXTER INTL INC                    Common   035290105    1,398    20,000 SH         Shared-Defined        1         20,000
APPLE INC                           Common   037833100   40,611    91,750 SH         Shared-Defined        1         91,750
AMAZON COM INC                      Common   023135106   36,589   137,301 SH         Shared-Defined        1        137,301
BAIDU INC                           Common   056752108    1,316    15,000 SH         Shared-Defined        1         15,000
ABERCROMBIE & FITCH CO              Common   002896207   13,398   290,000 SH         Shared-Defined        1        290,000
BOEING CO                           Common   097023105   11,053   128,750 SH         Shared-Defined        1        128,750
EXPEDIA INC DEL                     Common   30212P303   10,262   171,001 SH         Shared-Defined        1        171,001
AMERICAN INTL GROUP INC             Common   026874784   23,793   612,900 SH         Shared-Defined        1        612,900
ALIGN TECHNOLOGY INC                Common   016255101   22,368   667,500 SH         Shared-Defined        1        667,500
ALEXION PHARMACEUTICALS INC         Common   015351109    3,409    37,000 SH         Shared-Defined        1         37,000
APPLIED MATLS INC                   Common   038222105        0         1 SH         Shared-Defined        1              1






Column 1                            Column 2 Column 3  Column 4       Column 5          Column 6    Column 7     Column 8
--------                            -------- --------- -------- -------------------- -------------- -------- -----------------
                                    Title of            Value   SH or PRN SH / Put /   Investment    Other
Name of Issuer                       Class    CUSIP    (x$1000)  Amount   PRN  Call    Discretion   Manager  Voting Authority
--------------                      -------- --------- -------- --------- ---- ----- -------------- -------- -----------------
                                                                                                             Sole Shared  None
                                                                                                             ---- ------- ----
                                                                                         

ARM HLDGS PLC                       Common   042068106    8,516   201,001 SH         Shared-Defined        1      201,001
BEST BUY INC                        Common   086516101    6,499   293,400 SH         Shared-Defined        1      293,400
TRIPADVISOR INC                     Common   896945201   10,929   208,092 SH         Shared-Defined        1      208,092
ARTHROCARE CORP                     Common   043136100    4,323   124,353 SH         Shared-Defined        1      124,353
BARNES & NOBLE INC                  Common   067774109    1,815   110,359 SH         Shared-Defined        1      110,359
MARRIOTT VACATIONS WRLDWDE C        Common   57164Y107    1,845    43,000 SH         Shared-Defined        1       43,000
AMERICAN EXPRESS CO                 Common   025816109    8,837   131,001 SH         Shared-Defined        1      131,001
ABIOMED INC                         Common   003654100   14,936   800,000 SH         Shared-Defined        1      800,000
ACADIA HEALTHCARE COMPANY IN        Common   00404A109    1,176    40,000 SH         Shared-Defined        1       40,000
AMERICAN EQTY INVT LIFE HLD         Common   025676206    2,606   175,000 SH         Shared-Defined        1      175,000
AMERICAN FINL GROUP INC OHIO        Common   025932104    7,753   163,644 SH         Shared-Defined        1      163,644
ATMEL CORP                          Common   049513104      900   129,316 SH         Shared-Defined        1      129,316
B/E AEROSPACE INC                   Common   073302101    6,632   110,000 SH         Shared-Defined        1      110,000
BALL CORP                           Common   058498106    5,234   110,000 SH         Shared-Defined        1      110,000
BLOCK H & R INC                     Common   093671105   11,109   377,600 SH         Shared-Defined        1      377,600
INVENSENSE INC                      Common   46123D205    5,924   554,672 SH         Shared-Defined        1      554,672
MATTRESS FIRM HLDG CORP             Common   57722W106   11,719   339,300 SH         Shared-Defined        1      339,300
MICHAEL KORS HLDGS LTD              Common   G60754101   28,446   500,900 SH         Shared-Defined        1      500,900
AMERICAN TOWER CORP NEW             Common   03027X100   13,461   175,000 SH         Shared-Defined        1      175,000
MONSTER BEVERAGE CORP               Common   611740101    2,387    50,000 SH         Shared-Defined        1       50,000
ISHARES TR                          Option   464287954   14,973   350,000      Put   Shared-Defined        1      350,000
HOME LN SERVICING SOLUTIONS         Common   G6648D109    2,333   100,000 SH         Shared-Defined        1      100,000
EXACTTARGET INC                     Common   30064K105    5,375   231,001 SH         Shared-Defined        1      231,001
FACEBOOK INC                        Common   30303M102    4,604   180,000 SH         Shared-Defined        1      180,000
FIFTH & PAC COS INC                 Common   316645100    5,721   303,000 SH         Shared-Defined        1      303,000
ANNIES INC                          Common   03600T104    5,949   155,500 SH         Shared-Defined        1      155,500
YELP INC                            Common   985817105    6,437   271,502 SH         Shared-Defined        1      271,502
NQ MOBILE INC                       Common   64118U108    2,206   244,833 SH         Shared-Defined        1      244,833
MRC GLOBAL INC                      Common   55345K103    9,079   275,705 SH         Shared-Defined        1      275,705
SPLUNK INC                          Common   848637104   12,049   301,001 SH         Shared-Defined        1      301,001
VOCERA COMMUNICATIONS INC           Common   92857F107    6,900   300,000 SH         Shared-Defined        1      300,000
WAGEWORKS INC                       Common   930427109      257    10,262 SH         Shared-Defined        1       10,262
PALO ALTO NETWORKS INC              Common   697435105    4,019    71,001 SH         Shared-Defined        1       71,001
PLAINS EXPL& PRODTN CO              Option   726505900    3,380    71,200      Call  Shared-Defined        1       71,200
GLOBUS MED INC                      Common   379577208    8,492   578,500 SH         Shared-Defined        1      578,500
SERVICENOW INC                      Common   81762P102    6,190   171,001 SH         Shared-Defined        1      171,001
SUNESIS PHARMACEUTICALS INC         Common   867328601       55    10,000 SH         Shared-Defined        1       10,000
TRANSOCEAN LTD                      Option   H8817H900    2,598    50,000      Call  Shared-Defined        1       50,000
WEATHERFORD INTERNATIONAL LT        Option   H27013903   11,290   930,000      Call  Shared-Defined        1      930,000
MANCHESTER UTD PLC NEW              Common   G5784H106    2,966   177,100 SH         Shared-Defined        1      177,100
EATON CORP PLC                      Common   G29183103    1,858    30,330 SH         Shared-Defined        1       30,330
PENTAIR LTD                         Common   H6169Q108    7,415   140,570 SH         Shared-Defined        1      140,570
RYMAN HOSPITALITY PPTYS INC         Common   78377T107    1,830    40,000 SH         Shared-Defined        1       40,000
WORKDAY INC                         Common   98138H101    8,074   131,001 SH         Shared-Defined        1      131,001
ABBVIE INC                          Common   00287Y109    3,466    85,000 SH         Shared-Defined        1       85,000
COMVERSE INC                        Common   20585P105    1,963    70,000 SH         Shared-Defined        1       70,000
AMIRA NATURE FOODS LTD              Common   G0335L102    2,120   267,650 SH         Shared-Defined        1      267,650
HASBRO INC                          Option   418056957    4,394   100,000      Put   Shared-Defined        1      100,000
MCMORAN EXPLORATION CO              Option   582411954    9,810   600,000      Put   Shared-Defined        1      600,000
YY INC                              Common   98426T106    1,344    79,500 SH         Shared-Defined        1       79,500
SOUFUN HLDGS LTD                    Common   836034108      524    20,000 SH         Shared-Defined        1       20,000
BEST BUY INC                        Option   086516951    1,108    50,000      Put   Shared-Defined        1       50,000
BOISE CASCADE CO DEL                Common   09739D100      944    27,800 SH         Shared-Defined        1       27,800






Column 1                            Column 2 Column 3  Column 4       Column 5          Column 6    Column 7     Column 8
--------                            -------- --------- -------- -------------------- -------------- -------- -----------------
                                    Title of            Value   SH or PRN SH / Put /   Investment    Other
Name of Issuer                       Class    CUSIP    (x$1000)  Amount   PRN  Call    Discretion   Manager  Voting Authority
--------------                      -------- --------- -------- --------- ---- ----- -------------- -------- -----------------
                                                                                                             Sole Shared  None
                                                                                                             ---- ------- ----
                                                                                         

STARZ                               Common   85571Q102    7,753   350,000 SH         Shared-Defined        1      350,000
ICON PLC                            Common   G4705A100    8,000   247,750 SH         Shared-Defined        1      247,750
VIPSHOP HLDGS LTD                   Common   92763W103       15       500 SH         Shared-Defined        1          500
NORWEGIAN CRUISE LINE HLDGS         Common   G66721104   12,710   428,682 SH         Shared-Defined        1      428,682
CHESAPEAKE ENERGY CORP              Option   165167957    5,103   250,000      Put   Shared-Defined        1      250,000
NUANCE COMMUNICATIONS INC           Option   67020Y900   10,090   500,000      Call  Shared-Defined        1      500,000
WEIGHT WATCHERS INTL INC NEW        Option   948626956    4,350   103,300      Put   Shared-Defined        1      103,300
BOULDER BRANDS INC                  Common   101405108    1,644   183,072 SH         Shared-Defined        1      183,072
BOULDER BRANDS INC                  Option   101405908    2,423   269,800      Call  Shared-Defined        1      269,800
COMPUWARE CORP                      Option   205638909    1,054    84,300      Call  Shared-Defined        1       84,300
COMMONWEALTH REIT                   Option   203233901    9,248   412,100      Call  Shared-Defined        1      412,100
DELL INC                            Option   24702R901    8,618   601,400      Call  Shared-Defined        1      601,400
GARDNER DENVER INC                  Option   365558905   15,022   200,000      Call  Shared-Defined        1      200,000
GAMESTOP CORP NEW                   Option   36467W959    4,196   150,000      Put   Shared-Defined        1      150,000
WARNER CHILCOTT PLC IRELAND         Option   G94368900    2,710   200,000      Call  Shared-Defined        1      200,000
POLYCOM INC                         Option   73172K904      554    50,000      Call  Shared-Defined        1       50,000
QIHOO 360 TECHNOLOGY CO LTD         Option   74734M959      593    20,000      Put   Shared-Defined        1       20,000
YELP INC                            Option   985817905      711    30,000      Call  Shared-Defined        1       30,000