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:		Fort Hoosac Management LLC
Address:	11 East 44th St. Ste. 700
		New York, NY 10017

13F File Number:


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:	Paul J. Isaac
Title:	Manager
Phone:	(212) 650-4670

Signature, Place, and Date of Signing:

/s/ Paul J. Isaac	 New York, NY	        May 09, 2013
-----------------------	------------------	-----------------
	[Signature]	[City, State]		[Date]


Report Type (Check only one.):

[]	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).)

[x]	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:		2
						---

Form 13F Information Table Entry Total:		90
						----

Form 13F Information Table Value Total:		$631,415
						---------
						(thousands)


List of Other Included Managers:


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

1 - 13F file number 028-14377 Arbiter Partners QP, LP
2 - 13F file number 028-12808 Arbiter Partners LP





Column 1		Column 2	Column 3	Column 4 Column 5		Column 6   Column 7 Column 8
-----------------------	--------	---------	-------- -------------------	---------- -------- ------------------
							Value	 Shares/  SH/	Put/	Investment Other    Voting Authority
Name of Issuer		 Class		CUSIP		(x$1000) Prn Amt  Prn	Call	Discretion Managers Sole   Shared    None
--------------		 -----		-----		-------- -------  ---	----	---------- -------- ----   ------    ----
<s>			 <c>		<c>		<c>	 <c>	  <c>	<c>	<c>	   <c>	    <c>	    <c>	     <c>
AIR PRODS & CHEMS INC               COM 009158106        8712     100000  SH     Call   Defined         1         0
AMERIANA BANCORP                    COM 023613102         139      15167  SH            Defined         1     15167
AMKOR TECHNOLOGY INC                COM 031652100        1320     330000  SH            Defined         1    330000
ANADARKO PETE CORP                  COM 032511107       21863     250000  SH     Call   Defined         1         0
ASB BANCORP INC N C                 COM 00213T109         542      31900  SH            Defined         1     31900
ASSURED GUARANTY LTD                COM G0585R106       23293    1130169  SH            Defined         1   1130169
ASSURED GUARANTY LTD                COM G0585R106        4122     200000  SH     Call   Defined         1         0
BARCLAYS BK PLC                     COM 06740C188      -12992     641600  SH      Put   Defined         1         0
BLACKSTONE GROUP L P                COM 09253U108       11868     600000  SH     Call   Defined         1         0
CAPITAL ONE FINL CORP               COM 14040H105        4520      82255  SH            Defined         1     82255
CAPITAL ONE FINL CORP               COM 14040H105        5495     100000  SH     Call   Defined         1         0
CAPITAL SR LIVING CORP              COM 140475104       38856    1470137  SH            Defined         1   1470137
CHARTER FINL CORP WEST PT           COM 16122M100        1920     150100  SH            Defined         1    150100
CLEAR CHANNEL OUTDOOR HLD           COM 18451C109        5236     698960  SH            Defined         1    698960
CLIFFS NAT RES INC                  COM 18683K101       -8364     440000  SH      Put   Defined         1         0
CORNING INC                         COM 219350105        1333     100000  SH     Call   Defined         1         0
COWEN GROUP INC NEW                 COM 223622101        7176    2544571  SH            Defined         1   2544571
CURRENCYSHARES AUSTRALIAN           COM 23129U101      -16683     160000  SH      Put   Defined         1         0
DEVON ENERGY CORP NEW               COM 25179M103       45317     803200  SH     Call   Defined         1         0
EASTERN VA BANKSHARES INC           COM 277196101         143      25200  SH            Defined         1     25200
EXPRESS SCRIPTS HLDG CO             COM 30219G108        5762     100000  SH     Call   Defined         1         0
FOREST CITY ENTERPRISES I           COM 345550107        8570     482248  SH            Defined         1    482248
GOLDMAN SACHS GROUP INC             COM 38141G104       51620     350800  SH     Call   Defined         1         0
GREIF INC                           COM 397624206       46492     828717  SH            Defined         1    828717
HESS CORP                           COM 42809H107        3581      50000  SH     Call   Defined         1         0
HOPFED BANCORP INC                  COM 439734104         330      30748  SH            Defined         1     30748
INTERVEST BANCSHARES CORP           COM 460927106         254      43204  SH            Defined         1     43204
KENTUCKY FIRST FED BANCOR           COM 491292108         150      18738  SH            Defined         1     18738
LAKE SHORE BANCORP INC              COM 510700107        2126     191692  SH            Defined         1    191692
LAPORTE BANCORP INC MD              COM 516651106         149      15052  SH            Defined         1     15052
LENNAR CORP                         COM 526057302        2246      69620  SH            Defined         1     69620
LEVEL 3 COMMUNICATIONS IN           COM 52729N308        1015      50000  SH            Defined         1     50000
LIBERTY MEDIA                       COM 53071M104       11918     557700  SH            Defined         1    557700
LIBERTY VENTURES                    COM 53071M880       31709     419546  SH            Defined         1    419546
LIFE TECHNOLOGIES CORP              COM 53217V109       12926     200000  SH     Call   Defined         1         0
MARKET VECTORS ETF TR               COM 57060U589        3428     204800  SH     Call   Defined         1         0
MICROSOFT CORP                      COM 594918104        8779     306900  SH            Defined         1    306900
MICROSOFT CORP                      COM 594918104       27226     951800  SH     Call   Defined         1         0
MTR GAMING GROUP INC                COM 553769100        5604    1698220  SH            Defined         1   1698220
NATIONAL WESTN LIFE INS C           COM 638522102       10272      58363  SH            Defined         1     58363
NEWMONT MINING CORP                 COM 651639106       44466    1061500  SH     Call   Defined         1         0
NN INC                              COM 629337106         853      90216  SH            Defined         1     90216
NORTHFIELD BANCORP INC DE           COM 66611T108        6818     600140  SH            Defined         1    600140
OCONEE FED FINL CORP                COM 675607105         314      20277  SH            Defined         1     20277
OPPENHEIMER HLDGS INC               COM 683797104         527      27081  SH            Defined         1     27081
PEOPLES BANCORP N C INC             COM 710577107         288      25794  SH            Defined         1     25794
PFIZER INC                          COM 717081103        2886     100000  SH     Call   Defined         1         0
PHOENIX COS INC NEW                 COM 71902E604        6221     202176  SH            Defined         1    202176
PREMIER FINL BANCORP INC            COM 74050M105         145      12314  SH            Defined         1     12314
PROSHARES TR II                     COM 74347W627        5410      59400  SH     Call   Defined         1         0
PROSHARES TR II                     COM 74347W627       -2393      63400  SH      Put   Defined         1         0
PROTHENA CORP PLC                   COM G72800108        4850     724916  SH            Defined         1    724916
PSB HLDGS INC                       COM 69360W108         313      52585  SH            Defined         1     52585
RAYTHEON CO                         COM 755111507        5879     100000  SH     Call   Defined         1         0
SALESFORCE COM INC                  COM 79466L302       -6259      35000  SH      Put   Defined         1         0
SEAGATE TECHNOLOGY PLC              COM G7945M107        4555     124600  SH            Defined         1    124600
SEAGATE TECHNOLOGY PLC              COM G7945M107       31437     860000  SH     Call   Defined         1         0
SEALED AIR CORP NEW                 COM 81211K100       41703    1729663  SH            Defined         1   1729663
SYMETRA FINL CORP                   COM 87151Q106        9666     720846  SH            Defined         1    720846
TRONOX LTD                          COM Q9235V101        7067     356720  SH            Defined         1    356720
UNITED BANCSHARES INC OHI           COM 909458101         290      23710  SH            Defined         1     23710
UNITED PARCEL SERVICE INC           COM 911312106       12885     150000  SH     Call   Defined         1         0
UT/25 IPATH S&P 500 VIX S           COM 9EQ2YAE05        -567      28000  SH      Put   Defined         1         0
WARREN RES INC                      COM 93564A100        8256    2567776  SH            Defined         1   2567776
WESTERN DIGITAL CORP                COM 958102105       14584     290000  SH     Call   Defined         1         0
WESTERN UN CO                       COM 959802109        7520     500000  SH     Call   Defined         1         0
WOLVERINE BANCORP INC               COM 977880103         201      10695  SH            Defined         1     10695
WPX ENERGY INC                      COM 98212B103        3765     235000  SH            Defined         1    235000
XEROX CORP                          COM 984121103       13152    1529300  SH            Defined         1   1529300
XEROX CORP                          COM 984121103       14975    1741300  SH     Call   Defined         1         0
AERCAP HOLDINGS NV                  COM N00985106         155      10000  SH               Sole               10000
ANNALY CAPITAL MANAGEMENT           COM 035710409         159      10000  SH               Sole               10000
APOLLO COMMERCIAL REAL ES           COM 03762U105         176      10000  SH               Sole               10000
APOLLO GLOBAL MANAGEMENT            COM 037612306         541      25000  SH               Sole               25000
CALAMOS ASSET MANAGEMENT-           COM 12811R104         272      23079  SH               Sole               23079
COSI INC                            COM 22122P101          65      94181  SH               Sole               94181
DEX ONE CORP                        COM 25212W100         104      61032  SH               Sole               61032
DOUBLE EAGLE PETROLEUM CO           COM 258570209         107      19908  SH               Sole               19908
ELDORADO GOLD CORP                  COM 284902103         146      15300  SH               Sole               15300
FERRO CORP                          COM 315405100         229      33892  SH               Sole               33892
LIBERTY VENTURES - SER A            COM 53071M880         956      12652  SH               Sole               12652
LIBERTY INTERACTIVE CORP-           COM 53071M104        3488     163200  SH               Sole              163200
LIMONEIRA CO                        COM 532746104        1923      99530  SH               Sole               99530
MAGELLAN PETROLEUM CORP             COM 559091301          21      20000  SH               Sole               20000
MDC PARTNERS INC-A                  COM 552697104         162      10000  SH               Sole               10000
ROSETTA RESOURCES INC               COM 777779307         856      18000  SH               Sole               18000
SALEM COMMUNICATIONS -CL            COM 794093104         324      40851  SH               Sole               40851
TEXAS PACIFIC LAND TRUST            COM 882610108         753      10680  SH               Sole               10680
TRIMTABS FLOAT SHRINK ETF           COM 00768Y818        3136      80000  SH               Sole               80000
ZAZA ENERGY CORP                    COM 98919T100          62      34300  SH               Sole               34300


*Long puts reflect a negative notional value and have been subtracted from the total notional value.