BRIGHTFIELD CAPITAL MANAGEMENT LLC
780 THIRD AVE, NEW YORK, New York, 10017, (212) 833-9965
Report Date: 03/31/2013
Position Statistics:
| Total Positions | 55 |
| New Positions | 14 |
| Increased Positions | 21 |
| Decreased Positions | 28 |
| Positions with Activity | 49 |
| Sold Out Positions | 12 |
| Total Mkt Value (in $ millions) |
91 |
Sector Weighting
| Basic Materials | |
| Capital Goods | |
| Conglomerates | |
| Consumer Cyclical | 1.45% |
| Consumer/Non-Cyclical | |
| Energy | |
| Financial | 14.45% |
| Healthcare | |
| Services | 2.19% |
| Technology | 81.91% |
| Transportation | |
| Utilities |
Institutional Holdings information is filed by major institutions on form 13-F with the Securities and Exchange Commission.
49 Activity Positions as of 03/31/2013
| Company | Class | Value of Shares ($1,000s) |
Change in Value ($1,000s) | Change (%) | Shares Held |
|---|---|---|---|---|---|
| PROSHARES TR | PSHS ULSHT SP500 | 7,878 | 2,498 | 46.43 | 205,000 |
| PROSHARES TR | PSHS ULSHRUS2000 | 5,277 | 2,902 | 122.22 | 300,000 |
| FORMFACTOR INC | COM | 4,027 | 772 | 23.70 | 717,854 |
| HARMONIC INC | COM | 3,812 | -575 | (13.1) | 630,000 |
| LSI CORPORATION | COM | 3,615 | 3,615 | New | 500,000 |
| MAXLINEAR INC | CL A | 3,395 | 22 | .64 | 500,000 |
| AVIAT NETWORKS INC | COM | 3,339 | -477 | (12.5) | 1,260,000 |
| CALIX INC | COM | 2,843 | -628 | (18.08) | 294,900 |
| TRINA SOLAR LIMITED | SPON ADR | 2,815 | 2,815 | New | 500,000 |
| NOVATEL WIRELESS INC | COM NEW | 2,590 | -409 | (13.65) | 780,000 |
| FABRINET | SHS | 2,399 | 2,399 | New | 164,800 |
| APPLE INC | COM | 2,166 | 2,166 | New | 5,000 |
| SHORETEL INC | COM | 2,160 | 76 | 3.67 | 500,000 |
| SPANSION INC | COM CL A NEW | 2,087 | 2,087 | New | 165,000 |
| INTERNAP NETWORK SVCS CORP | COM PAR $.001 | 2,008 | -1,445 | (41.85) | 250,000 |
| MERU NETWORKS INC | COM | 1,994 | -320 | (13.85) | 560,000 |
| EMULEX CORP | COM NEW | 1,993 | -495 | (19.88) | 320,481 |
| SKYWORKS SOLUTIONS INC | COM | 1,672 | 1,672 | New | 70,000 |
| PLANAR SYS INC | COM | 1,636 | -27 | (1.62) | 940,000 |
| OCLARO INC | COM NEW | 1,635 | 245 | 17.65 | 1,500,000 |
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