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  Name: CANYON CAPITAL ADVISORS LLC
  City: BEVERLY HILLS
  State: CA
  Zip: 90212
   
Achive data
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Portfolio Summary View Filing
  Filing Report Date : 2010-03-31
  Total Value : $747,964,000
  Total Value Change : $174,207,000
  Securities Held Change : 2
   
All Securities Held : 35
  New Positions : 20
  Closed Positions : 15
  Increased Positions : 8
  Unchanged Positions : 6
  Decreased Positions : 1
 
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Holdings Found : 48     View All Holdings Currently Viewing:  ALL     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (ACL)1 Year Chart         ACL Alcon Inc 1 New $154.39 $129,248,000 800,000 17.28% 129,248,000 800,000 0.261    Medical Instruments &...
   (CIT)1 Year Chart         CIT CIT Group Inc 2 - $37.31 $106,060,000 2,722,286 14.18% 54,272,000 846,601 0.673    Credit Services
   (BAC)1 Year Chart         BAC Bank Of America Corp 3 New $13.99 $71,284,000 3,993,515 9.53% 71,284,000 3,993,515 0.046    Domestic Money Center...
   (DNR)1 Year Chart         DNR Denbury Resources Inc 4 New $15.39 $57,442,000 3,405,000 7.68% 57,442,000 3,405,000 1.369    Independent Oil & Gas
   (EP)1 Year Chart         EP El Paso Corpde 5 New $12.56 $40,695,000 3,754,107 5.44% 40,695,000 3,754,107 0.537    Oil & Gas Pipelines &...
   (PENN)1 Year Chart         PENN Penn National Gaming Inc 6 - $26.56 $22,340,000 803,300 2.99% 2,695,000 80,800 1.026    Gambling/Resorts
   (ARG)1 Year Chart         ARG Airgas Inc 7 New $65.50 $20,040,000 315,000 2.68% 20,040,000 315,000 0.387    Industrial Equipment ...
   (NWSA)1 Year Chart         NWSA News Corp Class A 8 - $12.98 $19,236,000 1,334,935 2.57% 961,000 0 0.051    Entertainment - Diver...
   (JPM)1 Year Chart         JPM J P Morgan Chase 9 New $40.32 $18,258,000 408,000 2.44% 18,258,000 408,000 0.011    Domestic Money Center...
   (C)1 Year Chart         C Citigroup Inc 10 - $4.09 $17,881,000 4,414,990 2.39% -135,104,000 -41,804,057 0.016    Domestic Money Center...
   (PM)1 Year Chart         PM Philip Morris International... 11 - $51.04 $17,707,000 339,477 2.37% 1,348,000 0 0.017    Cigarettes & Other To...
   (AMKR)1 Year Chart         AMKR Amkor Technology Inc 12 New $5.82 $15,222,000 2,150,000 2.04% 15,222,000 2,150,000 1.175    Semiconductor - Integ...
   (CCE)1 Year Chart         CCE Coca Cola Enterprises Inc 13 New $28.71 $13,830,000 500,000 1.85% 13,830,000 500,000 0.102    Beverage Soft Drinks...
   (CCO)1 Year Chart         CCO Clear Channel Outdoor Holdi... 14 - $10.99 $12,712,000 1,198,085 1.7% 2,622,000 227,000 0.337    Marketing Services
   (PCS)1 Year Chart         PCS MetroPcs Communications Inc 15 - $8.81 $12,648,000 1,786,429 1.69% -715,000 35,000 0.508    Wireless Communications
   (HA)1 Year Chart         HA Hawaiian Holdings Inc 16 - $5.84 $11,504,000 1,560,947 1.54% 4,810,000 604,670 3.035    Regional Airlines
   (WM)1 Year Chart         WM Waste Management Inc 17 - $34.12 $10,678,000 310,145 1.43% 192,000 0 0.063    Waste Management
   (DISH)1 Year Chart         DISH Dish Network Corporation 18 - $20.11 $10,505,000 504,540 1.4% 171,000 7,000 0.113    Electronic Equipment
   (RAD)1 Year Chart         RAD Rite Aid Corp 19 - $0.97 $10,500,000 7,000,000 1.4% 2,950,000 2,000,000 0.79    Drug Stores
   (TWX)1 Year Chart         TWX Time Warner Inc 20 - $31.27 $8,298,000 265,359 1.11% 565,000 0 0.022    Broadcasting - TV
   (WFR)1 Year Chart         WFR MEMC Electronic Materials Inc 21 New $11.50 $6,301,000 411,000 0.84% 6,301,000 411,000 0.184    Semiconductor - Integ...
   (DOLE)1 Year Chart         DOLE Dole Food Co Inc 22 New $11.10 $4,150,000 350,200 0.55% 4,150,000 350,200 0.401    Food - Major Diversified
   (RBSPRP)1 Year Chart         RBSPRP Royal Bank of Scotland Grou... 23 New $0.00 $3,473,000 275,000 0.46% 3,473,000 275,000 0    N/A
   (FR)1 Year Chart         FR First Industrial Realty Tru... 24 New $4.23 $2,794,000 360,100 0.37% 2,794,000 360,100 0.585    REIT - Industrial
   (RBSPRR)1 Year Chart         RBSPRR Royal Bank of Scotland Grou... 25 New $0.00 $2,261,000 180,000 0.3% 2,261,000 180,000 0    N/A
   (MFW)1 Year Chart         MFW M & F Worldwide Corp 26 - $28.55 $2,145,000 70,113 0.29% -624,000 0 0.363    Confectioners
   (URI)1 Year Chart         URI United Rentals Inc 27 - $12.76 $1,542,000 164,409 0.21% -71,000 0 0.273    Rental & Leasing Serv...
   (RBSPRN)1 Year Chart         RBSPRN Royal Bank of Scotland Grou... 28 New $0.00 $1,263,000 100,000 0.17% 1,263,000 100,000 0    N/A
   (LSTZA)1 Year Chart         LSTZA Liberty Starz Group 29 New $54.90 $1,089,000 19,913 0.15% 1,089,000 19,913 0.038    N/A
   (EPR.PRC)1 Year Chart         EPR.PRC Entertainment Properties Trust 30 New $0.00 $912,000 50,000 0.12% 912,000 50,000 0.189    N/A
   (AIMC)1 Year Chart         AIMC Altra Holdings, Inc. 31 New $13.95 $845,000 61,531 0.11% 845,000 61,531 0.237    Industrial Electrical...
   (RBSPRM)1 Year Chart         RBSPRM Royal Bank of Scotland Grou... 32 New $0.00 $635,000 50,000 0.08% 635,000 50,000 0    N/A
   (RBS.PS)1 Year Chart         RBS.PS Royal BK Scotland 33 New $0.00 $263,000 20,000 0.04% 263,000 20,000 0    N/A
   (DRYS)1 Year Chart         DRYS DryShips Inc 42 Closed $4.50 $0 0 0% -3,214,000 -552,300 0    Water Transportation
   (JAVA)1 Year Chart         JAVA Sun Microsystems Inc 46 Closed $9.49 $0 0 0% -7,965,000 -850,000 0    Diversified Computer ...
   (PAS)1 Year Chart         PAS Pepsiamericas Inc 36 Closed $29.98 $0 0 0% -3,845,000 -131,400 0    Beverage Soft Drinks...
   (BLOKB)1 Year Chart         BLOKB Blockbuster Inc Class B 41 Closed $0.09 $0 0 0% -531,000 -900,000 0    Music & Video Stores
   (BNI)1 Year Chart         BNI Burlington Northern Santa F... 45 Closed $100.21 $0 0 0% -24,359,000 -247,000 0    Railroads
   (SPWRA)1 Year Chart         SPWRA Sunpower Corp 35 Closed $13.09 $0 0 0% -1,184,000 -50,000 0    Scientific & Technica...
   (PBG)1 Year Chart         PBG Pepsi Bottling Group Inc 40 Closed $38.23 $0 0 0% -9,375,000 -250,000 0    Beverage Soft Drinks...
   (BLOKA)1 Year Chart         BLOKA Blockbuster Inc 44 Closed $0.17 $0 0 0% -2,077,000 -3,100,000 0    Music & Video Stores
   (GSM)1 Year Chart         GSM Globe Specialty Metals Inc 34 Closed $11.36 $0 0 0% -1,016,000 -108,080 0    N/A
   (RX)1 Year Chart         RX IMS Health Inc 48 Closed $21.98 $0 0 0% -21,060,000 -1,000,000 0    Business Software & S...
   (LEA)1 Year Chart         LEA Lear Corp 39 Closed $75.72 $0 0 0% -788,000 -11,653 0    Auto Parts
   (H)1 Year Chart         H Realogy Corp 43 Closed $37.39 $0 0 0% -8,943,000 -300,000 0    Property Management
   (ADM)1 Year Chart         ADM Archer Daniels Midland Co 47 Closed $27.66 $0 0 0% -3,848,000 -122,900 0    Food - Major Diversified
   (DTV)1 Year Chart         DTV Directv Group Inc (The) 37 Closed $37.67 $0 0 0% -4,838,000 -145,053 0    Broadcasting - TV
   (SU)1 Year Chart         SU Suncor Energy Inc (USA) 38 Closed $31.82 $0 0 0% -10,183,000 -288,400 0    Oil & Gas Refining, P...

      48 Records Found
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