TigerShark Management

TigerShark Management as of March 31, 2013

Portfolio Holdings for TigerShark Management

TigerShark Management holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing

                {C}                         {C}
                                                         FORM 13F INFORMATION TABLE
                             TITLE OF                      VALUE    SHARES/ SH/ PUT/INVSTMT  OTHER    VOTING AUTHORITY
   NAME OF ISSUER             CLASS             CUSIP    x ($1000) PRN AMT PRN CALL DISCRETN MANAGERS  SOLE   SHARED   NONE
---------------------------- -----------------  --------- -------- ------- --- ---- -------- -------- -------- ------- -----
ALLIANT TECHSYSTEMS INC	      COM	        018804104  2379	   32844   SH       Sole	0      32844	0	0
AVON PRODS INC	              COM	        054303102  2488	   120000  SH	    Sole	0      120000	0	0
AVON PRODS INC	              COM	        054303102  2088	   100700  PUT	    Sole	0      0	0	0
BED BATH & BEYOND INC	      COM	        075896100  1811	   28108   SH	    Sole	0      28108	0	0
BERRY PLASTICS GROUP INC      COM	        08579W103  1085	   56971   SH	    Sole	0      56971	0	0
BLOCK H & R INC	              COM	        093671105  3236	   110000  CALL	    Sole	0      0	0	0
CA INC	                      COM	        12673P105  990	   39308   SH	    Sole	0      39308	0	0
CABOT CORP	              COM	        127055101  1178	   34454   SH	    Sole	0      34454	0	0
CAMPBELL SOUP CO	      COM	        134429109  998	   22000   SH	    Sole	0      22000	0	0
CISCO SYS INC	              COM	        17275R102  1411	   67531   SH	    Sole	0      67531	0	0
COACH INC	              COM	        18975410   721	   14429   SH	    Sole	0      14429	0	0
CREDIT SUISSE AG NASSAU BRH   ETN LKD SPVXSP	22539T852  8	   2279	   SH	    Sole	0	2279    0	0
CROCS INC	              COM	        227046109  871	   58762   SH	    Sole	0	58762	0	0
DIGITAL RLTY TR INC	      COM	        253868103  6229	   93100   CALL	    Sole	0	0	0	0
DRYSHIPS INC	              SHS	        Y2109Q101  20	   10000   CALL	    Sole	0	0	0	0
EPIQ SYS INC	              COM	        26882D109  1003	   71500   SH	    Sole	0	71500	0	0
EXELON CORP	              COM	        30161N101  4486	   130107  SH	    Sole	0	130107	0	0
EXELON CORP	              COM	        30161N101  3793	   110000  PUT	    Sole	0	0	0	0
FOSTER WHEELER AG	      COM	        H27178104  1152	   50417   SH	    Sole	0	50417	0	0
HASBRO INC	              COM	        418056107  1537	   34980   SH	    Sole	0	34980	0	0
HELEN OF TROY CORP LTD	      COM	        G4388N106  1636	   42638   SH	    Sole	0	42638	0	0
ISHARES TR	              DJ US REAL EST	464287739  3300	   47500   SH	    Sole	0	47500	0	0
ISHARES TR	              RUSSELL 2000	464287655  3950	   41832   SH	    Sole	0	41832	0	0
JOHNSON & JOHNSON	      COM	        478160104  7289	   89407   SH	    Sole	0	89407	0	0
JOHNSON & JOHNSON	      COM	        478160104  5267	   64600   PUT	    Sole	0	0	0	0
KOHLS CORP	              COM	        500255104  1386	   30040   SH	    Sole	0	30040	0	0
KULICKE & SOFFA INDS INC      COM	        501242101  462	   40000   SH	    Sole	0	40000	0	0
L-3 COMMUNICATIONS HLDGS INC  COM	        502424104  1388	   17150   SH	    Sole	0	17150	0	0
LINCOLN ELEC HLDGS INC	      COM	        533900106  442	   8151	   SH	    Sole	0	8151	0	0
MEDIFAST INC	              COM	        58470H101  1834	   80000   PUT	    Sole	0	0	0	0
MENTOR GRAPHICS CORP	      COM	        587200106  1300	   72000   SH	    Sole	0	72000	0	0
METLIFE INC	              COM	        59156R108  1347	   35433   SH	    Sole	0	35433	0	0
MOLSON COORS BREWING CO	      CL B	        60871R209  6543	   133718  SH	    Sole	0	133718	0	0
MOLSON COORS BREWING CO	      CL B	        60871R209  2813	   57500   PUT	    Sole	0	0	0	0
NASDAQ OMX GROUP INC	      COM	        631103108  1041	   32235   SH	    Sole	0	32235	0	0
NETFLIX INC	              COM	        64110L106  2271	   12000   PUT	    Sole	0	0	0	0
OCEAN RIG UDW INC	      SHS	        Y64354205  4350	   270000  SH	    Sole	0	270000	0	0
OCEAN RIG UDW INC	      SHS	        Y64354205  4350	   270000  PUT	    Sole	0	0	0	0
ORACLE CORP	              COM	        68389X105  1702	   52638   SH	    Sole	0	52638	0	0
PALL CORP	              COM	        696429307  682	   9976    SH       Sole	0	9976	0	0
PEPSICO INC	              COM	        713448108  3372	   42628   SH	    Sole	0	42628	0	0
SAIC INC	              COM	        78390X101  1236	   91216   SH	    Sole	0	91216	0	0
SAIC INC	              COM	        78390X101  1084	   80000   PUT	    Sole	0	0	0	0
SANCHEZ ENERGY CORP	      COM	        79970Y105  1295	   65000   SH	    Sole	0	65000	0	0
SPDR GOLD TRUST	              GOLD SHS	        78463V107  1355	   8772	   SH	    Sole	0	8772	0	0
SPDR S^P 500 ETF TR	      TR UNIT	        78462F103  3682	   23500   SH	    Sole	0	23500	0	0
STAPLES INC	              COM	        855030102  1493	   111250  SH	    Sole	0	111250	0	0
SYMANTEC CORP	              COM	        871503108  2200	   89125   SH	    Sole	0	89125	0	0
TE CONNECTIVITY LTD	      REG SHS	        H84989104  1677	   40000   SH	    Sole	0	40000	0	0
TECH DATA CORP	              COM	        878237106  1159	   25433   SH	    Sole	0	25433	0	0
TECH DATA CORP	              COM	        878237106  684	   15000   PUT	    Sole	0	0	0	0
TEVA PHARMACEUTICAL INDS LTD  ADR	        881624209  5978	   150651  SH	    Sole	0	150651	0	0
TEVA PHARMACEUTICAL INDS LTD  ADR	        881624209  4166	   105000  PUT	    Sole	0	0	0	0
VODAFONE GROUP PLC NEW	SPONS ADR NEW	        92857W209  4241	   149347  SH	    Sole	0	149347	0	0
VODAFONE GROUP PLC NEW	SPONS ADR NEW	        92857W209  2840	   100000  PUT	    Sole	0	0	0	0
YOUKU TUDOU INC	SPONSORED     ADR	        98742U100  84	   5000	   PUT	    Sole	0	0	0	0





S REPORT SUMMARY             56 DATA RECORDS                127383  0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED