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Consonance Capital Management LP – ‘13F-HR’ for 9/30/16 – ‘INFO-TABLE’

On:  Monday, 11/14/16, at 8:05am ET   ·   Effective:  11/14/16   ·   For:  9/30/16   ·   Accession #:  1085146-16-4746   ·   File #:  28-14924

Previous ‘13F-HR’:  ‘13F-HR’ on 8/15/16 for 6/30/16   ·   Next:  ‘13F-HR’ on 2/14/17 for 12/31/16   ·   Latest:  ‘13F-HR’ on 11/14/22 for 9/30/22

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  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

11/14/16  Consonance Capital Management LP  13F-HR      9/30/16    2:13K                                    Adv Consultant Netw… Inc

Quarterly Holdings and Combination Report by a Money Manager   —   Form 13F
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 13F-HR      Quarterly Holdings and Combination Report by a      HTML      3K 
                Money Manager -- primary_doc.xml                                 
 2: INFO-TABLE  Description for Information Table --                HTML      3K 
                form13fInfoTable.xml                                             


‘INFO-TABLE’   —   Description for Information Table — form13fInfoTable.xml




        

This ‘INFO-TABLE’ Document is an XML Data File that may be rendered in various formats:

  Information Table    –   Plain Text   –  SEC Website  –  EDGAR System  –    XML Data    –  <?xml?> File
 

 
Plain Text rendering:  Description for Information Table
 
                                                                                                                                                                                
Information Table
 
Info Table:
Name of Issuer:  ADMA BIOLOGICS INC
Title of Class:  COM
CUSIP:  000899-10-4
Value:  9,223
Shrs or Prn Amt:
Ssh Prnamt:  1273933
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  1273933
Shared:  0
None:  0
Info Table:
Name of Issuer:  AKORN INC
Title of Class:  COM
CUSIP:  009728-10-6
Value:  59,972
Shrs or Prn Amt:
Ssh Prnamt:  2200000
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  2200000
Shared:  0
None:  0
Info Table:
Name of Issuer:  AMARIN CORP PLC
Title of Class:  SPONS ADR NEW
CUSIP:  023111-20-6
Value:  78,641
Shrs or Prn Amt:
Ssh Prnamt:  24652380
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  24652380
Shared:  0
None:  0
Info Table:
Name of Issuer:  ANI PHARMACEUTICALS INC
Title of Class:  COM
CUSIP:  00182C-10-3
Value:  43,344
Shrs or Prn Amt:
Ssh Prnamt:  653258
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  653258
Shared:  0
None:  0
Info Table:
Name of Issuer:  ARIAD PHARMACEUTICALS INC
Title of Class:  COM
CUSIP:  04033A-10-0
Value:  119,045
Shrs or Prn Amt:
Ssh Prnamt:  8695742
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  8695742
Shared:  0
None:  0
Info Table:
Name of Issuer:  ATRICURE INC
Title of Class:  COM
CUSIP:  04963C-20-9
Value:  3,667
Shrs or Prn Amt:
Ssh Prnamt:  231926
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  231926
Shared:  0
None:  0
Info Table:
Name of Issuer:  BIOLASE INC
Title of Class:  COM
CUSIP:  090911-10-8
Value:  3,134
Shrs or Prn Amt:
Ssh Prnamt:  1790992
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  1790992
Shared:  0
None:  0
Info Table:
Name of Issuer:  CLOVIS ONCOLOGY INC
Title of Class:  COM
CUSIP:  189464-10-0
Value:  127,310
Shrs or Prn Amt:
Ssh Prnamt:  3531487
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  3531487
Shared:  0
None:  0
Info Table:
Name of Issuer:  EHEALTH INC
Title of Class:  COM
CUSIP:  28238P-10-9
Value:  12,944
Shrs or Prn Amt:
Ssh Prnamt:  1154711
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  1154711
Shared:  0
None:  0
Info Table:
Name of Issuer:  GLOBUS MED INC
Title of Class:  CL A
CUSIP:  379577-20-8
Value:  41,980
Shrs or Prn Amt:
Ssh Prnamt:  1860000
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  1860000
Shared:  0
None:  0
Info Table:
Name of Issuer:  HEALTHSTREAM INC
Title of Class:  COM
CUSIP:  42222N-10-3
Value:  9,407
Shrs or Prn Amt:
Ssh Prnamt:  340847
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  340847
Shared:  0
None:  0
Info Table:
Name of Issuer:  HORIZON PHARMA PLC
Title of Class:  SHS
CUSIP:  G4617B-10-5
Value:  67,061
Shrs or Prn Amt:
Ssh Prnamt:  3698903
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  3698903
Shared:  0
None:  0
Info Table:
Name of Issuer:  IRONWOOD PHARMACEUTICALS INC
Title of Class:  COM CL A
CUSIP:  46333X-10-8
Value:  52,349
Shrs or Prn Amt:
Ssh Prnamt:  3296539
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  3296539
Shared:  0
None:  0
Info Table:
Name of Issuer:  MALLINCKRODT PUB LTD CO
Title of Class:  SHS
CUSIP:  G5785G-10-7
Value:  108,837
Shrs or Prn Amt:
Ssh Prnamt:  1560157
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  1560157
Shared:  0
None:  0
Info Table:
Name of Issuer:  MEDNAX INC
Title of Class:  COM
CUSIP:  58502B-10-6
Value:  43,725
Shrs or Prn Amt:
Ssh Prnamt:  660000
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  660000
Shared:  0
None:  0
Info Table:
Name of Issuer:  MERRIMACK PHARMACEUTICALS IN
Title of Class:  COM
CUSIP:  590328-10-0
Value:  37,784
Shrs or Prn Amt:
Ssh Prnamt:  5950225
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  5950225
Shared:  0
None:  0
Info Table:
Name of Issuer:  MYRIAD GENETICS INC
Title of Class:  COM
CUSIP:  62855J-10-4
Value:  17,485
Shrs or Prn Amt:
Ssh Prnamt:  850000
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  850000
Shared:  0
None:  0
Info Table:
Name of Issuer:  ORTHOFIX INTL N V
Title of Class:  COM
CUSIP:  N6748L-10-2
Value:  27,137
Shrs or Prn Amt:
Ssh Prnamt:  634496
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  634496
Shared:  0
None:  0
Info Table:
Name of Issuer:  RETROPHIN INC
Title of Class:  COM
CUSIP:  761299-10-6
Value:  69,041
Shrs or Prn Amt:
Ssh Prnamt:  3084947
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  3084947
Shared:  0
None:  0
Info Table:
Name of Issuer:  SEASPINE HLDGS CORP
Title of Class:  COM
CUSIP:  81255T-10-8
Value:  2,658
Shrs or Prn Amt:
Ssh Prnamt:  262934
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  262934
Shared:  0
None:  0
Info Table:
Name of Issuer:  UNITED THERAPEUTICS CORP DEL
Title of Class:  COM
CUSIP:  91307C-10-2
Value:  96,672
Shrs or Prn Amt:
Ssh Prnamt:  818700
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  818700
Shared:  0
None:  0
Info Table:
Name of Issuer:  VERACYTE INC
Title of Class:  COM
CUSIP:  92337F-10-7
Value:  1,262
Shrs or Prn Amt:
Ssh Prnamt:  165825
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  165825
Shared:  0
None:  0
Info Table:
Name of Issuer:  VERICEL CORP
Title of Class:  COM
CUSIP:  92346J-10-8
Value:  6,252
Shrs or Prn Amt:
Ssh Prnamt:  2232940
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Other Manager:
Voting Authority:
Sole:  2232940
Shared:  0
None:  0


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