0001367663-12-000003.txt : 20120719
0001367663-12-000003.hdr.sgml : 20120719
20120719141842
ACCESSION NUMBER: 0001367663-12-000003
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 1
CONFORMED PERIOD OF REPORT: 20120630
FILED AS OF DATE: 20120719
DATE AS OF CHANGE: 20120719
EFFECTIVENESS DATE: 20120719
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Mohican Financial Management, LLC
CENTRAL INDEX KEY: 0001367663
IRS NUMBER: 450533557
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-12023
FILM NUMBER: 12969778
BUSINESS ADDRESS:
STREET 1: 21 RAILROAD AVE, SUITE 35
CITY: COOPERSTOWN
STATE: NY
ZIP: 13326
BUSINESS PHONE: 6075471357
MAIL ADDRESS:
STREET 1: 21 RAILROAD AVE, SUITE 35
CITY: COOPERSTOWN
STATE: NY
ZIP: 13326
13F-HR
1
us13famend63012.txt
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: _______June 2012______
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: ____Mohican Financial Management, LLC_______
Address: _____21 Railroad Ave, Suite 35________________
_____Cooperstown, NY 13326_________________
__________________________________________
Form 13F File Number: 28-12023_____
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: ___Eric Hage_______________________________
Title: ___Chief Investment Officer___________________
Phone: ___607.547.1357_____________________________
Signature, Place, and Date of Signing:
____Eric Hage__ ____Cooperstown, NY__ ____July 19, 2012___
Report Type (Check only one.):
[X] 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).)
[ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings
for this reporting manager is reported in this report and a portion is
reported by other reporting manager(s).)
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: _______NONE________
Form 13F Information Table Entry Total: ________59__________
Form 13F Information Table Value Total: ______436,176_________
(thousands)
Name Of Issuer Title of Class
Cusip
Number
Value
(x1000)
Shr/Prn
Amount
SH
PRN
PUT
CALL
Investment
Discretion
Other
Managers Sole Shared Other
AIRTRAN HOLDING 5.25% 11/01/2016
SR UNSECURED CONV Bond
00949PAD0 10,566 8,265,000
SH Sole 8,265,000
ALTRA HOLDINGS INC
CONVERTIBLE SUB NOTE
02208RAE6 8,732 7,100,000
PRN Sole 7,100,000
BARCLAYS BK PLC IPATH S&P 500
NASDAQ OTC ISSUES
06740C519 1,026 22,933
SH Sole 22,933
CACI INTL INC
CONVERTIBLE CORPORATE BONDS
127190AD8 5,536 4,873,000
PRN Sole 4,873,000
CADENCE DESIGN SYS
CONVERTIBLE CORPORATE BONDS
127387AJ7 9,112 5,875,000
PRN Sole 5,875,000
CHARLES RIVER LABORATORIES
CONVERTIBLE CORPORAT
159864AB3 5,025 5,000,000
PRN Sole 5,000,000
CHEMED CORPORATION
CONVERTIBLE CORPORAT
16359RAC7 7,218 7,200,000
PRN Sole 7,200,000
COINSTAR INC
CONVERTIBLE CORPORAT
19259PAF9 3,580 2,000,000
PRN Sole 2,000,000
COMTECH TELECOMMUNICATION
CONVERTIBLE CORPORAT
205826AF7 10,256 9,700,000
PRN Sole 9,700,000
COVANTA HOLDING
CONVERTIBLE CORPORAT
22282EAC6 11,738 10,000,000
PRN Sole 10,000,000
CUBIST PHARMACEUTICALS INC
CONVERTIBLE CORPORATE BONDS
229678AC1 7,762 6,000,000
PRN Sole 6,000,000
CUBIST PHARMACEUTICALS INC
CONVERTIBLE CORPORATE BONDS
229678AD9 6,472 4,500,000
PRN Sole 4,500,000
ENDO PHARMACEUTICALS HLDGS INC
CONVERTIBLE CORPORATE BONDS
29264FAB2 9,856 8,200,000
PRN Sole 8,200,000
EQUINIX INC
CONVERTIBLE CORPORATE BONDS
29444UAG1 13,500 8,000,000
PRN Sole 8,000,000
FEI CO
CONVERTIBLE CORPORATE BONDS
30241LAF6 10,758 6,500,000
PRN Sole 6,500,000
GENCO SHIPPING & TRADING
CONVERTIBLE CORPORAT
36869MAA3 1,373 3,150,000
PRN Sole 3,150,000
GOLDCORP INC
CONVERTIBLE CORPORAT
380956AB8 4,718 4,170,000
PRN Sole 4,170,000
HELIX ENERGY SOLUTIONS
CONVERTIBLE CORPORATE BONDS
42330PAG2 5,219 5,000,000
PRN Sole 5,000,000
HERTZ GLOBAL HLDGS INC
CONVERTIBLE CORPORATE BONDS
42805TAA3 11,130 6,700,000
PRN Sole 6,700,000
HOLOGIC INC
CONVERTIBLE CORPORATE BONDS
436440AB7 3,022 2,873,000
PRN Sole 2,873,000
HOME INNS HTL MNMGMT
CONVERTIBLE CORPORATE BONDS
43713WAB3 4,089 5,250,000
PRN Sole 5,250,000
Insulet Corp
CONVERTIBLE SUB NOTE
45784PAC5 4,054 3,650,000
PRN Sole 3,650,000
IXIA
CONVERTIBLE SUB NOTE
45071RAB5 4,623 4,532,000
PRN Sole 4,532,000
JAKKS PACIFIC INC
CONVERTIBLE SUB NOTE
47012EAD8 6,875 5,700,000
PRN Sole 5,700,000
JINKSOLAR HOLDING CO
CONVERTIBLE CORPORAT
47759TAA8 748 1,500,000
PRN Sole 1,500,000
L-3 COMMUNICATIONS HLDINGS INC
CONVERTIBLE CORPORATE
502113AW7 8,385 8,600,000
PRN Sole 8,600,000
LAM RESEARCH CORP
CONVERTIBLE CORPORATE
512807AJ7 7,700 8,000,000
PRN Sole 8,000,000
MEDIVATION INC
CONVERTIBLE CORPORATE BONDS
58501NAA9 3,896 3,250,000
PRN Sole 3,250,000
MENTOR GRAPHICS CORP
CONVERTIBLE CORPORATE BONDS
587200AK2 9,534 8,900,000
PRN Sole 8,900,000
MOHLINA HEALTHCARE INC
CONVERTIBLE CORPORATE BONDS
60855RAA8 6,615 6,000,000
PRN Sole 6,000,000
MYLAN INC
CONVERTIBLE CORPORATE BONDS
628530AJ6 11,950 6,947,000
PRN Sole 6,947,000
NATIONAL FINANIAL
CONVERTIBLE CORPORATE BONDS
63607PAC3 9,850 8,000,000
PRN Sole 8,000,000
NAVISTAR INTERNATIONAL CORP
CONVERTIBLE CORPORATE BONDS
63934EAL2 4,660 5,000,000
PRN Sole 5,000,000
NETAPP INC
CONVERTIBLE CORPORAT
64110DAB0 10,857 9,500,000
PRN Sole 9,500,000
NUANCE COMMUNICATIONS INC
CONVERTIBLE CORPORATE BONDS
67020YAB6 5,515 4,000,000
PRN Sole 4,000,000
NUVASIVE INC
CONVERTIBLE CORPORATE BONDS
670704AC9 5,423 5,500,000
PRN Sole 5,500,000
ON SEMICONDUCTOR
CONVERTIBLE CORPORATE BONDS
682189AD7 12,890 11,457,000
PRN Sole 11,457,000
ON SEMICONDUCTOR
CONVERTIBLE CORPORATE BONDS
682189AG0 4,636 4,503,000
PRN Sole 4,503,000
PHOTRONICS INC
CONVERTIBLE CORPORATE BONDS
719405AF9 4,242 2,950,000
PRN Sole 2,950,000
PROSHARES TR
COMMON STOCKS
74347R313 1,130 40,000
SH Sole 40,000
RADISYS CORP
CONVERTIBLE CORPORAT
750459AE9 8,963 9,063,000
PRN Sole 9,063,000
RAMBUS INC-DEL
CONVERTIBLE CORPORAT
750917AC0 6,916 7,000,000
PRN Sole 7,000,000
REGIS CORPORATION
CONVERTIBLE CORPORAT
758932AA5 13,817 10,700,000
PRN Sole 10,700,000
ROYAL GOLD CORP
CONVERTIBLE CORPORAT
780287AA6 4,211 4,000,000
PRN Sole 4,000,000
RTI INTERNATIONAL METALS INC
CONVERTIBLE CORPORAT
74973WAA5 8,120 8,000,000
PRN Sole 8,000,000
SALESFORCE.COM INC
CONVERTIBLE CORPORAT
79466LAB0 6,842 4,000,000
PRN Sole 4,000,000
STEEL DYNAMICS INC
CONVERTIBLE CORPORAT
858119AP5 2,613 2,500,000
PRN Sole 2,500,000
SYNNEX CORP
CONVERTIBLE SUB NOTE
87162WAB6 10,799 8,700,000
PRN 8,700,000
TAKE TWO INERACTIVE SOFTWARE
CORPORATE BONDS
874054AA7 10,108 8,750,000
PRN Sole 8,750,000
TELEFLEX INC
CONVERTIBLE CORPORAT
879369AA4 8,094 6,938,000
PRN Sole 6,938,000
TEXTRON INC
CONVERTIBLE CORPORAT
883203BN0 2,884 1,500,000
PRN Sole 1,500,000
TTM TECHNOLOGIES INC
CONVERTIBLE SUB NOTE
87305RAC3 7,962 8,000,000
PRN Sole 8,000,000
TYSON FOODS INC
CONVERTIBLE SUB NOTE
902494AP8 3,638 3,000,000
PRN Sole 3,000,000
UNITED RENTALS INC.
CONVERTIBLE CORPORAT
911363AL3 20,632 6,620,000
PRN Sole 6,620,000
VIRGIN MEDIA INC
CONVERTIBLE CORPORATE BONDS
92769LAB7 14,205 9,500,000
PRN Sole 9,500,000
VIROPHARMA INC
CONVERTIBLE CORPORAT
928241AH1 13,285 9,374,000
PRN Sole 9,374,000
VOLCANO CORP
CONVERTIBLE CORPORAT
928645AA8 9,147 7,572,000
PRN Sole 7,572,000
WABASH NATIONAL CORP
CONVERTIBLE CORPORAT
929566AH0 4,819 5,000,000
PRN Sole 5,000,000
WEBMD HEALTH CORP
CONVERTIBLE CORPORAT
94770VAH5 4,852 5,175,000
PRN Sole 5,175,000
Rows - 59
Number of other managers - 0