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Holdings
Versant Affiliates Fund II-A, LP
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Portfolio as of:
Most recent
Name
Ticker
Class
Shares
Change
Value
Change
% Port
% OS
Hist
Date
CADENCE PHARMACEUTICALS INC
CADX
COM
5,501,363
30,000
26,351,529
-14,957,262
Hist
12/31/2012
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