kl05084.htm


 
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C.  20549
 
SCHEDULE 13D
(Rule 13d-101)
Amendment No. 1

INFORMATION TO BE INCLUDED IN STATEMENTS FILED PURSUANT TO RULE 13d-1(a) AND AMENDMENTS THERETO FILED PURSUANT TO RULE 13d-2(a)
 
Ion Media Networks, Inc.
(Name of Issuer)
 
Class A Common Stock, $0.001 Par Value Per Share
(Title of Class of Securities)
 
46205A103
(CUSIP Number)
 
Abbe L. Dienstag, Esq.
Kramer Levin Naftalis & Frankel LLP
1177 Avenue of the Americas
New York, New York 10036
 (Name, Address and Telephone Number of
Person Authorized to Receive Notices
and Communications)
 
May 23, 2007
(Date of Event which Requires Filing
of this Statement)
 
 
If the filing person has previously filed a statement on Schedule 13G to report the acquisition which is the subject of this Schedule 13D, and is filing this schedule because of Rule 13d-1(e), 13d-1(f), or 13d-1(g), check the following box:  o.
 
 
 

 
 
SCHEDULE 13D
CUSIP No. 46205A103

1)            NAME OF REPORTING PERSON
S.S. OR I.R.S. IDENTIFICATION NO. OF ABOVE PERSON
Contrarian Capital Management, L.L.C.
 ___________________________________________________________________________________
2)    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP    (a) o
                              (b) x
___________________________________________________________________________________
3)    SEC USE ONLY
___________________________________________________________________________________   
4)    SOURCE OF FUNDS  AF
___________________________________________________________________________________
5)
CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO
ITEMS 2(d) OR 2(e)
o
___________________________________________________________________________________
6)    CITIZENSHIP OR PLACE OF ORGANIZATION
Delaware
___________________________________________________________________________________
7)           SOLE VOTING POWER
NUMBER OF                                                                none
SHARES                                    ____________________________________________________________
BENEFICIALLY                                   8)           SHARED VOTING POWER
OWNED BY                                                                   none
EACH                                          ____________________________________________________________
REPORTING                                         9)           SOLE DISPOSITIVE POWER
PERSON                                                                         none
WITH                                           ____________________________________________________________
10)           SHARED DISPOSITIVE POWER
                  none
___________________________________________________________________________________
11)
AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
none
___________________________________________________________________________________
12)
CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES
o
___________________________________________________________________________________
13)           PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
none
___________________________________________________________________________________
14)           TYPE OF REPORTING PERSON
OO, IA
___________________________________________________________________________________
­                                                                                                                                          
 
 
 

 
 
SCHEDULE 13D
 
CUSIP No. 46205A103

1)             NAME OF REPORTING PERSON
S.S. OR I.R.S. IDENTIFICATION NO. OF ABOVE PERSON
Contrarian Capital Fund I, L.P.
 __________________________________________________________________________________
2)    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP  (a) o
                                (b) x
___________________________________________________________________________________
3)    SEC USE ONLY
___________________________________________________________________________________   
4)    SOURCE OF FUNDS  WC
___________________________________________________________________________________
5)
CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO
ITEMS 2(d) OR 2(e)
o
___________________________________________________________________________________
6)    CITIZENSHIP OR PLACE OF ORGANIZATION
Delaware
___________________________________________________________________________________
7)           SOLE VOTING POWER
NUMBER OF                                                                none
SHARES                                    ____________________________________________________________
BENEFICIALLY                                   8)           SHARED VOTING POWER
OWNED BY                                                                 none
EACH                                           ____________________________________________________________
REPORTING                                         9)           SOLE DISPOSITIVE POWER
PERSON                                                                        none
WITH                                           ____________________________________________________________
10)           SHARED DISPOSITIVE POWER
         none
____________________________________________________________________________________
11)
AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
 
                none
 
______________________________________________________________________________
12)
CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES
o
_____________________________________________________________________________________
13)           PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
none
_____________________________________________________________________________________
14)           TYPE OF REPORTING PERSON
PN
_____________________________________________________________________________________
 
 
 

 

SCHEDULE 13D
 
CUSIP No. 46205A103

1)             NAME OF REPORTING PERSON
S.S. OR I.R.S. IDENTIFICATION NO. OF ABOVE PERSON
Contrarian Equity Fund, L.P.
 ___________________________________________________________________________________
2)    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP    (a)  o
                                             (b) x
___________________________________________________________________________________
3)    SEC USE ONLY
___________________________________________________________________________________   
4)    SOURCE OF FUNDS  WC
___________________________________________________________________________________
5)
CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO
ITEMS 2(d) OR 2(e)
o
___________________________________________________________________________________
6)    CITIZENSHIP OR PLACE OF ORGANIZATION
Delaware
___________________________________________________________________________________
7)           SOLE VOTING POWER
NUMBER OF                                                                none
SHARES                                    ____________________________________________________________
BENEFICIALLY                                   8)           SHARED VOTING POWER
OWNED BY                                                                   none
EACH                                           ____________________________________________________________
REPORTING                                         9)           SOLE DISPOSITIVE POWER
PERSON                                                                         none
WITH                                           ____________________________________________________________
10)           SHARED DISPOSITIVE POWER
       none
___________________________________________________________________________________
11)           AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
none
___________________________________________________________________________________
12)           CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES        o
___________________________________________________________________________________
13)           PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
none
___________________________________________________________________________________
14)           TYPE OF REPORTING PERSON
PN
___________________________________________________________________________________
­                                                                                                      
                                    
 

 
 
SCHEDULE 13D
 
CUSIP No. 46205A103

1)             NAME OF REPORTING PERSON
S.S. OR I.R.S. IDENTIFICATION NO. OF ABOVE PERSON
Contrarian Long Short, L.P.
 ___________________________________________________________________________________
2)    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP   (a)  o
                             (b) x
___________________________________________________________________________________
3)    SEC USE ONLY
___________________________________________________________________________________   
4)    SOURCE OF FUNDS  WC
___________________________________________________________________________________
5)
CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO
ITEMS 2(d) OR 2(e)
o
___________________________________________________________________________________
6)    CITIZENSHIP OR PLACE OF ORGANIZATION
Delaware
___________________________________________________________________________________
7)           SOLE VOTING POWER
NUMBER OF                                                                none
SHARES                                     ____________________________________________________________
BENEFICIALLY                                   8)           SHARED VOTING POWER
OWNED BY                                                                   none
EACH                                           ____________________________________________________________
REPORTING                                         9)           SOLE DISPOSITIVE POWER
PERSON                                                                         none
WITH                                           ____________________________________________________________
10)           SHARED DISPOSITIVE POWER
none
___________________________________________________________________________________
11)           AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
none
____________________________________________________________________________________
12)
CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES
o
____________________________________________________________________________________
13)           PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
none
____________________________________________________________________________________
14)           TYPE OF REPORTING PERSON
PN­                                                                                                                                          
____________________________________________________________________________________
 
 
 

 
 
SCHEDULE 13D
 
CUSIP No. 46205A103

1)             NAME OF REPORTING PERSON
S.S. OR I.R.S. IDENTIFICATION NO. OF ABOVE PERSON
Litespeed Management LLC
 ___________________________________________________________________________________
2)    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP    (a) o
                              (b) x
___________________________________________________________________________________
3)    SEC USE ONLY
___________________________________________________________________________________   
4)    SOURCE OF FUNDS  AF
___________________________________________________________________________________
5)
CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO
ITEMS 2(d) OR 2(e)
o
___________________________________________________________________________________
6)    CITIZENSHIP OR PLACE OF ORGANIZATION
Delaware
___________________________________________________________________________________
7)           SOLE VOTING POWER
NUMBER OF                                                                none
SHARES                                     ____________________________________________________________
BENEFICIALLY                                   8)           SHARED VOTING POWER
OWNED BY                                                                   none
EACH                                           ____________________________________________________________
REPORTING                                         9)           SOLE DISPOSITIVE POWER
PERSON                                                                         none
WITH                                           ____________________________________________________________
10)           SHARED DISPOSITIVE POWER
       none
___________________________________________________________________________________
11)           AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
            none
___________________________________________________________________________________
12)
CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES
o
___________________________________________________________________________________
13)           PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
none
___________________________________________________________________________________
14)           TYPE OF REPORTING PERSON
OO, IA
___________________________________________________________________________________
 
 
 

 
­                                                                                                                                          
SCHEDULE 13D
CUSIP No. 46205A103

1)             NAME OF REPORTING PERSON
S.S. OR I.R.S. IDENTIFICATION NO. OF ABOVE PERSON
Litespeed Master Fund, Ltd.
 _____________________________________________________________________________________
2)    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP  (a) o
                                (b) x
_____________________________________________________________________________________
3)    SEC USE ONLY
_____________________________________________________________________________________   
4)    SOURCE OF FUNDS  WC
_____________________________________________________________________________________
5)
CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO
ITEMS 2(d) OR 2(e)
o
_____________________________________________________________________________________
6)    CITIZENSHIP OR PLACE OF ORGANIZATION
Cayman Islands
_____________________________________________________________________________________
7)           SOLE VOTING POWER
NUMBER OF                                                                none
SHARES                                     ______________________________________________________________
BENEFICIALLY                                   8)           SHARED VOTING POWER
OWNED BY                                                                   none
EACH                                           ______________________________________________________________
REPORTING                                         9)           SOLE DISPOSITIVE POWER
PERSON                                                                         none
WITH                                           ______________________________________________________________
10)           SHARED DISPOSITIVE POWER
          none
_____________________________________________________________________________________
11)
AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
 
            none
 
______________________________________________________________________________
12)
CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES
o
_____________________________________________________________________________________
13)           PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
none
_____________________________________________________________________________________
14)           TYPE OF REPORTING PERSON
CO­
_____________________________________________________________________________________
 
 
 


 
 
SCHEDULE 13D
CUSIP No. 46205A103

1)           NAME OF REPORTING PERSON
S.S. OR I.R.S. IDENTIFICATION NO. OF ABOVE PERSON
Ore Hill Partners LLC
 ______________________________________________________________________________________
2)    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP  (a) o
                            (b) x
______________________________________________________________________________________
3)    SEC USE ONLY
______________________________________________________________________________________   
4)    SOURCE OF FUNDS  AF
______________________________________________________________________________________
5)
CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO
ITEMS 2(d) OR 2(e)
o
______________________________________________________________________________________
6)    CITIZENSHIP OR PLACE OF ORGANIZATION
Delaware
______________________________________________________________________________________
7)           SOLE VOTING POWER
NUMBER OF                                                                none
SHARES                                    _______________________________________________________________
BENEFICIALLY                                   8)           SHARED VOTING POWER
OWNED BY                                                                  838,160*
EACH                                           ______________________________________________________________
REPORTING                                          9)           SOLE DISPOSITIVE POWER
PERSON                                                                          none
WITH                                           ______________________________________________________________
10)           SHARED DISPOSITIVE POWER
838,160*
_____________________________________________________________________________________
11)
AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
 
        838,160*
 
______________________________________________________________________________
12)
CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES
o
_____________________________________________________________________________________
13)           PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
1.3%
_____________________________________________________________________________________
14)           TYPE OF REPORTING PERSON
OO,IA
_____________________________________________________________________________________
 
­                                                                                                                                          
 
*  Other than 4,410 shares of common stock, represents shares issuable upon conversion of 9 ¾% Series A Convertible Preferred Stock.
 
 
 

 
 
 SCHEDULE 13D
CUSIP No. 46205A103

1)             NAME OF REPORTING PERSON
S.S. OR I.R.S. IDENTIFICATION NO. OF ABOVE PERSON
Ore Hill Hub Fund Ltd.
 ___________________________________________________________________________________
2)    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP  (a)  o
                                   (b) x
___________________________________________________________________________________
3)    SEC USE ONLY
___________________________________________________________________________________   
4)    SOURCE OF FUNDS  WC
___________________________________________________________________________________
5)
CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO
ITEMS 2(d) OR 2(e)
o
___________________________________________________________________________________
6)    CITIZENSHIP OR PLACE OF ORGANIZATION
Cayman Islands
___________________________________________________________________________________
7)           SOLE VOTING POWER
NUMBER OF                                                                none
SHARES                                     ____________________________________________________________
BENEFICIALLY                                   8)           SHARED VOTING POWER
OWNED BY                                                                  807,535*
EACH                                           ____________________________________________________________
REPORTING                                         9)           SOLE DISPOSITIVE POWER
PERSON                                                                           none
WITH                                           ____________________________________________________________
10)           SHARED DISPOSITIVE POWER
                807,535
___________________________________________________________________________________
11)
AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
807,535*
 
____________________________________________________________________________
12)
CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES
o
___________________________________________________________________________________
13)           PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
1.2%
___________________________________________________________________________________
14)           TYPE OF REPORTING PERSON
CO
___________________________________________________________________________________
   
 
*  Other than 4,410 shares of common stock, represents shares issuable upon conversion of 9 ¾% Series A Convertible Preferred Stock.
 
 
 
 

 
 
SCHEDULE 13D
 
CUSIP No. 46205A103

1)           NAME OF REPORTING PERSON
S.S. OR I.R.S. IDENTIFICATION NO. OF ABOVE PERSON
Kinney Hill Credit Opportunities Fund, Ltd.
 ___________________________________________________________________________________
2)    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP  (a)  o
                                (b) x
___________________________________________________________________________________
3)    SEC USE ONLY
___________________________________________________________________________________   
4)    SOURCE OF FUNDSWC
___________________________________________________________________________________
5)
CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO
ITEMS 2(d) OR 2(e)
o
___________________________________________________________________________________
6)    CITIZENSHIP OR PLACE OF ORGANIZATION
Cayman Islands
___________________________________________________________________________________
7)           SOLE VOTING POWER
NUMBER OF                                                                none
SHARES                                     ____________________________________________________________
BENEFICIALLY                                   8)           SHARED VOTING POWER
OWNED BY                                                                   30,625*
EACH                                           ____________________________________________________________
REPORTING                                         9)           SOLE DISPOSITIVE POWER
PERSON                                                                        none
WITH                                           ____________________________________________________________
10)           SHARED DISPOSITIVE POWER
30,625*
____________________________________________________________________________________
11)
AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
30,625*
____________________________________________________________________________________
12)
CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES
o
____________________________________________________________________________________
13)           PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
0.05%
____________________________________________________________________________________
14)           TYPE OF REPORTING PERSON
CO
____________________________________________________________________________________
 
 
*  Represents shares issuable upon conversion of 9 ¾% Series A Convertible Preferred Stock.
 
 
 

 
 
This Amendment No. 1 amends and supplements the Schedule 13D filed with the Securities and Exchange Commission (the “SEC”) on May 14, 2007 (the “Statement”) by and on behalf of Contrarian Capital Management, L.L.C. (“Contrarian Capital Management”), Contrarian Capital Fund I, L.P. (“Contrarian Capital Fund I”), Contrarian Equity Fund, L.P. (“Contrarian Equity Fund”), Contrarian Long Short, L.P. (“Contrarian Long Short”), Litespeed Management LLC (“Litespeed Management”), Litespeed Master Fund, Ltd. (“Litespeed Master Fund”), Ore Hill Partners LLC (“Ore Hill Partners”), Ore Hill Hub Fund Ltd. (“Ore Hill Hub Fund”) and Kinney Hill Credit Opportunities Fund, Ltd. (“Kinney Hill”) (collectively, the “Reporting Persons”) with respect to the Class A Common Stock, $0.001 par value per share (the “Common Stock”), of ION Media Networks, Inc., a Delaware corporation (the “Company”).  The principal executive offices of the Company are located at 601 Clearwater Park Road, West Palm Beach, Florida 33401.

Item 4.                    Purpose of Transaction.
 
Item 4 of the Statement is hereby amended and supplemented as follows:

In light of developments concerning the Company, Citadel and NBC Universal, the Reporting Persons have ceased to act together as an ad hoc committee.


 Item 5.                   Interest in Securities of the Issuer.

Items 5(a) - (c) of the Statement are hereby amended and restated as follows:

(a)  Ore Hill Partners may be deemed to be the beneficial owner of (i) 4,410 shares of Common Stock and (ii) 838,160 shares of Common Stock issuable upon conversion of 1,334 shares of 9 ¾% Preferred Stock, constituting approximately 1.3%2 of the Common Stock outstanding, held as follows:
 
   
Shares of Common Stock
   
Shares of 9/34% Preferred Stock
   
Common Stock Issuable on Conversion1
   
Total Common Stock
   
Percentage of Outstanding Shares2
 
                               
Ore Hill Hub Fund
   
4,410
     
1,285
     
803,125
     
807,535
      1.2 %
                                         
Kinney Hill Fund
   
0
     
49
     
30,625
     
30,625
      0.05 %

 
(b)           Ore Hill Partners may be deemed to have sole voting and dispositive power over the Securities held by Ore Hill Hub Fund and Kinney Hill.
 
 
-------------------------------------
 
1 Each share of 9 ¾% Preferred Stock is convertible into 625 shares of Common Stock.
 
2 Based upon 65,377,185  shares of Common Stock outstanding as of May 4, 2007, as reported in the Company’s Form 10-Q for the three months ended March 31, 2007.
 
 
 

 
 
 
(c)           Except as set forth on Schedule I, no person identified in Item 2 has effected any transaction in shares of Common Stock or 9 ¾% Preferred Stock since the filing of the Statement.
 
              Item 5(e) of the Statement is hereby amended and restated as follows:

                      (e)  The Reporting Persons have ceased to act together as an ad hoc committee.  See Item 4.  No Reporting Person may be deemed to own in excess of 5% of the outstanding shares, and the Reporting Persons do not intend to file any further amendments to this Schedule 13D.

 
 
 
 

 

 
 SIGNATURES
 
 
After reasonable inquiry and to the best knowledge and belief of the undersigned, the undersigned certify that the information set forth in this Statement is true, complete and correct.
 

Dated:  May 30, 2007
 
                    CONTRARIAN CAPITAL MANAGEMENT, L.L.C.
                    By: /s/ Jon R. Bauer                                               
                    Name: Jon R. Bauer
                    Title: Managing Manager 

                    CONTRARIAN CAPITAL FUND I, L.P.
                    By: /s/ Jon R. Bauer                                               
                    Name: Jon R. Bauer
                    Title:   Managing Member of General Partner
 
                 CONTRARIAN EQUITY FUND, L.P.
                     By: /s/ Jon R. Bauer                                               
                     Name: Jon R. Bauer
                     Title:   Managing Member of General Partner
 
                         CONTRARIAN LONG SHORT, L.P.
                     By: /s/ Jon R. Bauer                                               
                     Name: Jon R. Bauer
                     Title:   Managing Member of General Partner

                    LITESPEED MANAGEMENT LLC
                    By: /s/ Jamie Zimmerman                                               
                    Name: Jamie Zimmerman
                    Title:   Managing Member

                    LITESPEED MASTER FUND, LTD.
                    By: /s/ Jamie Zimmerman                                               
                    Name: Jamie Zimmerman
                    Title: Managing Director 

                    ORE HILL PARTNERS LLC,
                    INDIVIDUALLY AND ON BEHALF OF
                    ORE HILL HUB FUND LTD. AND
                    KINNEY HILL CREDIT OPPORTUNITIES FUND, LTD.
                    By: /s/ Claude A. Baum                                               
                    Name: Claude A. Baum
                    Title: General Counsel  
 
 
 
 

 
 
 
SCHEDULE I
 
Transactions in shares of 9 ¾% Preferred Stock by the Reporting Persons since the filing of the Statement.1
 
Contrarian Capital–Managed Accounts

Date of Trade
Number of Shares
Price Per Share
Total Amount2
5/18/2007
(1)
$4,950
$(4,950)
5/18/2007
(2)
4,950
(9,900)
5/18/2007
(2)
4,950
(9,900)
5/18/2007
(2)
4,950
(9,900)
5/18/2007
(18)
4,950
(89,100)
5/18/2007
(4)
4,950
(19,800)
5/18/2007
(7)
4,950
(34,650)
5/18/2007
(1)
4,950
(4,950)
5/18/2007
(1)
4,950
(4,950)
5/18/2007
(1)
4,950
(4,950)
5/18/2007
(1)
4,950
(4,950)
5/18/2007
(20)
4,950
(99,000)
5/18/2007
(2)
4,950
(9,900)
5/18/2007
(3)
4,950
(14,850)
5/18/2007
(1)
4,950
(4,950)
5/18/2007
(6)
4,950
(29,700)
5/18/2007
(1)
4,950
(4,950)
5/22/2007
(2)
4,900
(9,800)
5/22/2007
(1)
4,900
(4,900)
5/22/2007
(24)
4,900
(117,600)
5/22/2007
(14)
4,900
(68,600)
5/22/2007
(4)
4,900
(19,600)
5/22/2007
(2)
4,900
(9,800)
5/22/2007
(7)
4,900
(34,300)
5/22/2007
(4)
4,900
(19,600)
5/22/2007
(1)
4,900
(4,900)
5/22/2007
(1)
4,900
(4,900)
5/22/2007
(24)
4,900
(117,600)
5/22/2007
(14)
4,900
(68,600)
5/22/2007
(4)
4,900
(19,600)
5/22/2007
(2)
4,900
(9,800)
5/22/2007
(1)
4,900
(4,900)
5/22/2007
(8)
4,900
(39,200)
5/22/2007
(5)
4,900
(24,500)
5/22/2007
(1)
4,900
(4,900)
5/23/2007
(1)
4,975
(4,975)
5/23/2007
(1)
4,900
(4,900)
5/23/2007
(1)
4,900
(4,900)
5/23/2007
(1)
4,900
(4,900)
 
 
 
 


Date of Trade
Number of Shares
Price Per Share
Total Amount2
5/23/2007
(2)
4,900
(9,800)
5/23/2007
(19)
4,975
(94,525)
5/23/2007
(13)
4,900
(63,700)
5/23/2007
(6)
4,900
(29,400)
5/23/2007
(6)
4,900
(29,400)
5/23/2007
(14)
4,975
(69,650)
5/23/2007
(11)
4,975
(54,725)
5/23/2007
(7)
4,900
(34,300)
5/23/2007
(12)
4,900
(58,800)
5/23/2007
(2)
4,900
(9,800)
5/23/2007
(38)
4,900
(186,200)
5/23/2007
(1)
4,900
(4,900)
5/23/2007
(3)
4,975
(14,925)
5/23/2007
(1)
4,900
(4,900)
5/23/2007
(2)
4,900
(9,800)
5/23/2007
(1)
4,975
(4,975)
5/23/2007
(3)
4,975
(14,925)
5/23/2007
(1)
4,900
(4,900)
5/23/2007
(2)
4,900
(9,800)
5/23/2007
(5)
4,900
(24,500)
5/23/2007
(5)
4,975
(24,875)
5/23/2007
(3)
4,900
(14,700)
5/23/2007
(2)
4,900
(9,800)
5/23/2007
(2)
4,900
(9,800)
5/23/2007
(4)
4,975
(19,900)
5/23/2007
(4)
4,975
(19,900)
5/23/2007
(2)
4,900
(9,800)
5/23/2007
(4)
4,900
(19,600)
5/23/2007
(12)
4,900
(58,800)
5/23/2007
(1)
4,900
(4,900)
5/23/2007
(1)
4,900
(4,900)
5/23/2007
(1)
4,975
(4,975)
5/23/2007
(1)
4,900
(4,900)
5/23/2007
(5)
4,900
(24,500)
5/23/2007
(10)
4,900
(49,000)
5/23/2007
(10)
4,900
(49,000)
5/23/2007
(18)
4,975
(89,550)
5/23/2007
(7)
4,975
(34,825)
5/23/2007
(25)
4,900
(122,500)
5/23/2007
(2)
4,900
(9,800)
5/23/2007
(2)
4,900
(9,800)
5/23/2007
(1)
4,900
(4,900)
5/23/2007
(2)
4,900
(9,800)
5/23/2007
(2)
4,975
(9,950)
5/23/2007
(1)
4,975
(4,975)
5/23/2007
(4)
4,900
(19,600)
5/23/2007
(2)
4,900
(9,800)
5/23/2007
(4)
4,900
(19,600)
5/23/2007
(5)
4,975
(24,875)
 
 
 

 
 
Date of Trade
Number of Shares
Price Per Share
Total Amount2
5/23/2007
(2)
4,975
(9,950)
5/23/2007
(8)
4,900
(39,200)
5/23/2007
(1)
4,900
(4,900)
5/24/2007
(0.00480)
4,900
(23.52)
5/24/2007
(0.09741)
4,900
(477.29)
5/24/2007
(0.09988)
4,900
(489.40)
5/24/2007
(0.00321)
4,900
(15.73)
5/24/2007
(0.10231)
4,900
(501.30)
5/24/2007
(1.19417)
4,900
(5,851.45)
5/24/2007
(0.08503)
4,900
(416.65)
5/24/2007
(1.15212)
4,900
(5,645.38)
5/24/2007
(1.12632)
4,900
(5,518.98)
5/24/2007
(0.10914)
4,900
(534.81)
5/24/2007
(0.01927)
4,900
(94.41)
5/24/2007
(0.39074)
4,900
(1,914.61)
5/24/2007
(0.40025)
4,900
(1,961.22)
5/24/2007
(0.39074)
4,900
(1,914.61)
5/24/2007
(0.01742)
4,900
(85.36)
5/24/2007
(0.01640)
4,900
(80.38)
5/24/2007
(0.37300)
4,900
(1,827.69)
5/24/2007
(0.35197)
4,900
(1,724.64)
5/24/2007
(0.01269)
4,900
(62.18)
5/24/2007
(0.17051)
4,900
(835.48)
5/24/2007
(0.17051)
4,900
(835.48)
5/24/2007
(0.17911)
4,900
(877.63)
5/24/2007
(0.02562)
4,900
(125.56)
5/24/2007
(1.22020)
4,900
(5,979.00)
5/24/2007
(1.20666)
4,900
(5,912.62)
5/24/2007
(1.08155)
4,900
(5,299.58)
5/24/2007
(0.00430)
4,900
(21.06)
5/24/2007
(0.03955)
4,900
(193.79)
5/24/2007
(0.55475)
4,900
(2,718.26)
5/24/2007
(0.55609)
4,900
(2,724.83)
5/24/2007
(0.55475)
4,900
(2,718.26)
5/24/2007
(0.73666)
4,900
(3,609.63)
5/24/2007
(0.74273)
4,900
(3,639.37)
5/24/2007
(0.00135)
4,900
(6.63)

 
Contrarian Capital Fund I, L.P.

Date of Trade
Number of Shares
Price Per Share
Total Amount2
5/18/2007
(16)
$4,950
$(79,200)
5/18/2007
(15)
4,950
(74,250)
5/18/2007
(15)
4,950
(74,250)
5/18/2007
(102)
4,950
(504,900)
5/18/2007
(10)
4,950
(49,500)
 
 
 

 
 
Date of Trade
Number of Shares
Price Per Share
Total Amount2
5/18/2007
(10)
4,950
(49,500)
5/18/2007
(10)
4,950
(49,500)
5/18/2007
(110)
4,950
(544,500)
5/18/2007
(11)
4,950
(54,450)
5/22/2007
(147)
4,900
(720,300)
5/22/2007
(89)
4,900
(436,100)
5/22/2007
(150)
4,900
(735,000)
5/22/2007
(90)
4,900
(441,000)
5/23/2007
(118)
4,975
(587,050)
5/23/2007
(32)
4,900
(156,800)
5/23/2007
(33)
4,900
(161,700)
5/23/2007
(82)
4,900
(401,800)
5/23/2007
(28)
4,975
(139,300)
5/23/2007
(118)
4,975
(587,050)
5/23/2007
(36)
4,900
(176,400)
5/23/2007
(81)
4,900
(396,900)
5/23/2007
(10)
4,900
(49,000)
5/23/2007
(227)
4,900
(1,112,300)
5/23/2007
(16)
4,900
(78,400)
5/23/2007
(1)
4,900
(4,900)
5/23/2007
(59)
4,900
(289,100)
5/23/2007
(91)
4,900
(445,900)
5/23/2007
(95)
4,975
(472,625)
5/23/2007
(56)
4,975
(278,600)
5/23/2007
(162)
4,900
(793,800)
5/23/2007
(9)
4,900
(44,100)
5/23/2007
(10)
4,900
(49,000)
5/24/2007
(0.58199)
4,900
(2,851.76)
5/24/2007
(0.41185)
4,900
(2,018.08)
5/24/2007
(0.38277)
4,900
(1,875.56)
5/24/2007
(0.00479)
4,900
(23.48)
5/24/2007
(0.19660)
4,900
(963.32)
5/24/2007
(0.17532)
4,900
(859.06)
5/24/2007
(0.75212)
4,900
(3,685.40)
5/24/2007
(0.00926)
4,900
(45.39)
5/24/2007
(0.35255)
4,900
(1,727.50)
5/24/2007
(0.02111)
4,900
(103.46)

 
Contrarian Equity Fund, L.P.

Date of Trade
Number of Shares
Price Per Share
Total Amount2
5/18/2007
 (4)
4,950
 (19,800)
5/18/2007
 (4)
4,950
 (19,800)
5/18/2007
 (4)
4,950
 (19,800)
5/18/2007
 (21)
4,950
 (103,950)
5/18/2007
 (2)
4,950
(9,900)
5/18/2007
 (2)
4,950
(9,900)
 
 
 

 
Date of Trade
Number of Shares
Price Per Share
Total Amount2
5/18/2007
 (2)
4,950
(9,900) 
5/18/2007
 (24)
4,950
 (118,800)
5/22/2007
 (33)
4,900
 (161,700)
5/22/2007
 (20)
4,900
 (98,000)
5/22/2007
 (8)
4,900.488
(39,203.9)
5/22/2007
 (22)
4,899.823
 (107,796)
5/22/2007
(18)
4,900
 (88,200)
5/23/2007
 (27)
4,975
 (134,325)
5/23/2007
(33)
4,900
(161,700)
5/23/2007
(10)
4,975
(49,750)
5/23/2007
(7)
4,975
(34,825)
5/23/2007
(16)
4,975
(79,600)
5/23/2007
(14)
4,900
(68,600)
5/23/2007
(10)
4,900
(49,000)
5/23/2007
(1)
4,900
(4,900)
5/23/2007
(4)
4,900
(19,600)
5/23/2007
(16)
4,900
(78,400)
5/23/2007
(36)
4,900
(176,400)
5/23/2007
(22)
4,900
(107,800)
5/23/2007
(8)
4,900
(39,200)
5/23/2007
(9)
4,975
(44,775)
5/23/2007
(20)
4,975
(99,500)
5/23/2007
(4)
4,900
(19,600)
5/23/2007
(28)
4,900
 (137,200)
5/23/2007
(1)
4,900
(4,900)
5/23/2007
(2)
4,900
(9,800)
5/24/2007
(0.57537)
4,900
(2,819.30)
5/24/2007
(0.02654)
4,900
(130.03)
5/24/2007
(0.05019)
4,900
(245.91)
5/24/2007
(0.51064)
4,900
(2,502.16)
5/24/2007
(0.01237)
4,900
(60.61)
5/24/2007
(0.53995)
4,900
(2,645.74)
5/24/2007
(0.65384)
4,900
(3,203.81)
5/24/2007
(0.47549)
4,900
(2,329.88)
5/24/2007
(0.00196)
4,900
(9.62)
5/24/2007
(0.00782)
4,900
(38.34)
5/24/2007
(0.38987)
4,900
(1,910.38)
5/24/2007
(0.32112)
4,900
(1,573.47)
5/24/2007
(0.55513)
4,900
(2,720.12)
 
Contrarian Long Short, L.P.

Date of Trade
Number of Shares
Price Per Share
Total Amount2
5/18/2007
 (4)
 $4,950
 $(19,800)
5/18/2007
 (3)
 4,950
 (14,850)
5/18/2007
 (3)
 4,950
 (14,850)
5/18/2007
 (23)
 4,950
 (113,850)
 
 



 
Date of Trade
Number of Shares
Price Per Share
Total Amount2
5/18/2007
 (2)
 4,950
 (9,900)
5/18/2007
 (2)
 4,950
 (9,900)
5/18/2007
 (2)
 4,950
 (9,900)
5/18/2007
 (26)
 4,950
 (128,700)
5/22/2007
 (33)
4,899.925
 (161,698)
5/22/2007
 (20)
4,899.925
(97,998.5)
5/22/2007
 (2)
4,899.925
(9,799.85)
5/22/2007
 (31)
4,899.925
 (151,898)
5/22/2007
 (18)
4,899.925
(88,198.7)
5/23/2007
 (27)
 4,975
 (134,325)
5/23/2007
 (21)
 4,900
 (102,900)
5/23/2007
 (8)
 4,900
 (39,200)
5/23/2007
 (4)
 4,900
 (19,600)
5/23/2007
 (24)
 4,975
 (119,400)
5/23/2007
 (10)
 4,975
 (49,750)
5/23/2007
 (11)
 4,900
 (53,900)
5/23/2007
 (16)
 4,900
 (78,400)
5/23/2007
 (2)
 4,900
 (9,800)
5/23/2007
 (52)
 4,900
 (254,800)
5/23/2007
 (4)
 4,900
 (19,600)
5/23/2007
 (11)
 4,900
 (53,900)
5/23/2007
 (15)
 4,900
 (73,500)
5/23/2007
 (8)
 4,900
 (39,200)
5/23/2007
 (28)
 4,975
 (139,300)
5/23/2007
 (6)
 4,975
 (29,850)
5/23/2007
 (36)
 4,900
 (176,400)
5/23/2007
 (2)
 4,900
 (9,800)
5/23/2007
 (2)
 4,900
 (9,800)
5/24/2007
(0.02596)
 4,900
 (127.21)
5/24/2007
(0.54035)
 4,900
(2,647.73)
5/24/2007
(0.58857)
 4,900
(2,883.99)
5/24/2007
(0.01201)
 4,900
 (58.83)
5/24/2007
(0.49267)
 4,900
(2,414.08)
5/24/2007
(0.10058)
 4,900
 (492.85)
5/24/2007
(0.09446)
 4,900
 (462.86)
5/24/2007
(0.99485)
 4,900
(4,874.76)
5/24/2007
(0.02240)
 4,900
 (109.75)
5/24/2007
(0.91926)
 4,900
(4,504.38)
5/24/2007
(0.00410)
 4,900
 (20.09)
 
Litespeed Master Fund

Date of Trade
Number of Shares
Price Per Share
Total Amount2
5/16/2007
(200)
$  4,750
$   (950,000)
5/17/2007
(250)
4,750
(1,187,500)
 
 
 

 
 
 
 
Date of Trade
Number of Shares
Price Per Share
Total Amount2
5/17/2007
(100)
4,850
(485,000)
5/18/2007
(100)
4,900
(490,000)
5/21/2007
(200)
4,900
(980,000)
5/23/2007
(350)
4,914.2857
(1,720,000)
  5/23/2007
(300)
4,900
(1,470,000)
  5/23/2007
(393)
4,900
(1,925,700)
  5/23/2007
(357)
4,900
(1,749,300)
 
Ore Hill Hub Fund

Date of Trade
Number of Shares
Price Per Share
Total Amount2
5/24/2007
(380)
$5,000
$(1,900,000)
5/29/2007
(670)
5,150
(3,450,500)
 
Kinney Hill Fund

Date of Trade
Number of Shares
Price Per Share
Total Amount2
5/24/2007
(20)
$5,000
$(100,000)
5/29/2007
(30)
5,150
(154,500)
 
 
 
 (1)
Transactions in the 9 ¾% Preferred Stock were effected in the over-the-counter market.
 
(2)      Excludes commissions and other execution-related costs.