CITADEL ADVISORS LLC Q1 2018 Filing

Filed May 11, 2018

Portfolio Value

$181.8M

Holdings

4,232

Report Date

Q1 2018

Filing Type

13F-HR

All Holdings (4,232 positions)

StockValue
AMIRA NATURE FOODS LTD
$252K
PXLWEURPIXELWORKS INC
$252K
ETF MANAGERS TR
$252K
CLAYMORE EXCHANGE TRD FD TR
$251K
NVGNUVEEN AMT FREE MUN CR INC F
$251K
MTECH ACQUISITION CORP
$250K
MSBMESABI TR
$250K
NAGECHROMADEX CORP
$249K
UBAUSDURSTADT BIDDLE PPTYS INC
$247K
PHKPIMCO HIGH INCOME FD
$247K
EMKREUREMCORE CORP
$247K
NWLINATIONAL WESTN LIFE GROUP IN
$247K
APPROACH RESOURCES INC
$247K
SVASINOVAC BIOTECH LTD
$245K
UBTPROSHARES TR
$245K
ILCBISHARES TR
$245K
CSI COMPRESSCO LP
$244K
EVBGEUREVERBRIDGE INC
$243K
PROSHARES TR
$243K
CPRXCATALYST PHARMACEUTICALS INC
$242K
CYDCHINA YUCHAI INTL LTD
$241K
LMATLEMAITRE VASCULAR INC
$241K
SFESSAFEGUARD SCIENTIFICS INC
$241K
SERVICESOURCE INTL INC
$241K
ASHFORD HOSPITALITY TR INC
$240K
CHIQGLOBAL X FDS
$239K
NAM TAI PPTY INC
$238K
XHSSPDR SERIES TRUST
$237K
EWUSISHARES TR
$237K
PTLINNOVATOR ETFS TR
$237K
SHENSHENANDOAH TELECOMMUNICATION
$236K
SLDBSOLID BIOSCIENCES INC
$236K
PRIMO WTR CORP
$235K
MY SIZE INC
$234K
WPRTWESTPORT FUEL SYSTEMS INC
$234K
AOMISHARES TR
$234K
TRHCEURTABULA RASA HEALTHCARE INC
$234K
GXGUSDGLOBAL X FDS
$233K
AMERICAN RENAL ASSOCIATES HO
$233K
KAIKADANT INC
$232K
CAROLINA FINL CORP NEW
$232K
CNXTVANECK VECTORS ETF TR
$232K
KINDER MORGAN INC DEL
$232K
CLAYMORE EXCHANGE TRD FD TR
$231K
CHADUSDDIREXION SHS ETF TR
$231K
POWERSHARES ETF TRUST II
$231K
FUELCELL ENERGY INC
$231K
MDIVFIRST TR EXCHANGE TRADED FD
$231K
ELLIS PERRY INTL INC
$230K
VVVANGUARD INDEX FDS
$230K
OBSIDIAN ENERGY LTD
$230K
SJTSAN JUAN BASIN RTY TR
$230K
CARBONITE INC
$230K
FLWSFLWS/1-800 FLOWERS
$229K
HZN1USDHORIZON GLOBAL CORP
$229K
COGINT INC
$228K
CAPLCROSSAMERICA PARTNERS LP
$228K
MOBILE MINI INC
$226K
THFFFIRST FINL CORP IND
$226K
PSMTPRICESMART INC
$226K
FCGFIRST TR EXCHANGE TRADED FD
$226K
NUCANA PLC
$225K
UMCUNITED MICROELECTRONICS CORP
$225K
MARINUS PHARMACEUTICALS INC
$225K
INDLDIREXION SHS ETF TR
$225K
COKECOCA COLA BOTTLING CO CONS
$224K
BSETBASSETT FURNITURE INDS INC
$224K
ACREARES COML REAL ESTATE CORP
$223K
ALPINE TOTAL DYNAMIC DIVID F
$222K
POWERSHARES ETF TRUST
$222K
EWKISHARES INC
$221K
MOFGMIDWESTONE FINL GROUP INC NE
$221K
ETFS TR
$220K
MAGAETF SER SOLUTIONS
$220K
ISHARES TR
$217K
ALNTALLIED MOTION TECHNOLOGIES I
$216K
WOWWIDEOPENWEST INC
$216K
MANUMANCHESTER UTD PLC NEW
$216K
EBFENNIS INC
$216K
AIRAAR CORP
$216K
CNMDCONMED CORP
$216K
SOCIAL CAP HEDOSOPHIA HLDGS
$215K
EVAUSDENVIVA PARTNERS LP
$215K
AVEO PHARMACEUTICALS INC
$214K
FTD COS INC
$214K
POWERSHARES ETF TR II
$214K
IDERA PHARMACEUTICALS INC
$213K
HILL INTERNATIONAL INC
$213K
IBOCINTERNATIONAL BANCSHARES COR
$213K
UNIT CORP
$213K
MEDPMEDPACE HLDGS INC
$213K
DMLPDORCHESTER MINERALS LP
$213K
DIREXION SHS ETF TR
$212K
POWERSHARES ETF TR II
$212K
HORNBECK OFFSHORE SVCS INC N
$212K
GASLOG PARTNERS LP
$212K
WESTERN ASSET MTG CAP CORP
$212K
FXNFIRST TR EXCHANGE TRADED FD
$211K
ATTOATENTO S A
$211K
MCHBHOMESTREET INC
$211K
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