MILLENNIUM MANAGEMENT LLC Q2 2019 Filing

Filed August 14, 2019

Portfolio Value

$66.5M

Holdings

3,481

Report Date

Q2 2019

Filing Type

13F-HR

All Holdings (3,481 positions)

StockValue
BCCPROGRESSIVE CORP OHIO
$11.8M
HHYATT HOTELS CORP
$11.8M
FTDRLUMBER LIQUIDATORS HLDGS INC
$11.8M
CONTROLADORA VUELA CIA DE AV
$11.8M
CY9DBANCO BRADESCO S A
$11.8M
ENDPPURE ACQUISITION CORP
$11.8M
VANGUARD BD INDEX FD INC
$11.8M
SMARGBPSMARTSHEET INC
$11.7M
CERNCHFANIKA THERAPEUTICS INC
$11.7M
NVONOVO-NORDISK A S
$11.7M
TILECORESITE RLTY CORP
$11.7M
CUSHMAN WAKEFIELD PLC
$11.7M
NODKABBOTT LABS
$11.7M
UALDENTSPLY SIRONA INC
$11.7M
OIIPETMED EXPRESS INC
$11.6M
GBDCTEXAS INSTRS INC
$11.6M
WMBACHILLION PHARMACEUTICALS IN
$11.6M
LDOSLEIDOS HLDGS INC
$11.6M
HCICAREER EDUCATION CORP
$11.5M
FBINFORTUNE BRANDS HOME & SEC IN
$11.5M
BXMTHCA HEALTHCARE INC
$11.5M
BKNGPRA HEALTH SCIENCES INC
$11.4M
BTUSDCOMPANHIA SIDERURGICA NACION
$11.4M
FLOSELECT SECTOR SPDR TR
$11.4M
SXISTANDEX INTL CORP
$11.4M
FFBCFIRST FINL BANCORP OH
$11.3M
PVACUSDYY INC
$11.3M
SLG2EURWHIRLPOOL CORP
$11.3M
XRTCOCA COLA EUROPEAN PARTNERS
$11.3M
JOUTSTEWART INFORMATION SVCS COR
$11.3M
HALHALLIBURTON CO
$11.3M
ISHARES TR
$11.2M
TEN1CREDIT ACCEP CORP MICH
$11.2M
CRYOLIFE INC
$11.2M
IYRVANECK VECTORS ETF TR
$11.2M
PYPLTEXAS INSTRS INC
$11.2M
ALNYALNYLAM PHARMACEUTICALS INC
$11.2M
BRKRLIBERTY MEDIA CORP DELAWARE
$11.2M
HMCHONDA MOTOR LTD
$11.2M
KIDSANALOG DEVICES INC
$11.1M
FLWSFLWS/1-800 FLOWERS
$11.1M
PEGRETAIL PPTYS AMER INC
$11.1M
TSLXUSDREXNORD CORP NEW
$11.1M
CPTHEICO CORP NEW
$11.1M
ORLYRETROPHIN INC
$11.1M
UVEILLUMINA INC
$11.0M
EMESUMMIT MATLS INC
$11.0M
XLFIVERINT SYS INC
$11.0M
CIGRED HAT INC
$11.0M
CHDRED HAT INC
$11.0M
WATWATERS CORP
$11.0M
AVPUSDFLOWERS FOODS INC
$11.0M
AAONARROWHEAD PHARMACEUTICALS IN
$11.0M
VRTSVIRTUS INVT PARTNERS INC
$10.9M
CSXSUPERNUS PHARMACEUTICALS INC
$10.9M
KMXV F CORP
$10.9M
ETSYTCG BDC INC
$10.9M
PETQEURAVALONBAY CMNTYS INC
$10.9M
SNYU S SILICA HLDGS INC
$10.9M
PGVANECK VECTORS ETF TR
$10.9M
EYEMERCURY GENL CORP NEW
$10.9M
YUMYUM BRANDS INC
$10.8M
MPXOMEROS CORP
$10.8M
ARNCCHFTELEDYNE TECHNOLOGIES INC
$10.7M
DLTRDOLLAR TREE INC
$10.7M
SCIVERITEX HLDGS INC
$10.7M
EFXEQUIFAX INC
$10.7M
ELECTRONICS FOR IMAGING INC
$10.7M
ALKSHILLENBRAND INC
$10.7M
OCDERMIRA INC
$10.7M
ESFLOWSERVE CORP
$10.6M
MOR2BLUEBIRD BIO INC
$10.6M
FBNCFIRST BANCORP N C
$10.6M
MSCHOME DEPOT INC
$10.6M
PRAAISHARES TR
$10.5M
LECOLINCOLN ELEC HLDGS INC
$10.5M
VCGLOBAL BLOOD THERAPEUTICS IN
$10.5M
VONAGE HLDGS CORP
$10.5M
HUBGHUB GROUP INC
$10.5M
LHEXTREME NETWORKS INC
$10.5M
LANDCADIA HLDGS II INC
$10.4M
XLRNBECTON DICKINSON & CO
$10.4M
AU3EURRESTAURANT BRANDS INTL INC
$10.4M
DCHEGG INC
$10.4M
CBOEAMN HEALTHCARE SERVICES INC
$10.4M
COOPER COS INC
$10.4M
PTCTIDEX CORP
$10.4M
IRONE GAS INC
$10.4M
CDLXCENTRAL GARDEN & PET CO
$10.4M
GOLDMAN SACHS GROUP INC
$10.4M
BFAMBRIGHT HORIZONS FAM SOL IN D
$10.4M
WNSNISHARES INC
$10.4M
SMTCGREAT LAKES DREDGE & DOCK CO
$10.4M
ELANBLOCK H & R INC
$10.4M
CNACNA FINL CORP
$10.4M
TELLEURTELLURIAN INC NEW
$10.3M
NVDAFREEPORT-MCMORAN INC
$10.3M
YINNEURSJW GROUP
$10.3M
WALGREENS BOOTS ALLIANCE INC
$10.3M
LGIHLGI HOMES INC
$10.3M
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