TUDOR INVESTMENT CORP ET AL Q1 2017 Filing

Filed May 15, 2017

Portfolio Value

$3.3B

Holdings

1,343

Report Date

Q1 2017

Filing Type

13F-HR

All Holdings (1,343 positions)

StockValue
Sucampo Pharmaceuticals - Class A
$745K
GNRCGenerac Holdings Inc
$743K
SPXCSPX Corporation
$742K
IPHSEURInnophos Holdings Inc
$740K
SNPSSynopsys Inc
$738K
Black Knight Financial-cl A
$738K
WKCWorld Fuel Services Corporation
$737K
BFAMBright Horizons Family Solutions Inc
$736K
GXPGreat Plains Energy Inc
$736K
UMBFUMB Financial Corp.
$733K
ITGRInteger Holdings Corp
$730K
HRTGHeritage Insurance Holdings
$730K
T7DTransdigm Group Inc
$727K
VIRTVirtu Financial Inc-class A
$725K
HASHasbro Incorporated
$723K
CSIIEURCardiovascular Systems Inc
$720K
HEHawaiian Electric Industries Inc.
$718K
TCF Financial Corporation
$717K
MGRCMcGrath Rentcorp
$713K
CVLTCommvault Systems Inc
$711K
AEGNAegion Corp
$709K
Houghton Mifflin Harcourt Co
$706K
FFord Motor Co
$705K
NUVAGBPNuVasive Inc
$701K
CHMICherry Hill Mortgage Investm
$699K
TFSLTFS Financial Corp
$693K
XRXXerox Corp
$690K
FLT1EURFleetcor Technologies Inc
$690K
MHLAMaiden Holdings Ltd
$689K
MR4Meridian Bioscience Inc
$688K
METMetLife Inc.
$687K
AXSAxis Capital Holdings
$683K
Cousins Properties Incorporated
$681K
Argo Group International Holdi
$680K
RYAMRayonier Advanced Materi
$680K
PRAHPra Health Sciences Inc
$679K
SF9Sanderson Farms Incorporated
$679K
XNCRXencor Inc
$673K
Inovalon Holdings Inc - A
$670K
Tivity Health Inc
$669K
Chemtura Corp
$669K
SAICScience Applications Inte
$666K
KRNYKearny Financial Corp
$662K
WAIREURWesco Aircraft Holdings Inc
$659K
OGEOGE Energy Corporation
$658K
IWMiShares Russell 2000 ETF
$658K
FLIRFLIR Systems Incorporated
$656K
FOSLFossil Group Inc
$655K
El Paso Electric Company
$655K
HDSUSDHd Supply Holdings Inc
$655K
ASGNOn Assignment Inc
$651K
Luminex Corporation
$649K
Health Insurance Innovatio-a
$648K
Education Realty Trust Inc
$648K
K2m Group Holdings Inc
$644K
LWLamb Weston Holding Inc
$642K
NAVINavient Corp
$639K
QUADQuad Graphics Inc
$636K
PEGPublic Service Enterprise GP
$634K
ARMKAramark
$632K
XLFAMEX Financial Select Sector SPDR NEW
$632K
FDPFresh Del Monte Produce Incorporated
$628K
Pier 1 Imports Inc./Del
$628K
VSATVIASAT INC
$625K
BJRIBJ's Restaurants Inc
$624K
Cornerstone Ondemand Inc
$624K
NHTCNatural Health Trends Corp
$623K
WHRWhirlpool Corporation
$623K
COSCNO Financial Group Inc
$623K
Tesaro Inc
$620K
EMREmerson Electric Company
$617K
IARTIntegra LifeSciences Holdings
$616K
FHIFederated Investors Incorporated - CL B
$616K
AIMCUSDAltra Industrial Motion Corp
$614K
Fnfv Group
$612K
VNDAVanda Pharmaceuticals Inc
$611K
FDSFactSet Research Systems Incorporated
$610K
AYAtlantica Yield plc
$608K
BPOPPopular Incorporated
$607K
FHBFirst Hawaiian Inc
$607K
RRXRegal Beloit Corp
$602K
EOGEOG Resources Inc.
$601K
WMWaste Management Inc. - NEW
$601K
Retailmenot Inc
$601K
NIC INC
$599K
HCPHCP Inc
$594K
KNKnowles Corp
$594K
MOHMolina Healthcare Inc
$593K
Financial Engines Inc
$592K
UVEUniversal Insurance Holdings
$591K
MOVMovado Group Inc.
$590K
Dean Foods Company
$589K
RRDEURR.R. Donnelley & Sons Company
$588K
AMCXAmc Networks Inc - A
$585K
EDITEditas Medicine Inc
$584K
Ixia Communications
$583K
UISUnisys Corp
$581K
ARRIS International plc
$581K
BBYBest Buy Incorporated
$581K
BLDTopbuild Corp
$580K
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