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)
| Stock | Value |
|---|---|
CUBECubeSmart | $409K |
—Nrg Yield Inc-class A | $409K |
ETREntergy Corporation | $408K |
WF2Wintrust Financial Corp | $408K |
MNSTMonster Beverage Corp | $407K |
ARCBArcBest Corp | $406K |
—Boingo Wireless Inc | $404K |
8CWCrown Castle Intl Corp | $403K |
—DDR Corp | $403K |
DINDineEquity Inc | $403K |
LHCGUSDLHC Group Inc | $402K |
MDRXAllscripts Healthcare Solutions Inc | $402K |
NMFCNew Mountain Finance Corp | $402K |
RNRRenaissance Re Holdings Limited | $402K |
NOMDNomad Foods Ltd | $401K |
CRVLCorvel Corporation | $400K |
TILEInterface Incorporated (CL A) | $400K |
EATBrinker International Incorporated | $400K |
FCNFTI Consulting Inc. | $399K |
—Northwest Natural Gas Co. | $399K |
—Broadsoft Inc | $399K |
NXQuanex Building Products | $398K |
RGAReinsurance Group Of America | $396K |
DECKDeckers Outdoor Corporation | $395K |
ABTAbbott Laboratories | $395K |
GVAGranite Construction Incorporated | $395K |
—American Railcar Industries | $395K |
DCIDonaldson Co Inc | $393K |
—Bojangles' Inc | $391K |
MMIMarcus & Millichap Inc | $391K |
—Altisource Residential Corp | $391K |
IGTInternational Game Technology | $391K |
ADIAnalog Devices Incorporated | $391K |
AGXArgan Inc | $390K |
PLCEChildren's Place Inc/The | $390K |
SCHN1EURSchnitzer Steel Industries Inc | $390K |
TDSTelephone and Data Systems Incorporated | $390K |
MRVLMarvell Technology Group | $390K |
GEFGreif Inc.- Class A | $389K |
AMTAmerican Tower Corp - Class A | $389K |
FFINFirst Finl Bankshares Inc | $389K |
—Presidio Inc | $387K |
PCARPACCAR Inc. | $386K |
NWLNewell Brands Inc | $386K |
—Tech Data Corp. | $385K |
FORForestar Group Inc | $384K |
—Quality Systems Incorporated | $383K |
MTRXMatrix Service Company | $378K |
AATAmerican Assets Trust Inc | $378K |
MYGNMyriad Genetics Inc. | $378K |
—Orthofix International N.V. | $378K |
WRBW.R. Berkley Corporation | $377K |
—Achillion Pharmaceuticals | $374K |
—Universal Forest Products | $374K |
KEXKirby Corporation | $373K |
BHEBenchmark Electronics Incorporated | $372K |
TDCTeradata Corp | $372K |
PBVPrestige Brand Holdings Inc | $372K |
AEBAAllete | $372K |
HUMHumana Inc. | $371K |
SCLStepan Company | $370K |
LXRXLexicon Pharmaceuticals Inc | $370K |
RSReliance Steel & Aluminum Company | $370K |
MSGSMadison Square Garden Co/The | $369K |
FIBKFirst Interstate Bancsys/mt | $369K |
GWRUSDGenesee & Wyoming Inc. | $368K |
WABCWestamerica Bancorporation | $368K |
ENTAEnanta Pharmaceuticals Inc | $367K |
AKRAcadia Realty Trust | $367K |
BRKRBruker Corp | $367K |
URBNUrban Outfitters Inc. | $366K |
ORIOld Rep Intl Corp | $365K |
LIVNLivaNova PLC | $364K |
CA8ACACI International Incorporated-CL A | $364K |
—Imperva Inc | $363K |
COLBColumbia Banking System Inc | $363K |
SSUPSuperior Industries International Inc. | $363K |
—Tailored Brands Inc | $363K |
—Mantech | $362K |
VRSKVerisk Analytics Inc-class A | $361K |
NEONeogenomics Inc | $360K |
MTRNMaterion Corp | $359K |
MCHPMicrochip Technology Inc. | $359K |
NWBINorthwest Bancshares Inc | $359K |
TQJSignature Bank/New York NY | $359K |
HPTUSDHospitality Properties Trust | $358K |
NATINational Instruments Corporation | $358K |
ROLRollins Incorporated | $356K |
KMBKimberly-Clark Corporation | $356K |
UFCSUnited Fire Group Inc | $355K |
—Diplomat Pharmacy Inc | $355K |
OGM1Cogent Communications Holdings Inc | $355K |
OSGAmbac Financial Group Inc | $355K |
GCI1EURGannett Co Inc | $355K |
CAKECheesecake Factory Incorporated | $355K |
GBCIGlacier Bancorp Inc | $354K |
SSS1EURLife Storage Inc | $354K |
CBTCabot Corporation | $354K |
—Mobile Mini Inc | $353K |
IEXIdex Corporation | $352K |