TUDOR INVESTMENT CORP ET AL Q1 2020 Filing
Filed May 15, 2020
Portfolio Value
$1.1B
Holdings
1,013
Report Date
Q1 2020
Filing Type
13F-HR
All Holdings (1,013 positions)
| Stock | Value |
|---|---|
ARIApollo Commercial Real Estat | $501K |
WYNNWynn Resorts Ltd | $501K |
EGPEastgroup Properties Inc. | $501K |
TRTootsie Roll Industries Incorporated | $500K |
HPOService Properties Trust | $500K |
SVMKUSDSvmk Inc | $500K |
—Churchill Capital Corp Iii | $500K |
NGNovagold Resources Inc. | $498K |
ELSEquity Lifestyle Properties In | $495K |
LOGMEURLogmein Inc | $495K |
NWLNewell Brands Inc | $492K |
VENVentas Inc | $491K |
FBPFirst Bancorp Puerto Rico | $490K |
NDQInvesco QQQ Trust Series 1 | $486K |
—Knoll Inc | $485K |
PLXSPlexus Corp. | $485K |
CFRCullen/Frost Bankers Inc | $485K |
WBSWebster Financial Corp Waterbury | $483K |
CATYCathay General Bancorp | $482K |
GVAGranite Construction Incorporated | $480K |
AIMCUSDAltra Industrial Motion Corp | $478K |
JBHTHunt (JB) Transport Services Inc. | $477K |
CRSPCrispr Therapeutics Ag | $477K |
CMPRCimpress Plc | $475K |
VSTOEURVista Outdoor Inc | $475K |
—Bottomline Technologies Incorporated | $470K |
LBTYBLiberty Global Plc - A | $469K |
ROCKGibraltar Industries Inc | $467K |
EIXEdison International | $464K |
ZUOUSDZuora Inc | $463K |
KRNYKearny Financial Corp | $460K |
XLBAMEX Materials Select Sector SPDR Fund | $459K |
LVSLas Vegas Sands Corp | $459K |
NOKNokia Corp-spon ADR | $459K |
VSATVIASAT INC | $458K |
HLHecla Mining Co | $457K |
INTCIntel Corporation | $455K |
DTDynatrace Inc | $455K |
CDECoeur Mining Inc | $455K |
THSTreeHouse Food | $454K |
JBSSSanfilippo (John B.) & Son Incorporated | $453K |
AEOAmerican Eagle Outfitters | $451K |
CRLCharles River Laboratories | $451K |
—Apartment Investment & Management Co.- A | $451K |
CSGPCostar Group Inc | $451K |
CSVCarriage Services Inc - CL A | $449K |
ALGTAllegiant Travel Co | $449K |
DOCUDocusign Inc | $449K |
FCXFreeport-McMoRan Inc | $448K |
—American Finance Trust Inc | $445K |
MTWManitowoc Company Inc. | $445K |
—Twin River Worldwide Holding | $445K |
ATHSAthene Holding Ltd-class A | $444K |
UEUrban Edge Properties | $444K |
—Hudson Ltd-class A | $443K |
ZZillow Group Inc - C | $443K |
QSRRestaurant Brands International Inc | $443K |
CRSCarpenter Technology Corporation | $442K |
IBOCInternational Bancshares Crp | $442K |
LWLamb Weston Holding Inc | $440K |
SL2Sleep Number Corp | $439K |
37MMrc Global Inc | $437K |
9990302DApache Corporation | $435K |
CBRECBRE Group Inc - CL A | $427K |
NWSANews Corp/new-cl A | $426K |
IBKRInteractive Brokers Gro-cl A | $425K |
KEXKirby Corporation | $422K |
EVRGEvergy Inc | $421K |
KALAKala Pharmaceuticals Inc | $420K |
NSPInsperity Inc | $417K |
BANDBandwidth Inc-class A | $416K |
—Fsb Bancorp Inc/ny | $416K |
CPBCampbell Soup Company | $416K |
RMEResMed Incorporated | $415K |
ITRIItron Incorporated | $414K |
XLNXEURXilinx Incorporated | $413K |
CITUSDCIT Group Inc. | $412K |
SIGISelective Insurance Group Incorporated | $411K |
CNPCenterpoint Energy Inc. | $410K |
OHIOmega Healthcare Invs Inc | $409K |
TCMDTactile Systems Technology I | $407K |
AXONAxon Enterprise Inc | $407K |
—Akcea Therapeutics Inc | $406K |
BCCBoise Cascade Co | $405K |
BCOVUSDBrightcove | $405K |
ETREntergy Corporation | $404K |
—Radius Health Inc | $404K |
EXASExact Sciences Corp | $403K |
PARRPar Pacific Holdings Inc | $403K |
DLPHDelphi Technologies Plc | $402K |
PINSPinterest Inc- Class A | $401K |
ALNYAlnylam Pharmaceuticals Inc | $399K |
IVCUSDInvacare Corporation | $399K |
CASYCasey's General Stores Incorporated | $399K |
SYKStryker Corporation | $397K |
CIOCity Office Reit Inc | $396K |
MURMurphy Oil Corporation | $393K |
XLFAMEX Financial Select Sector SPDR NEW | $393K |
FEYECHFFireeye Inc | $393K |
QUOTUSDQuotient Technology Inc | $393K |