TUDOR INVESTMENT CORP ET AL Q2 2016 Filing

Filed August 15, 2016

Portfolio Value

$4.7B

Holdings

1,464

Report Date

Q2 2016

Filing Type

13F-HR

All Holdings (1,464 positions)

StockValue
ENSGThe Ensign Group Inc
$412K
AFLAFLAC Incorporated
$411K
WGL Holdings Inc.
$411K
IBPInstalled Building Products
$410K
Monogram Residential Trust I
$410K
WINGWingstop Inc
$409K
Mylan NV
$408K
WGOWinnebago Industries Inc.
$408K
Tesaro Inc
$408K
VFCVF Corporation
$407K
SRJSpartanNash Co
$407K
Calgon Carbon Corporation
$406K
UNFIUnited Natural Foods Inc
$405K
Monster Worldwide Inc
$404K
IPGPIPG Photonics Corp
$404K
HFCUSDHollyFrontier Corp
$402K
TTS1EURTile Shop Hldgs Inc
$402K
SUISun Communities Inc
$402K
NXQuanex Building Products
$401K
INGNInogen Inc
$401K
CDWCdw Corp/de
$401K
SWXSouthwest Gas Corporation
$401K
TTEKTetra Tech Incorporated
$400K
ACHOwens & Minor Inc
$400K
LYBLyondellbasell Indu-cl A
$400K
GLYCEURGlycomimetics Inc
$400K
Newlink Genetics Corp
$399K
AM6Amicus Therapeutics Inc
$398K
NTRSNorthern Trust Corporation
$398K
HZOMarineMax Inc
$397K
TCF Financial Corporation
$396K
WATWaters Corporation
$394K
Healthsouth Corporation
$393K
PBVPrestige Brand Holdings Inc
$393K
UTHUnited Therapeutics Corp.
$392K
Empire District Electric Company
$391K
RGRSturm Ruger & Company Incorporated
$390K
BKRBaker Hughes Incorporated
$390K
HRTGHeritage Insurance Holdings
$389K
Taro Pharmaceutical Indus
$388K
CEPHEID
$386K
Senior Housing Prop Trust
$385K
SYNASynaptics Inc
$384K
SCVLShoe Carnival Incorporated
$382K
MGMistras Group Inc
$381K
AMCAmc Entertainment Hlds-cl A
$381K
Universal Forest Products
$380K
Ims Health Holdings Inc
$380K
GDOTGreen Dot Corp-class A
$379K
BDNBrandywine Realty Trust
$378K
PDCOEURPatterson Cos Inc
$378K
SIGISelective Insurance Group Incorporated
$378K
Del Frisco's Restaurant Group
$378K
BKBank of New York Mellon Corp
$377K
VGREURVector Group Ltd.
$376K
MGRCMcGrath Rentcorp
$376K
HOMBHome Bancshares Inc
$376K
ACNAccenture Plc - CL A
$374K
ANFAbercrombie & Fitch Company- Cl A
$374K
NCLHNorwegian Cruise Line Holdings Ltd
$374K
TDCTeradata Corp
$373K
TFXTeleflex Inc.
$372K
Triple-s Management Corp-b
$371K
Cambrex Corporation
$371K
RVNCEURRevance Therapeutics Inc
$370K
PHH Corp
$369K
INFIQInfinity Pharmaceuticals Inc
$369K
TBITrueBlue Inc
$369K
WENWendy's Co/The
$368K
RGENRepligen Corporation
$368K
WDRWaddell & Reed Financial Inc.-CL A
$367K
Pattern Energy Group Inc
$367K
AVAAvista Corp.
$367K
IDAIdacorp Incorporated
$366K
EDGGold Fields Limited - ADR
$366K
Cynosure Inc
$365K
Retail Properties Of Ame - A
$365K
Synergy Resources Corp
$364K
EWBCEast-West Bank
$362K
TFSLTFS Financial Corp
$360K
GMGeneral Motors Co
$358K
NGDNew Gold Inc
$358K
National Instruments Corporation
$356K
TXRHTexas Roadhouse Inc - CL A
$356K
SLMSLM Corp.
$355K
New York Reit Inc
$354K
WSMWilliams-Sonoma Inc
$354K
QGENQIAGEN NV
$353K
GOGOGogo Inc
$351K
SHAKShake Shack Inc - Class A
$350K
RGAReinsurance Group Of America
$349K
Nrg Yield Inc-class A
$349K
HDSUSDHd Supply Holdings Inc
$349K
PATKPatrick Industries Inc.
$349K
HEESEURH&E Equipment Services Inc
$349K
La Quinta Holdings Inc
$349K
AGXArgan Inc
$348K
TEXTerex Corp.
$347K
MDTMedtronic PLC
$347K
MGNXMacrogenics Inc
$347K
PreviousPage 6 of 15Next