TUDOR INVESTMENT CORP ET AL Q3 2018 Filing

Filed November 14, 2018

Portfolio Value

$4.0B

Holdings

1,050

Report Date

Q3 2018

Filing Type

13F-HR

All Holdings (1,050 positions)

StockValue
HUBGHUB Group Inc - CL A
$861K
AEEAmeren Corp.
$857K
5TCTruecar Inc
$850K
Houghton Mifflin Harcourt Co
$845K
Nanometrics Inc
$845K
FNFFnf Group
$840K
ROCKGibraltar Industries Inc
$839K
GPMTGranite Point Mortgage Trust
$838K
LINLinde Plc
$837K
Ellie Mae Inc
$837K
AQUAUSDEvoqua Water Technologies Co
$835K
CORECore-Mark Holding Co Inc
$834K
PROPros Holdings Inc
$833K
KRKroger Company
$832K
MR4Meridian Bioscience Inc
$831K
SCCOSouthern Copper Corp
$831K
Cabot Microelectronics Corp
$830K
RRNRed Robin Gourmet Burgers Inc
$820K
GLUUGlu Mobile Inc
$820K
UMPQUSDUmpqua Holdings Corp
$809K
GAPGap Inc
$807K
AJRDEURAerojet Rocketdyne Holdings Inc
$803K
VOYAVoya Financial Inc
$803K
PCTYPaylocity Holding Corp
$797K
MGRCMcGrath Rentcorp
$795K
IDAIdacorp Incorporated
$794K
XRXCHFXerox Corp
$791K
NWLNewell Brands Inc
$788K
TUSKMammoth Energy Services Inc
$782K
TRSTrimas Corp
$782K
DFSEURDiscover Financial Services
$780K
Xperi Corp
$777K
XLNXEURXilinx Incorporated
$777K
AAAlcoa Corp
$774K
LGF/BEURLions Gate Entertainment-b
$765K
OASEUROasis Petroleum Inc
$762K
AZOAutoZone Incorporated
$761K
HAEHaemonetics Corporation
$760K
SANMSanmina Corp
$757K
IDXXIdexx Laboratories Corporation
$757K
GBXGreenbrier Companies Inc
$753K
CLHClean Harbor Incorporated
$753K
UPLDUpland Software Inc
$748K
SSDSimpson Manufacturing Company Inc
$746K
CSGSCSG Systems International Incorporated
$736K
LAMRLamar Advertising Company
$735K
NWENorthwestern Corp
$730K
PLNTPlanet Fitness Inc - Cl A
$727K
Sonic Corporation
$724K
SEBSeaboard Corporation
$723K
CBChubb Ltd
$718K
AYAEURStars Group Inc/the
$712K
SAMBoston Beer Company Incorporated
$711K
EWZiShares MSCI Brazil ETF
$709K
CABOCable One Inc
$705K
Zagg Inc
$705K
LSCCLattice Semiconductor Corporation
$704K
Electronics For Imaging
$700K
THGHanover Insurance Group Inc/Th
$697K
FRGIFiesta Restaurant Group
$692K
INFNEURInfinera Corp
$692K
NEONeogenomics Inc
$691K
BMC Stock Holdings Inc
$690K
LNWOScientific Games Corp - A
$689K
Monotype Imaging Holdings In
$689K
A3IAmerisafe Inc
$688K
GOLFAcushnet Holdings Corp
$684K
UAAUnder Armour Inc
$683K
Cimpress NV
$682K
BKEBuckle Incorporated
$680K
PLABPhototronics Inc.
$678K
EVTCEvertec Inc
$677K
McDermott International Incorporated
$675K
PNRPentair PLC
$674K
AMGAffiliated Managers Group Incorporated
$673K
BRKRBruker Corp
$672K
WVEWave Life Sciences Pte Ltd
$670K
CITUSDCIT Group Inc.
$667K
PAGSPagseguro Digital Ltd
$665K
APPFAppfolio Inc - A
$664K
MCYMercury Gen Corp
$663K
RLRalph Lauren Corp
$663K
Dean Foods Company
$662K
Medidata Solutions Inc
$661K
KLICKulicke & Soffa Industries Incorporated
$661K
37MMrc Global Inc
$660K
TWOU2u Inc
$660K
IFFInternational Flavors and Fragrances
$657K
HPEHewlett Packard Enterprise Company
$653K
BCCBoise Cascade Co
$653K
AVGOBroadcom Inc
$650K
DINDine Brands Global Inc
$643K
AEPAmerican Electric Power
$642K
El Paso Electric Company
$641K
SITCUSDSite Centers Corp
$636K
EBIXEUREbix Inc
$635K
NNNNational Retail Properties Inc
$634K
CPRTCopart Incorporated
$630K
CPFCentral Pacific Financial Corp
$627K
IWMiShares Russell 2000 ETF
$625K
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