TUDOR INVESTMENT CORP ET AL Q3 2022 Filing

Filed November 14, 2022

Portfolio Value

$4.6B

Holdings

1,769

Report Date

Q3 2022

Filing Type

13F-HR

All Holdings (1,769 positions)

StockValue
FXLVF45 Training Holdings Inc - US
$743K
NVRIHarsco Corp - US
$742K
UVSPUnivest Financial Corp - US
$741K
SAFESafehold Inc - US REIT
$740K
INMDInmode Ltd - US
$740K
AERIEURAerie Pharmaceuticals Inc - US
$739K
OMCOmnicom Group Inc - US
$739K
SOXXIshares Semiconductor Etf - US ETP
$738K
OTTROtter Tail Corp - US
$738K
DAWNDay One Biopharmaceuticals Inc - US
$732K
EGRXEagle Pharmaceuticals Inc/De - US
$726K
NTRNutrien Ltd - US
$724K
PHMPultegroup Inc - US
$724K
WASHWashington Trust Bancorp Inc - US
$719K
IBCPIndependent Bank Corp/Mi - US
$716K
UTZUtz Brands Inc - US
$716K
CinCor Pharma Inc - US
$716K
INDBIndependent Bank Corp - US
$712K
CALMCal-Maine Foods Inc - US
$710K
HESHess Corp - US
$709K
NVV1Novavax Inc - US
$709K
MGRCMcgrath Rentcorp - US
$707K
TUPTupperware Brands Corp - US
$706K
PBIPitney Bowes Inc - US
$701K
SFBSServisfirst Bancshares Inc - US
$700K
SFMSprouts Farmers Market Inc - US
$700K
FMTXForma Therapeutics Holdings Inc - US
$698K
ATGEAdtalem Global Education Inc - US
$694K
TKTeekay Corp - US
$692K
MANManpowergroup Inc - US
$692K
CTBICommunity Trust Bancorp Inc - US
$691K
ARNC1EURArconic Corp - US
$690K
MTWManitowoc Co Inc/The - US
$686K
NDSNNordson Corp - US
$683K
ABCBAmeris Bancorp - US
$683K
GSKGSK PLC - US ADR
$681K
PARPar Technology Corp - US
$681K
BLKCHFBlackrock Inc - US
$678K
SMSm Energy Co - US
$676K
VERUEURVeru Inc - US
$675K
VEEVVeeva Systems Inc - US
$675K
AEISAdvanced Energy Industries Inc - US
$675K
MYEMyers Industries Inc - US
$674K
SG7Sage Therapeutics Inc - US
$674K
ALGMAllegro Microsystems Inc - US
$673K
OVVOvintiv Inc - US
$673K
ARGOArgo Group International Holdings Ltd - US
$673K
MFAMfa Financial Inc - US REIT
$672K
XRXXerox Holdings Corp - US
$671K
CNRCanadian National Railway Co - US
$669K
WW6Ww International Inc - US
$668K
OPHTEURIveric Bio Inc - US
$667K
FROGJfrog Ltd - US
$664K
SLAMFSlam Corp - US
$664K
SNOWSnowflake Inc - US
$663K
SOFISofi Technologies Inc - US
$660K
EOLSEvolus Inc - US
$660K
DACDanaos Corp - US
$657K
APPApplovin Corp - US
$653K
NIJNelnet Inc - US
$653K
PZZAPapa John's International Inc - US
$651K
RUTHUSDRuth's Hospitality Group Inc - US
$651K
DKSDick's Sporting Goods Inc - US
$651K
ESEversource Energy - US
$649K
NMRKNewmark Group Inc - US
$648K
ARESAres Management Corp - US
$648K
PSXPhillips 66 - US
$647K
RESRpc Inc - US
$646K
OPKOpko Health Inc - US
$645K
VISNCommscope Holding Co Inc - US
$644K
LELands' End Inc - US
$643K
CRWDCrowdstrike Holdings Inc - US
$643K
OPITQOffice Properties Income Trust - US REIT
$642K
BABoeing Co/The - US
$641K
CWEN/AClearway Energy Inc - US
$641K
LENLennar Corp - US
$640K
CLVTCLVT 0 Pfd
$640K
CVNACarvana Co - US
$638K
Cyxtera Technologies Inc - US
$636K
SSDSimpson Manufacturing Co Inc - US
$634K
AGIOAgios Pharmaceuticals Inc - US
$632K
SGENUSDSeagen Inc - US
$632K
DDIDoubledown Interactive Co Ltd - US ADR
$632K
VVXV2X Inc - US
$629K
IHIIshares U.S. Medical Devices Etf - US ETP
$628K
RELXRelx Plc - US ADR
$627K
S9QSpirit Aerosystems Holdings Inc - US
$623K
REZIResideo Technologies Inc - US
$620K
SIXEURSix Flags Entertainment Corp - US
$619K
ENVAEnova International Inc - US
$618K
TGNATegna Inc - US
$618K
290AChinook Therapeutics Inc - US
$617K
RIGTransocean Ltd - US
$616K
DCPHEURDeciphera Pharmaceuticals Inc - US
$614K
HAYNUSDHaynes International Inc - US
$611K
MAXMediaalpha Inc - US
$609K
KLICKulicke & Soffa Industries Inc - US
$606K
MRVLMarvell Technology Inc - US
$606K
COPConocophillips - US
$605K
AVLRUSDAvalara Inc - US
$604K
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