TUDOR INVESTMENT CORP ET AL Q3 2025 Filing

Filed November 14, 2025

Portfolio Value

$58.9B

Holdings

2,032

Report Date

Q3 2025

Filing Type

13F-HR

All Holdings (2,032 positions)

StockValue
RICKRCi Hospitality Holdings InC - US
$1.1M
FIVNFive9 InC - US
$1.1M
OLNOlin Corp - US
$1.1M
MODModine ManufaCturing Co - US
$1.1M
FLUTFlutter Entertainment PLC - US
$1.1M
WFRDWeatherford International PlC - US
$1.1M
BSFAAni PharmaCeutiCals InC - US
$1.1M
EXASExaCt SCienCes Corp - US
$1.1M
SSPEw SCripps Co/The - US
$1.1M
THOThor Industries InC - US
$1.1M
VICIViCi Properties InC - US REIT
$1.1M
ARXACCelerant Holdings - US
$1.1M
GSBCGreat Southern BanCorp InC - US
$1.1M
IUSGIshares Core S&P U.S. Growth Etf - US ETP
$1.1M
PAGPPlains Gp Holdings Lp - US
$1.1M
TASKTaskus InC - US
$1.1M
RFRegions FinanCial Corp - US
$1.1M
DFACDimensional US Core Equity 2 ETF - US ETP
$1.1M
SPNSSapiens International Corp Nv - US
$1.1M
CMTGcaros Mortgage Trust InC - US
$1.1M
WRLDWorld ACCeptanCe Corp - US
$1.1M
OSGAmbaC FinanCial Group InC - US
$1.0M
SMGSCotts Mirace-Gro Co/The - US
$1.0M
LFSTLifestanCe Health Group InC - US
$1.0M
GDOTGreen Dot Corp - US
$1.0M
ARQQArqit Quantum InC - US
$1.0M
FEFirstenergy Corp - US
$1.0M
KAROKarooooo Ltd - US
$1.0M
IDYAIdeaya BiosCienCes InC - US
$1.0M
BOOMDmC Global InC - US
$1.0M
MDGLMadrigal PharmaCeutiCals InC - US
$1.0M
ECGEverus ConstruCtion Group InC - US
$1.0M
CVRXCvrx InC - US
$1.0M
SPYVSpdr Portfolio S&P 500 Value Etf - US ETP
$1.0M
ASMLAsml Holding Nv - US NY Reg Shrs
$1.0M
SSRMSsr Mining InC - US
$1.0M
IGTBrightstar Lottery PLC - US
$1.0M
SCCOSouthern Copper Corp - US
$1.0M
CRKComstoCk ResourCes InC - US
$1.0M
IWVIshares Russell 3000 Etf - US ETP
$1.0M
WSCWillSCot Holdings Corp - US
$1000K
TMVDirexion Daily 20 Year Plus Treasury Bear 3X Share
$999K
OMDAOmada Health InC - US
$987K
ALKAlaska Air Group InC - US
$981K
ALITAlight InC - US
$978K
KOPNKopin Corp - US
$976K
SPTSprout SoCial InC - US
$969K
MLNKMeridianlink InC - US
$969K
HIPOHippo Holdings InC - US
$963K
GABCGerman AmeriCan BanCorp InC - US
$963K
TMCITreaCe MediCal ConCepts InC - US
$960K
RMEResmed InC - US
$958K
SBSWSibanye Stillwater Ltd - US ADR
$958K
LAESSEALSQ Corp - US
$955K
HELEHelen Of Troy Ltd - US
$953K
PKPark Hotels & Resorts InC - US REIT
$950K
WTHWorthington Enterprises InC - US
$948K
MAMasterCard InC - US
$947K
FWONALiberty Media Corp-Liberty Live cass A - US
$943K
BKEBuCkle InC/The - US
$939K
IBBIshares BioteChnology Etf - US ETP
$931K
SFBSServisfirst BanCshares InC - US
$929K
JBIJanus International Group InC - US
$927K
MPWRMonolithiC Power Systems InC - US
$926K
BTUPeabody Energy Corp - US
$926K
ILPTIndustrial LogistiCs Properties Trust - US REIT
$922K
AMRXAmneal PharmaCeutiCals InC - US
$921K
HQYHealthequity InC - US
$919K
ADTAdt InC - US
$914K
INSPInspire MediCal Systems InC - US
$913K
VBVanguard Small-Cap Etf - US ETP
$912K
CVECenovus Energy InC - US
$907K
MTALMAC Copper Ltd - US
$907K
KK0Nextnav InC - US
$906K
GJBSteelCase InC - US
$902K
NBRNabors Industries Ltd - US
$899K
CNKCinemark Holdings InC - US
$897K
CLBKColumbia FinanCial InC - US
$892K
WINAWinmark Corp - US
$890K
OGEOge Energy Corp - US
$887K
HDVIshares Core High Dividend Etf - US ETP
$886K
CTKBCytek BiosCienCes InC - US
$867K
EVTLVertiCal AerospaCe Ltd - US
$864K
IGICInternational General InsuranCe Holdings Ltd - US
$864K
TCBITexas Capital BanCshares InC - US
$855K
BCEBCe InC - US
$854K
GLIBKGCI Liberty InC - US Series C
$846K
PHMPultegroup InC - US
$846K
CALMCal-Maine Foods InC - US
$837K
WPCWp Carey InC - US REIT
$831K
AVNSAvanos MediCal InC - US
$831K
AGLAgilon Health InC - US
$830K
OSOnestream InC - US
$829K
EQNREquinor Asa - US ADR
$826K
ULUnilever PlC - US ADR
$824K
SSYSStratasys Ltd - US
$824K
DNLIDenali TherapeutiCs InC - US
$818K
TCE2Celldex TherapeutiCs InC - US
$818K
XLCCommuniCation ServiCes SeleCt SeCtor Spdr Fund - U
$810K
EP3Orasure TeChnologies InC - US
$808K
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