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)
| Stock | Value |
|---|---|
RCATRed Cat Holdings InC - US | $13.2M |
AWGAsbury Automotive Group InC - US | $13.2M |
DVDoubleverify Holdings InC - US | $13.2M |
PRDOPerdoCeo EduCation Corp - US | $13.2M |
ATECAlphateC Holdings InC - US | $13.1M |
ICEInterContinental ExChange InC - US | $13.1M |
WINGWingstop InC - US | $13.0M |
JBLJabil InC - US | $12.9M |
XYZBloCk InC - US | $12.9M |
ABTAbbott Laboratories - US | $12.9M |
ONOn SemiConduCtor Corp - US | $12.9M |
SIGISeleCtive InsuranCe Group InC - US | $12.8M |
SHCSotera Health Co - US | $12.8M |
CXWCoreCiviC InC - US | $12.7M |
AGNCAgnC Investment Corp - US REIT | $12.7M |
GISGeneral Mills InC - US | $12.7M |
DVNDevon Energy Corp - US | $12.7M |
CROXCroCs InC - US | $12.6M |
CAGConagra Brands InC - US | $12.6M |
HSYHershey Co/The - US | $12.5M |
ADSKAutodesk InC - US | $12.5M |
EIXEdison International - US | $12.5M |
CMCCommerCial Metals Co - US | $12.4M |
SEZLSezzle InC - US | $12.4M |
COHUCohu InC - US | $12.4M |
RGTIRigetti Computing InC - US | $12.4M |
DOCNDigitaloCean Holdings InC - US | $12.3M |
VSHVishay InterteChnology InC - US | $12.3M |
RUSHARush Enterprises InC - c A | $12.3M |
UWMCUwm Holdings Corp - US | $12.2M |
SCPHSCpharmaCeutiCals InC - US | $12.2M |
OIIOCeaneering International InC - US | $12.2M |
OKTAOkta InC - US | $12.2M |
EXRExtra SpaCe Storage InC - US REIT | $12.2M |
HHHHoward Hughes Holdings InC- US | $12.2M |
GRABGRAB HOLDINGS LTD - c A - US | $12.2M |
CECelanese Corp - US | $12.1M |
BULLWEBULL CORP - US | $12.1M |
LECOLinColn EleCtriC Holdings InC - US | $12.1M |
LMNDLemonade InC - US | $12.1M |
BDXBeCton DiCkinson And Co - US | $12.0M |
CCOCameCo Corp - US | $11.9M |
ONONOn Holding Ag - US | $11.8M |
OPLNOpenlane InC - US | $11.8M |
DKDelek Us Holdings InC - US | $11.8M |
ARCCAres Capital Corp - US | $11.8M |
UNMUnum Group - US | $11.7M |
IRDMIridium CommuniCations InC - US | $11.7M |
RGAReinsuranCe Group Of AmeriCa InC - US | $11.7M |
BBYBest Buy Co InC - US | $11.7M |
CSTMConstellium Se - US | $11.7M |
RSRelianCe InC - US | $11.7M |
GTLBGitlab InC - US | $11.7M |
AAOIApplied OptoeleCtroniCs InC - US | $11.6M |
BBarriCk Mining Corp - US | $11.6M |
OTTROtter Tail Corp - US | $11.6M |
CFLTConfluent InC - US | $11.5M |
UI2Kemper Corp - US | $11.5M |
INGRIngredion InC - US | $11.5M |
NINisourCe InC - US | $11.5M |
STAGStag Industrial InC - US REIT | $11.4M |
SONOSonos InC - US | $11.4M |
BIIBBiogen InC - US | $11.3M |
APPNAppian Corp - US | $11.3M |
ELDEldorado Gold Corp - US | $11.2M |
DRIDarden Restaurants InC - US | $11.2M |
BACBank Of AmeriCa Corp - US | $11.2M |
GPNGlobal Payments InC - US | $11.2M |
AVAAvista Corp - US | $11.1M |
COMPCompass InC - US | $11.1M |
TROWT Rowe PriCe Group InC - US | $11.0M |
FERFerrovial SE - US | $11.0M |
SCHGSChwab U.S. Large-Cap Growth ETF - US ETP | $11.0M |
BLBDBlue Bird Corp - US | $10.9M |
AAMIACadian Asset Management InC - US | $10.9M |
BENFranklin ResourCes InC - US | $10.8M |
ITGartner InC - US | $10.7M |
HBC2HsbC Holdings PlC - US ADR | $10.7M |
KMBKimberly-cark Corp - US | $10.7M |
BLKBBlaCkbaud InC - US | $10.6M |
ESEEsCo TeChnologies InC - US | $10.6M |
SFStifel FinanCial Corp - US | $10.5M |
JBHTJb Hunt Transport ServiCes InC - US | $10.5M |
POOLPool Corp - US | $10.5M |
PGRProgressive Corp/The - US | $10.4M |
MGNIMagnite InC - US | $10.4M |
XLGInvesCo ExChange-Traded Fund Trust-InvesCo S&P 500 | $10.4M |
SIRISirius Xm Holdings InC - US | $10.4M |
SOSouthern Co/The - US | $10.4M |
CPNGCoupang InC - US | $10.4M |
NSANational Storage Affiliates Trust - US REIT | $10.4M |
CVLTCommvault Systems InC - US | $10.4M |
SGOLabrdn Gold ETF Trust - US ETP | $10.3M |
HLITHarmoniC InC - US | $10.3M |
IOTSamsara InC - US | $10.3M |
ADPTAdaptive BioteChnologies Corp - US | $10.3M |
TRUPTrupanion InC - US | $10.3M |
CHWYChewy InC - US | $10.2M |
DOCHealthpeak Properties InC - US REIT | $10.2M |
DRSLeonardo Drs InC - US | $10.2M |