TUDOR INVESTMENT CORP ET AL Q4 2019 Filing

Filed February 14, 2020

Portfolio Value

$2.2B

Holdings

1,106

Report Date

Q4 2019

Filing Type

13F-HR

All Holdings (1,106 positions)

StockValue
CVNACarvana Co
$750K
DLXDeluxe Corporation
$749K
SIXEURSix Flags Entertainment Corp
$747K
HCATHealth Catalyst Inc
$746K
CUTREURCutera Inc
$742K
MERCMercer Intl Inc (Sh Ben Int)
$742K
PHRPhreesia Inc
$738K
AMTTD Ameritrade Holding Corp
$734K
ATRAGBXAtara Biotherapeutics Inc
$729K
TTWOTake - Two Interactive Software
$729K
SPTSprout Social Inc - Class A
$727K
VCVisteon Corp
$725K
CHUYUSDChuy's Holdings Inc
$723K
SFStifel Financial Corporation
$723K
GOGrocery Outlet Holding Corp
$717K
DHTDHT Holdings Inc
$717K
CROXCrocs Inc
$712K
RHIRobert Half International Incorporated
$711K
OFIXOrthofix Medical Inc
$709K
Gtt Communications Inc
$703K
NTRSNorthern Trust Corporation
$701K
Lumber Liquidators Holdings In
$700K
VRRMVerra Mobility Corp
$697K
CLVSEURClovis Oncology Inc
$695K
SEESealed Air Corporation
$693K
EDITEditas Medicine Inc
$691K
UIUbiquiti Inc
$691K
BALLBall Corporation
$688K
PEGAPegasystems Inc.
$688K
SIGISelective Insurance Group Incorporated
$687K
37MMrc Global Inc
$686K
SCVLShoe Carnival Incorporated
$684K
APDAir Products and Chemicals Incorporated
$681K
CPFCentral Pacific Financial Corp
$681K
BMRNBiomarin Pharmaceutical Inc.
$679K
TRTootsie Roll Industries Incorporated
$677K
HAINHain Celestial Group Inc
$677K
CLHClean Harbor Incorporated
$673K
PRGSProgress Software Corporation
$668K
KRNTKornit Digital Ltd
$665K
INGNInogen Inc
$665K
HBANHuntington Bancshares Incorporated
$663K
ALNYAlnylam Pharmaceuticals Inc
$662K
Exterran Corp
$659K
CTMXCytomx Therapeutics Inc
$655K
NVEEUSDNV5 Global Inc
$654K
OXMOxford Inds Inc
$653K
MKTXMarketAxess Holdings Inc
$648K
EVEUREaton Vance Corporation
$647K
KEYSKeysight Technologies Inc
$647K
UMBFUMB Financial Corp.
$646K
ALEXAlexander & Baldwin Inc
$632K
Xperi Corp
$628K
OISOIL STS INTL INC
$626K
OPTUAltice Usa Inc- A
$621K
CBBCincinnati Bell Inc
$621K
NFGNational Fuel Gas Company
$621K
INTCIntel Corporation
$615K
CFCF Industries Holdings Inc
$610K
Parsley Energy Inc-class A
$608K
Retail Value Inc
$608K
LENLennar Corporation
$608K
BCOVUSDBrightcove
$606K
LGNDLigand Pharmaceuticals Incorporated
$604K
Colony Capital Inc-class A
$604K
WAFDWashington Federal Incorporated
$601K
TXNTexas Instruments Incorporated
$597K
Triple-s Management Corp-b
$597K
AQSTAquestive Therapeutics Inc
$596K
CCLCarnival Corporation
$596K
FEFirstenergy Corp
$596K
CWTCalifornia Water Service Group
$594K
WTWisdomtree Investments Inc
$594K
SG7Sage Therapeutics Inc
$590K
ZZillow Group Inc - C
$590K
CNPCenterpoint Energy Inc.
$589K
GOOGLAlphabet Inc.
$587K
CLBCore Laboratories NV
$585K
FHIFederated Hermes Inc - CL B
$585K
VSTOEURVista Outdoor Inc
$585K
On Deck Capital Inc
$583K
PLUSEPlus Inc
$579K
Forterra Inc
$574K
CBTCabot Corporation
$573K
Corepoint Lodging Inc
$572K
PINGUSDPing Identity Holding Corp
$572K
JECUSDJacobs Engineering Group Incorporated
$567K
FLSFlowserve Corporation
$565K
CAKECheesecake Factory Incorporated
$561K
TEN1Tenneco Inc-class A
$558K
JDJd.com Inc-adr
$557K
SPWHSportsman's Warehouse Holdin
$554K
B Riley Principal Mer-cl A
$553K
STCStewart Information Services Corporation
$552K
NTBBank Of Nt Butterfield & Son
$551K
AJRDEURAerojet Rocketdyne Holdings Inc
$550K
COSTCostco Wholesale Corp.
$548K
SJMSmucker (J.M.) Company
$544K
Achillion Pharmaceuticals
$544K
SERVUSDServicemaster Global Holding
$535K
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