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)
| Stock | Value |
|---|---|
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 |