TUDOR INVESTMENT CORP ET AL Q4 2025 Filing

Filed February 17, 2026

Portfolio Value

$54.0B

Holdings

2,090

Report Date

Q4 2025

Filing Type

13F-HR

All Holdings (2,090 positions)

StockValue
TANInvesco Solar Etf - US ETP
$3.0M
GROYGold Royalty Corp - US
$3.0M
NIJNelnet Inc - US
$3.0M
SFDSmithfield Foods Inc - US
$3.0M
ENVXEnovix Corp - US
$3.0M
GAPGap Inc/The - US
$3.0M
ALCAlcon Inc - US
$3.0M
GILDGilead Sciences Inc - US
$3.0M
BFHBread Financial Holdings Inc - US
$3.0M
NOMDNomad Foods Ltd - US
$3.0M
BNBrookfield Corp - US
$3.0M
MATVMativ Inc - US
$3.0M
AEHRAehr Test Systems - US
$3.0M
OKTAOkta Inc - US
$3.0M
IVEIshares S&P 500 Value Etf - US ETP
$3.0M
NVSNNovartis Ag - US ADR
$3.0M
ADMAAdma Biologics Inc - US
$3.0M
IRMDIradimed Corp - US
$3.0M
MARMarriott International Inc/Md - US
$3.0M
INODInnodata Inc - US
$3.0M
FIGSFigs Inc - US
$3.0M
ACLXArcellx Inc - US
$3.0M
SLIStandard Lithium Ltd - US
$3.0M
WGOWinnebago Industries Inc - US
$3.0M
APAMArtisan Partners Asset Management Inc - US
$2.0M
PAGPenske Automotive Group Inc - US
$2.0M
LUMNLumen Technologies Inc - US
$2.0M
FASTFastenal Co - US
$2.0M
DCDakota Gold Corp - US
$2.0M
GXOGxo Logistics Inc - US
$2.0M
GPGIGPGI Inc - US.
$2.0M
TNDMTandem Diabetes Care Inc - US
$2.0M
SRRKScholar Rock Holding Corp - US
$2.0M
AVNTAvient Corp - US
$2.0M
VONVVanguard Russell 1000 Value - US ETP
$2.0M
TBBBBBB Foods Inc - US
$2.0M
CGBDCarlyle Secured Lending Inc - US
$2.0M
CLFDClearfield Inc - US
$2.0M
DYNDyne Therapeutics Inc - US
$2.0M
CLVTrip.Com Group Ltd - US ADR
$2.0M
PFBCPreferred Bank/Los Angeles Ca - US
$2.0M
CODICompass Diversified Holdings - US
$2.0M
HLTHilton Worldwide Holdings Inc - US
$2.0M
AMRZAmrize Ltd - US
$2.0M
TMVDirexion Daily 20 Year Plus Treasury Bear 3X Share
$2.0M
CYRXCryoport Inc - US
$2.0M
FPIFarmland Partners Inc - US REIT
$2.0M
ASBAssociated Banc-Corp - US
$2.0M
LXULsb Industries Inc - US
$2.0M
MYEMyers Industries Inc - US
$2.0M
GHCGraham Holdings Co - US Class B
$2.0M
USARUSA Rare Earth Inc - US
$2.0M
HCSGHealthcare Services Group Inc - US
$2.0M
VLOValero Energy Corp - US
$2.0M
SIRISirius Xm Holdings Inc - US
$2.0M
BNSBank Of Nova Scotia/The - US
$2.0M
FMFFormfactor Inc - US
$2.0M
CA8ACaci International Inc - US
$2.0M
SYYSysco Corp - US
$2.0M
TLSTelos Corp - US
$2.0M
MTHMeritage Homes Corp - US
$2.0M
BYByline Bancorp Inc - US
$2.0M
AIPArteris Inc - US
$2.0M
AALAmerican Airlines Group Inc - US
$2.0M
AWMSkyworks Solutions Inc - US
$2.0M
PKPark Hotels & Resorts Inc - US REIT
$2.0M
ATOAtmos Energy Corp - US
$2.0M
EMREmerson Electric Co - US
$2.0M
AUAnglogold Ashanti Plc - US
$2.0M
EWWIshares Msci Mexico Etf - US ETP
$2.0M
KIDSOrthopediatrics Corp - US
$2.0M
EX9Exelixis Inc - US
$2.0M
ZIPZiprecruiter Inc - US
$2.0M
MIAXMiami International Holdings Inc - US
$2.0M
SLDESlide Insurance Holdings Inc - US
$2.0M
CENTCentral Garden & Pet Company
$2.0M
DVDoubleverify Holdings Inc - US
$2.0M
OPYOppenheimer Holdings Inc - US
$2.0M
FIZZNational Beverage Corp - US
$2.0M
BKSYBlacksky Technology Inc - US
$2.0M
EDGGold Fields Ltd - US ADR
$2.0M
UTZUtz Brands Inc - US
$2.0M
FWRDForward Air Corp - US
$2.0M
ROLRollins Inc - US
$2.0M
DGRWWisdomTree U.S. Quality Dividend Growth Fund - US
$2.0M
RCReady Capital Corp - US REIT
$2.0M
BBYBest Buy Co Inc - US
$2.0M
RPMRpm International Inc - US
$2.0M
DECDiversified Energy Co - US
$2.0M
APGEApogee Therapeutics Inc - US
$2.0M
CRUSCirrus Logic Inc - US
$2.0M
IONQIonq Inc - US
$2.0M
OVERBed Bath & Beyond Inc - US
$2.0M
NCNOnCino Inc - US
$2.0M
OEFIshares S&P 100 Etf - US ETP
$2.0M
AGFirst Majestic Silver Corp - US
$2.0M
GLXYGalaxy Digital Inc - US
$2.0M
TERNTerns Pharmaceuticals Inc - US
$2.0M
HRLHormel Foods Corp - US
$2.0M
ACICAmerican Coastal Insurance Corp - US
$2.0M
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