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Institutional Investment Manager
TUDOR INVESTMENT CORP ET AL
TUDOR INVESTMENT CORP ET AL (CIK: 0000923093) incorporated in Delaware, located at 200 Elm Street, Stamford, CT. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Original 13F HR (0000950123-15-012208) filed in 2015.11.16
#
Name
Shares
Value ($)
%
Options
Notes
1351 BAXTER INTERNATIONAL INC 79,931 2,626 0.09%
1352 HOLLYFRONTIER CORP 54,585 2,666 0.09%
1353 ABBVIE 49,480 2,692 0.09%
1354 AGILENT TECHNOLOGIES INC 79,252 2,721 0.09%
1355 UNION PACIFIC CORP 31,200 2,758 0.09% Put
1356 JABIL INC 127,253 2,847 0.10%
1357 FIRSTENERGY CORP 91,554 2,867 0.10%
1358 TECO ENERGY INC 110,000 2,889 0.10%
1359 CBS CORP 72,508 2,893 0.10%
1360 VERIZON COMMUNICATIONS 66,835 2,908 0.10%
1361 CAL MAINE FOODS INC 53,998 2,949 0.10%
1362 VENTAS INC 53,415 2,994 0.10%
1363 AFLAC 51,607 3,000 0.10%
1364 CADENCE DESIGN SYSTEM INC 145,105 3,001 0.10%
1365 REMY INTL INC NEW 103,205 3,019 0.10%
1366 SANDISK CORP 56,600 3,075 0.10% Call
1367 ALLERGAN PLC 11,317 3,076 0.10%
1368 NEXTERA ENERGY 31,731 3,095 0.10%
1369 HYATT HOTELS CORP 65,958 3,107 0.11%
1370 MEAD JOHNSON NUTRITION CO 44,145 3,108 0.11%
1371 INTEGRA LIFESCIENCES HLDGS C 52,810 3,145 0.11%
1372 HONEYWELL INTERNATIONAL 33,500 3,172 0.11%
1373 NEWELL BRANDS INC 80,011 3,177 0.11%
1374 DOLLAR GENERAL CORP 44,255 3,206 0.11%
1375 TEXAS INSTRUMENT 65,917 3,264 0.11%
1376 ENVISION HEALTHCARE HLDGS INC 90,124 3,316 0.11%
1377 DU PONT 71,700 3,455 0.12% Put
1378 COMPUTER SCIENCES CORP. 56,668 3,478 0.12%
1379 MILLENNIAL MEDIA INC 2,000,000 3,500 0.12%
1380 T MOBILE US INC 88,229 3,512 0.12%
1381 LIBERTY GLOBAL PLC 102,610 3,513 0.12%
1382 PROCTER & GAMBLE CO 49,200 3,539 0.12% Put
1383 CATERPILLAR INC DEL 55,000 3,595 0.12%
1384 METLIFE INC 77,923 3,674 0.12%
1385 ENVIVIO INC 900,000 3,681 0.12%
1386 KELLOGG CO 55,400 3,687 0.12%
1387 COMCAST CORP 65,073 3,701 0.13%
1388 FEDEX CORP 26,185 3,770 0.13%
1389 EDGEWELL PERS CARE CO 46,668 3,808 0.13%
1390 AERCAP HOLDINGS NV 100,000 3,824 0.13% Call
1391 YODLEE INC 250,000 4,033 0.14%
1392 VOYA FINL INC 104,251 4,042 0.14%
1393 2U INC 112,671 4,045 0.14%
1394 ORACLE CORP 113,127 4,086 0.14%
1395 KANSAS CITY SOUTHERN 45,000 4,090 0.14%
1396 JOHNSON CONTROLS INC 99,480 4,114 0.14%
1397 HUNT JB TRANSPRT SVCS INC 57,690 4,119 0.14%
1398 BRINKER INTL 79,300 4,177 0.14%
1399 NIKE INC 34,094 4,193 0.14%
1400 GENERAL MILLS 75,000 4,210 0.14%
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