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Institutional Investment Manager
STEVENS CAPITAL MANAGEMENT LP
STEVENS CAPITAL MANAGEMENT LP (CIK: 0001134813), located at 201 King Of Prussia Road, Radnor, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 876 holdings with a total value of $2,402,136,000.
#
Name
Shares
Value ($)
%
Options
Notes
801 Tribune Media Company 5,667 207,000 0.01%
802 FIRST BANCORP P R COM NEW 39,671 206,000 0.01%
803 ENSTAR GROUP LIMITED COM 1,248 205,000 0.01%
804 PACKAGING CORP AMER 2,519 205,000 0.01%
805 CREDIT ACCEP CORP MICH 1,017 204,000 0.01%
806 ECHOSTAR CORP CL A 4,662 204,000 0.01%
807 Meta Finl Group Inc 3,323 201,000 0.01%
808 SUPERNUS PHARMACEUTICALS INC 8,142 201,000 0.01%
809 Francesca's Holdings Corp 12,786 197,000 0.01%
810 CARETRUST REIT INC COM 13,329 197,000 0.01%
811 CROSS CTRY HEALTHCARE INC COM 16,615 196,000 0.01%
812 DAKTRONICS INC 20,299 194,000 0.01%
813 ITAU UNIBANCO HLDG SA 17,539 192,000 0.01%
814 TAILORED BRANDS INC COM 12,168 191,000 0.01%
815 APPLE HOSPITALITY REIT INC 10,281 190,000 0.01%
816 PENN ENTERTAINMENT INC COM 13,908 189,000 0.01%
817 UNITED INS HLDGS CORP 10,636 181,000 0.01%
818 PREFERRED APT CMNTYS INC COM 13,059 176,000 0.01%
819 SCICLONE PHARMACEUTICALS INC 16,117 165,000 0.01%
820 CAPSTEAD MTG CORP COM NO PAR 17,386 164,000 0.01%
821 TURQUOISE HILL RES LTD 54,644 162,000 0.01%
822 NEW SR INVEST GRP INC COM 14,081 162,000 0.01%
823 POTBELLY CORP 12,960 161,000 0.01%
824 MCDERMOTT INTL INC 31,840 160,000 0.01%
825 GENERAL CABLE CORP DEL NEW 10,146 152,000 0.01%
826 ICONIX BRAND GROUP INC 18,357 149,000 0.01%
827 INSYS THERAPEUTICS INC NEW COM NEW 12,467 147,000 0.01%
828 AU OPTRONICS CORP 39,812 145,000 0.01%
829 ARATANA THERAPEUTICS INC 14,634 137,000 0.01%
830 OASIS PETE INC NEW 11,732 135,000 0.01%
831 DHT HOLDINGS INC 32,203 135,000 0.01%
832 OVERSEAS SHIPHOLDING GROUP I 12,802 135,000 0.01%
833 CLIFFS NAT RES INC 22,652 133,000 0.01%
834 CARROLS RESTAURANT GROUP INC 10,070 133,000 0.01%
835 SUNSTONE HOTEL INVESTORS REIT 10,233 131,000 0.01%
836 LSB INDS INC COM 15,167 130,000 0.01%
837 TELEFONICA S A 12,681 128,000 0.01%
838 COSAN LTD 17,854 128,000 0.01%
839 ADVANCED MICRO DEVICES INC 18,371 127,000 0.01%
840 RESOLUTE FST PRODS INC 26,480 125,000 0.01%
841 LATAM AIRLS GROUP S A 15,342 125,000 0.01%
842 SPECTRUM PHARMACEUTICALS INC COM 26,043 122,000 0.01%
843 EARTHLINK HOLDINGS ORD 19,723 122,000 0.01%
844 LXP INDUSTRIAL TRUST COM 11,725 121,000 0.01%
845 FIRST MAJESTIC SILVER CORP 11,641 120,000 0.00%
846 LION BIOTECHNOLOGIES INC COM 14,391 118,000 0.00%
847 FUTUREFUEL CORPORATION 10,416 117,000 0.00%
848 MITEL NETWORKS CORP 15,951 117,000 0.00%
849 GOGO INC 10,499 116,000 0.00%
850 ORASURE TECHNOLOGIES INC 14,514 116,000 0.00%
Page 17 of 18

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001134813-16-000015, filed 2016.11.08).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.