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Institutional Investment Manager
TWO SIGMA INVESTMENTS, LP
TWO SIGMA INVESTMENTS, LP (CIK: 0001179392), located at 100 Avenue Of The Americas, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Original 13F HR (0000919574-14-004771) filed in 2014.08.14
#
Name
Shares
Value ($)
%
Options
Notes
151 FLEX LTD 3,425,057 37,915 0.18%
152 HOLOGIC INC 1,495,546 37,912 0.18%
153 BUFFALO WILD WINGS INC 228,585 37,879 0.18%
154 ANALOG DEVICES INC 700,051 37,852 0.18%
155 Ashland Inc New 346,437 37,672 0.18%
156 COMERICA INC 747,199 37,479 0.18%
157 GRAPHIC PACKAGING HLDG CO 3,197,836 37,414 0.18%
158 RAYTHEON CO 402,018 37,086 0.18%
159 FOOT LOCKER INC 727,695 36,909 0.18%
160 MONDELEZ INTL INC 981,245 36,905 0.18%
161 UNIVERSAL HLTH SVCS INC 384,005 36,772 0.18%
162 BRISTOL MYERS SQUIBB CO 755,856 36,667 0.17%
163 METLIFE INC 654,173 36,346 0.17%
164 TW TELECOM INC 899,964 36,278 0.17%
165 TRIQUINT SEMICONDU 2,290,759 36,217 0.17%
166 MELCO ENTMT ADR 979,619 34,982 0.17%
167 KLA-TENCOR CORP 481,398 34,968 0.17%
168 EXPEDITORS INTL WASH INC 786,959 34,752 0.17%
169 ROWAN COMPANIES PLC 1,085,137 34,649 0.17%
170 AVALONBAY COMM 243,420 34,612 0.16%
171 MARVELL TECHNOLOGY GROUP LTD 2,410,002 34,536 0.16%
172 CROWN HOLDINGS INC 692,702 34,469 0.16%
173 ACTIVISION BLIZZARD INC 1,540,769 34,359 0.16%
174 COPA HOLDINGS SA 240,638 34,308 0.16%
175 WYNN RESORTS LTD 164,839 34,215 0.16%
176 BARRICK GOLD CORP 1,855,994 33,965 0.16%
177 PANERA BREAD CO 225,078 33,723 0.16%
178 CBRE GROUP INC 1,048,118 33,582 0.16%
179 SOUTHWEST AIRLS CO 1,246,648 33,485 0.16%
180 MEAD JOHNSON NUTRITI 358,450 33,397 0.16%
181 S&P GLOBAL INC 401,818 33,363 0.16%
182 BROCADE COMMUNICATIONS SYS I 3,603,498 33,152 0.16%
183 WHIRLPOOL CORP 236,921 32,984 0.16%
184 BERKSHIRE HATHAWAY INC DEL 259,715 32,869 0.16%
185 STEEL DYNAMICS INC 1,829,404 32,838 0.16%
186 PPG INDS INC 154,624 32,494 0.15%
187 BROOKDALE SR LIVING INC 972,855 32,435 0.15%
188 ARES CAPITAL CORP 1,808,926 32,307 0.15%
189 KINDER MORGAN INC DEL 879,728 31,899 0.15%
190 ADOBE INC 440,599 31,882 0.15%
191 FLUOR CORP NEW 412,262 31,703 0.15%
192 REPUBLIC SVCS INC 834,074 31,670 0.15%
193 KEYCORP 2,202,552 31,562 0.15%
194 ASSURED GUARANTY LTD COM 1,281,175 31,389 0.15%
195 INCYTE CORP 550,409 31,065 0.15%
196 Allergan plc 183,272 31,013 0.15%
197 SELECT SECTOR SPDR TR 620,931 30,822 0.15%
198 AMDOCS LTD 661,969 30,669 0.15%
199 SLM CORP 3,663,782 30,446 0.15%
200 CABLEVISION SYS CORP(NEW) NY GROUP CL ACOM 1,722,513 30,402 0.14%
Page 4 of 41
Restatement filing (0000919574-16-009947) filed in 2016.02.09
#
Name
Shares
Value ($)
%
Options
Notes
1 MICRON TECHNOLOGY INC 5,583,337 183,971 0.87%
2 TIME WARNER INC NEW 1,201,736 177,016 0.84%
3 ALLERGAN PLC 735,798 164,120 0.77%
4 EBAY INC 3,252,801 162,835 0.77%
5 LYONDELLBASELL INDUSTRIES N 1,657,799 161,884 0.76%
6 COMCAST CORP NEW 2,960,785 158,935 0.75%
7 DirectTV Com 1,840,274 156,442 0.74%
8 WELLS FARGO & CO NEW 2,962,900 155,730 0.73%
9 UNITED PARCEL SERVICE INC 1,507,927 154,804 0.73%
10 FACEBOOK INC 2,279,991 153,421 0.72%
11 FEDEX CORP 1,013,252 153,386 0.72%
12 AMERICAN AIRLS GROUP INC 3,538,274 152,004 0.72%
13 BAKER HUGHES INC 1,983,375 147,662 0.70%
14 ABBVIE INC 2,499,595 141,077 0.67%
15 BROADCOM CORP CL A 3,602,389 133,721 0.63%
16 APPLE INC 1,435,217 133,375 0.63%
17 AMGEN INC 1,108,532 131,217 0.62%
18 Former Charter Communication (Del 5/18/2016) 775,925 122,891 0.58%
19 SOUTHWESTERN ENERGY CO 2,637,101 119,962 0.57%
20 DISH NETWORK A 1,768,939 115,123 0.54%
21 GENERAL DYNAMICS CORP 981,568 114,402 0.54%
22 SANDISK CORP 1,094,721 114,322 0.54%
23 DOW CHEM CO 2,174,723 111,911 0.53%
24 HCA HOLDINGS INC 1,963,100 110,680 0.52%
25 SYMANTEC CORP 4,810,822 110,168 0.52%
26 VODAFONE GROUP PLC NEW 3,255,275 108,694 0.51%
27 PHILIP MORRIS INTL INC 1,259,104 106,155 0.50%
28 JUNIPER NETWORKS 4,320,970 106,037 0.50%
29 NETAPP INC 2,824,807 103,162 0.49%
30 BP PLC 1,954,271 103,088 0.49%
31 Questcor 1,114,409 103,072 0.49%
32 BAXTER INTL INC 1,393,428 100,745 0.48%
33 BAIDU INC 536,488 100,221 0.47%
34 VALEANT PHARMACEUTICALS INTL 782,433 98,680 0.47%
35 CISCO SYS INC 3,937,691 97,852 0.46%
36 Hewlett Packard Co 2,889,358 97,314 0.46%
37 Equinix Inc New 457,996 96,220 0.45%
38 MARATHON PETE CORP 1,230,689 96,080 0.45%
39 TEVA PHARMACEUTICAL INDS LTD 1,811,338 94,950 0.45%
40 MOSAIC CO NEW 1,918,871 94,888 0.45%
41 FOREST LABS INC COM 932,885 92,356 0.44%
42 COCA COLA ENTERPRISES INC NE COM 1,929,465 92,190 0.44%
43 OMNICOM GROUP INC 1,282,794 91,361 0.43%
44 UNION PAC CORP 915,875 91,359 0.43%
45 QUALCOMM INC 1,153,474 91,355 0.43%
46 MALLINCKRODT PUB LTD CO 1,098,921 87,936 0.41%
47 SUNCOR ENERGY INC NEW 1,954,509 83,369 0.39%
48 EQT CORP 777,770 83,144 0.39%
49 COACH INC 2,421,479 82,790 0.39%
50 HILTON WORLDWIDE 3,517,125 81,949 0.39%
Page 1 of 41
New Holding filing (0000919574-16-009949) filed in 2016.02.09
#
Name
Shares
Value ($)
%
Options
Notes
51 FRANKS INTL N V 73,889 1,818 0.18%
52 CAE INC 133,900 1,753 0.18%
53 TUESDAY MORNING CORP 86,703 1,545 0.15%
54 RE MAX HLDGS INC CL A 46,681 1,381 0.14%
55 TIME INC NEW 52,909 1,281 0.13%
56 FREDS INC-TENN CL A 80,946 1,238 0.12%
57 Lamar Advertising Co A 22,042 1,168 0.12%
58 TOWER SEMICONDUCTOR LTD 116,514 1,058 0.11%
59 KIRKLANDS INC COM 49,232 913 0.09%
60 PENTAIR PLC 12,269 885 0.09%
61 ENBRIDGE INC 16,222 770 0.08%
62 TRISTATE CAP HLDGS INC COM 52,272 739 0.07%
63 ACCURIDE CORP NEW 137,123 671 0.07%
64 HENRY SCHEIN INC 5,425 644 0.06%
65 Hercules Offshore Inc 152,351 612 0.06%
66 ALAMO GROUP INC 11,210 606 0.06%
67 NOVANTA INC 47,053 599 0.06%
68 VASCULAR SOLUTIONS 26,718 593 0.06%
69 BROOKFIELD ASSET MGMT INC 13,100 577 0.06%
70 ISHARES RUSSELL 1000 ETF 4,346 479 0.05%
71 AZZ INC 8,456 390 0.04%
72 AOL INC 9,207 366 0.04%
73 HACKETT GROUP INC 58,692 350 0.04%
74 ISHARES INC 11,058 322 0.03%
75 NUCOR CORP 6,535 322 0.03%
76 Union Bankshares Corporation 12,210 313 0.03%
77 BROOKFIELD CDA OFFICE PPTYS 11,700 302 0.03%
78 LMI Aerospace, Inc. 18,738 245 0.02%
79 ITC HOLDINGS 6,477 236 0.02%
80 PEOPLES FINL SVCS CORPORATION 3,900 200 0.02%
81 FORTUNA SILVER MINES INC 31,500 174 0.02%
82 IAO KUN GROUP HLDG CO LTD 54,700 170 0.02%
83 PRIMERO MNG CORP 19,287 155 0.02%
84 DIGIRAD CORP 34,483 123 0.01%
85 AUGUSTA RESOURCE CORP 14,389 46 0.00%
86 SIGA TECHNOLOGIES ORD 11,633 33 0.00%
87 METALICO INC 13,590 17 0.00%
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