Tudor Investment 13F holdings, Q2 1999
Holdings as of June 30, 1999 · filings on SEC EDGAR · latest filing →
Tudor Investment disclosed 220 US equity positions worth $1.8bn in its Q2 1999 13F filing. The largest position was SCRIPPS CO (E.W.) at 4.1% of the reported book, followed by GLW and REYNOLDS METALS CO.
What did Tudor Investment own in Q2 1999? Top 50 positions
| # | Stock | Sector | Weight | Value | Shares | Δ shares | vs prior |
|---|---|---|---|---|---|---|---|
| 1 | SCRIPPS CO (E.W.) | 4.1% | $71.9m | 1,510,900 | – | ||
| 2 | GLW CORNING INC | Technology | 3.6% | $63.2m | 900,600 | – | |
| 3 | REYNOLDS METALS CO | 3.3% | $58.2m | 987,300 | – | ||
| 4 | VODAFONE AIR TOUCH PLC SPONSOR ADRS STOCKS | 3.1% | $55.3m | 280,670 | – | ||
| 5 | CONEXANT SYSTEMS INC | 3.1% | $55.0m | 947,500 | – | ||
| 6 | EBAY EBAY INC | Consumer Cyclical | 3.0% | $53.1m | 350,500 | – | |
| 7 | AT&T CORP LIBERTY MEDIA GROUP | 3.0% | $52.9m | 1,439,908 | – | ||
| 8 | SPX CORP | 2.8% | $49.1m | 588,500 | – | ||
| 9 | MOTOROLA INC | 2.7% | $47.3m | 499,100 | – | ||
| 10 | MCI WORLDCOM INC | 2.3% | $41.0m | 476,500 | – | ||
| 11 | HEALTHSOUTH CORP | 2.2% | $39.7m | 2,670,000 | – | ||
| 12 | TYCO INTERNATIONAL LTD | 2.1% | $38.0m | 401,500 | – | ||
| 13 | GENERAL MOTORS | 2.1% | $38.0m | 674,200 | – | ||
| 14 | INTERNATIONAL HOME FOODS INC | 1.9% | $33.0m | 1,788,600 | – | ||
| 15 | TV GUIDE INC | 1.5% | $26.2m | 714,300 | – | ||
| 16 | VYX NCR CORPORATION | Technology | 1.5% | $26.1m | 535,500 | – | |
| 17 | SPRINT CORP USD2.50 | 1.5% | $25.9m | 488,800 | – | ||
| 18 | PITTSTON BRINK'S GROUP | 1.4% | $25.6m | 955,300 | – | ||
| 19 | BEA SYSTEMS INC | 1.4% | $24.5m | 857,700 | – | ||
| 20 | ACTV INC | 1.3% | $23.4m | 1,687,000 | – | ||
| 21 | POTOMAC ELECTRIC POWER COMPANY | 1.3% | $22.3m | 758,300 | – | ||
| 22 | NTL INCORPORATED | 1.2% | $21.9m | 253,700 | – | ||
| 23 | LUCENT TECHNOLOGIES INC | 1.1% | $20.2m | 300,000 | – | ||
| 24 | GRAND UNION CO | 1.1% | $19.7m | 1,825,647 | – | ||
| 25 | BOSTON COMMUNICATIONS GROUP | 1.1% | $18.7m | 1,394,200 | – | ||
| 26 | CBS CORPORATION | 1.1% | $18.7m | 429,000 | – | ||
| 27 | TXN TEXAS INSTRUMENTS INC USD1 CO | Technology | 1.0% | $18.0m | 125,000 | – | |
| 28 | LYCOS INC | 1.0% | $17.8m | 193,482 | – | ||
| 29 | BIG FLOWER HOLDINGS INC | 1.0% | $17.7m | 555,900 | – | ||
| 30 | REALNETWORKS INC | 1.0% | $17.0m | 247,100 | – | ||
| 31 | NOVOSTE CORP | 0.9% | $16.3m | 777,200 | – | ||
| 32 | CORECOMM LIMITED | 0.9% | $16.1m | 332,800 | – | ||
| 33 | PAGING NETWORK INC | 0.9% | $15.9m | 3,301,500 | – | ||
| 34 | SHARED MEDICAL SYS | 0.9% | $15.2m | 232,300 | – | ||
| 35 | IXC COMMUNICATIONS INC | 0.8% | $14.9m | 379,900 | – | ||
| 36 | ST JUDE MED INC | 0.8% | $14.6m | 409,100 | – | ||
| 37 | WESTOWER CORP | 0.8% | $14.4m | 586,100 | – | ||
| 38 | INKTOMI CORP | 0.7% | $13.2m | 100,600 | – | ||
| 39 | KOREA TELECOM CORP | 0.7% | $13.1m | 328,636 | – | ||
| 40 | DSP COMMUNICATIONS INC | 0.7% | $12.9m | 448,100 | – | ||
| 41 | DOCUMENTUM INC | 0.7% | $12.5m | 956,100 | – | ||
| 42 | DOUBLECLICK INC | 0.7% | $12.4m | 135,000 | – | ||
| 43 | PRIME HOSPITALITY CORP | 0.7% | $12.2m | 1,015,200 | – | ||
| 44 | YAHOO INC | 0.7% | $12.1m | 70,000 | – | ||
| 45 | SENSORMATIC ELEC | 0.7% | $12.1m | 865,000 | – | ||
| 46 | ARCH COMMUNICATIONS GROUP INCE | 0.7% | $11.9m | 1,397,695 | – | ||
| 47 | EXTR EXTREME NETWORKS INC USD | Technology | 0.7% | $11.6m | 200,000 | – | |
| 48 | LORAL SPACE AND COMMUNICATIONS | 0.6% | $11.2m | 625,000 | – | ||
| 49 | TRANSWITCH CORP | 0.6% | $10.7m | 225,000 | – | ||
| 50 | SILICON GRAPHICS INC | 0.6% | $10.3m | 627,400 | – |
Weights are shares of the reported long US equity book (options excluded). Values are as filed, normalised to whole dollars. Share changes compare against the immediately preceding filing only.