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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.

· Q3 1999 →

What did Tudor Investment own in Q2 1999? Top 50 positions

#StockSectorWeightValueSharesΔ sharesvs prior
1 SCRIPPS CO (E.W.) 4.1%$71.9m1,510,900
2 GLW CORNING INC Technology 3.6%$63.2m900,600
3 REYNOLDS METALS CO 3.3%$58.2m987,300
4 VODAFONE AIR TOUCH PLC SPONSOR ADRS STOCKS 3.1%$55.3m280,670
5 CONEXANT SYSTEMS INC 3.1%$55.0m947,500
6 EBAY EBAY INC Consumer Cyclical 3.0%$53.1m350,500
7 AT&T CORP LIBERTY MEDIA GROUP 3.0%$52.9m1,439,908
8 SPX CORP 2.8%$49.1m588,500
9 MOTOROLA INC 2.7%$47.3m499,100
10 MCI WORLDCOM INC 2.3%$41.0m476,500
11 HEALTHSOUTH CORP 2.2%$39.7m2,670,000
12 TYCO INTERNATIONAL LTD 2.1%$38.0m401,500
13 GENERAL MOTORS 2.1%$38.0m674,200
14 INTERNATIONAL HOME FOODS INC 1.9%$33.0m1,788,600
15 TV GUIDE INC 1.5%$26.2m714,300
16 VYX NCR CORPORATION Technology 1.5%$26.1m535,500
17 SPRINT CORP USD2.50 1.5%$25.9m488,800
18 PITTSTON BRINK'S GROUP 1.4%$25.6m955,300
19 BEA SYSTEMS INC 1.4%$24.5m857,700
20 ACTV INC 1.3%$23.4m1,687,000
21 POTOMAC ELECTRIC POWER COMPANY 1.3%$22.3m758,300
22 NTL INCORPORATED 1.2%$21.9m253,700
23 LUCENT TECHNOLOGIES INC 1.1%$20.2m300,000
24 GRAND UNION CO 1.1%$19.7m1,825,647
25 BOSTON COMMUNICATIONS GROUP 1.1%$18.7m1,394,200
26 CBS CORPORATION 1.1%$18.7m429,000
27 TXN TEXAS INSTRUMENTS INC USD1 CO Technology 1.0%$18.0m125,000
28 LYCOS INC 1.0%$17.8m193,482
29 BIG FLOWER HOLDINGS INC 1.0%$17.7m555,900
30 REALNETWORKS INC 1.0%$17.0m247,100
31 NOVOSTE CORP 0.9%$16.3m777,200
32 CORECOMM LIMITED 0.9%$16.1m332,800
33 PAGING NETWORK INC 0.9%$15.9m3,301,500
34 SHARED MEDICAL SYS 0.9%$15.2m232,300
35 IXC COMMUNICATIONS INC 0.8%$14.9m379,900
36 ST JUDE MED INC 0.8%$14.6m409,100
37 WESTOWER CORP 0.8%$14.4m586,100
38 INKTOMI CORP 0.7%$13.2m100,600
39 KOREA TELECOM CORP 0.7%$13.1m328,636
40 DSP COMMUNICATIONS INC 0.7%$12.9m448,100
41 DOCUMENTUM INC 0.7%$12.5m956,100
42 DOUBLECLICK INC 0.7%$12.4m135,000
43 PRIME HOSPITALITY CORP 0.7%$12.2m1,015,200
44 YAHOO INC 0.7%$12.1m70,000
45 SENSORMATIC ELEC 0.7%$12.1m865,000
46 ARCH COMMUNICATIONS GROUP INCE 0.7%$11.9m1,397,695
47 EXTR EXTREME NETWORKS INC USD Technology 0.7%$11.6m200,000
48 LORAL SPACE AND COMMUNICATIONS 0.6%$11.2m625,000
49 TRANSWITCH CORP 0.6%$10.7m225,000
50 SILICON GRAPHICS INC 0.6%$10.3m627,400

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.