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Tudor Investment 13F holdings, Q4 1999

Holdings as of December 31, 1999 · filings on SEC EDGAR · latest filing →

Tudor Investment disclosed 354 US equity positions worth $4.3bn in its Q4 1999 13F filing. The largest position was Art Technology Group Inc at 8.8% of the reported book, followed by VoiceStream Wireless Corporation and Global Crossing LTD. Against the Q3 1999 filing, it opened 22 new positions, added to 22 and reduced 6 among the top 50 holdings.

← Q3 1999 · Q1 2000 →

What did Tudor Investment own in Q4 1999? Top 50 positions

#StockSectorWeightValueSharesΔ sharesvs Q3 1999
1 Art Technology Group Inc 8.8%$373.1m4,368,262 -20% reduced
2 VoiceStream Wireless Corporation 2.7%$116.1m815,950 14% added
3 Global Crossing LTD 2.6%$112.9m2,257,700 new
4 ACT Networks, Inc 2.4%$103.4m2,970,000 235% added
5 General Mtrs Corp(CL H) 2.0%$84.4m879,450 1547% added
6 Commerce One Inc 1.9%$81.8m416,400 49% added
7 Conexant Systems Inc 1.9%$79.7m1,200,720 38% added
8 SPX Corporation 1.8%$77.1m954,040 11% added
9 Hyperion Solutions 1.8%$75.7m1,739,200 new
10 AMFM Inc 1.7%$73.8m942,600 -53% reduced
11 AT&T Corp - Liberty Media Group - A 1.6%$66.8m1,176,620 52% added
12 Vodafone Airtouch Plc SP 1.6%$66.8m1,350,220 new
13 International Home Foods Incorporated 1.5%$64.2m3,693,440 70% added
14 Yahoo! Incorporated 1.4%$61.1m141,306 -72% reduced
15 United Globalcom Inc 1.4%$59.9m848,200 new
16 Chiron Corporation 1.4%$59.5m1,405,080 new
17 TV Guide Incorporated 1.4%$59.3m1,379,360 22% added
18 MicroStrategy Incorporated 1.4%$57.6m274,400 65% added
19 Comdisco Incorporated 1.3%$57.4m1,541,790 new
20 Corecomm Limited 1.3%$57.3m965,500 22% added
21 Western Wireless Corporation 1.3%$56.5m846,870 -11% reduced
22 Newbridge Networks Corporation 1.3%$54.3m2,404,820 new
23 Lycos Incorporated 1.2%$51.5m647,200 136% added
24 AT&T Corporation 1.1%$48.3m950,000 new
25 Phone.com Incorporated 1.1%$47.5m410,000 100% added
26 NAV Navistar International Corporation 1.1%$47.4m1,008,150 335% added
27 E.W. Scripps Company 1.1%$46.7m1,041,500 -31% reduced
28 Earthweb Incorporated 1.1%$45.3m899,600 666% added
29 Tenet Healthcare Corporation 1.1%$45.1m1,918,990 new
30 RVTY Perkinelmer Incorporated Healthcare 0.9%$40.4m967,930 new
31 PSInet Incorporated 0.9%$37.1m600,200 new
32 DIS Walt Disney Company Communication Services 0.9%$36.4m1,243,400 new
33 American Mobile Satellite Corporation 0.8%$36.1m1,714,180 new
34 Ariba Incorporated 0.8%$33.3m188,000 100% added
35 BSX Boston Scientific Corporation Healthcare 0.8%$32.6m1,490,710 new
36 Cabletron Systems 0.7%$31.7m1,220,890 new
37 24/7 Media Incorporated 0.7%$31.2m555,300 325% added
38 NTL Incorporated 0.7%$31.1m248,925 16% added
39 Redback Networks 0.7%$31.0m174,490 new
40 Wink Communications Inc 0.7%$30.7m511,900 2825% added
41 Red Hat Inc 0.7%$30.7m145,400 82% added
42 America Online 0.7%$30.4m400,200 new
43 Park Place Entertainment 0.7%$29.3m2,346,000 new
44 Gilat Satellite Networks 0.7%$29.3m246,500 new
45 Spyglass Incorporated 0.7%$28.7m756,960 909% added
46 China.com Corp 0.6%$27.5m350,000 new
47 Arch Communications Group Incorporated 0.6%$27.3m4,136,799 1% added
48 VERITAS SOFTWARE CORP 0.6%$26.1m182,610 new
49 Pairgain Tech 0.6%$25.8m1,820,600 new
50 Symantec Corporation 0.6%$25.7m438,400 -34% reduced

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.