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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

TUDOR INVESTMENT CORP ET AL INSTITUTION : Paul Tudor Jones (TUDOR INVESTMENT CORP ET AL )
Paul Tudor Jones Portfolio (reported on 2021-05-17)
Company (links to holding history) Ticker Value On
2021-03-31
No of Shares % of portfolio
SPDR S&P 500 ETF Trust    (Exchange-Traded Fund) SPY 309,738,000 781,515 6.21%
AMEX Industrial Select Sector SPDR    (Exchange-Traded Fund) XLI 166,774,000 1,694,000 3.34%
Alexion Pharmaceuticals Incorporated    (Equity) ALXN 145,256,000 949,941 2.91%
iShares JP Morgan USD Emerging Markets Bond ETF    (ETF Option) EMB 75,127,000 690,000 1.50%
Apple Inc    (Equity) AAPL 73,647,000 602,929 1.47%
Grubhub Inc    (Equity) GRUB 72,496,000 1,208,267 1.45%
Navistar International Corporation    (Equity) NAV 69,539,000 1,579,346 1.39%
Liberty Broadband C    (Equity) LBRDK 68,936,000 459,112 1.38%
Realpage Inc    (Equity) RP 61,040,000 700,000 1.22%
Gw Pharmaceuticals -adr    (Depository Receipt) GWPH 60,624,000 279,500 1.21%
AMEX Financial Select Sector SPDR NEW    (ETF Option) XLF 55,813,000 1,639,169 1.11%
Airbnb Inc-Class A    (Equity) 55,132,000 293,351 1.10%
iShares China Large-Cap ETF    (ETF Option) FXI 53,659,000 1,150,000 1.07%
VanEck Vectors Semiconductor ETF    (Exchange-Traded Fund) 53,362,000 219,102 1.07%
C3.ai Inc    (Equity) 49,433,000 750,000 0.99%
Zoom Video Communications-a    (Equity) 49,082,000 152,766 0.98%
Xilinx Incorporated    (Equity) XLNX 47,462,000 383,070 0.95%
Varian Medical Systems Inc.    (Equity) VAR 44,307,000 250,991 0.88%
iShares PHLX Semiconductor ETF    (Exchange-Traded Fund) IGW 42,966,000 101,337 0.86%
IHS Markit Ltd    (Equity) 42,592,000 440,094 0.85%
FLIR Systems Incorporated    (Equity) FLIR 39,051,000 691,543 0.78%
Slack Technologies Inc- Cl A    (Equity) 36,983,000 910,231 0.74%
AMEX Energy Select Sector SPDR    (Exchange-Traded Fund) XLE 34,802,000 709,383 0.69%
Amazon.Com Incorporated    (Equity) AMZN 33,428,000 10,804 0.67%
Liberty SiriusXM Group - C    (Equity) LSXMK 29,449,000 667,632 0.59%
Waddell & Reed Financial Inc.-CL A    (Equity) WDR 24,440,000 975,646 0.49%
Intel Corporation    (Equity) INTC 24,433,000 381,769 0.49%
CoreLogic Inc.    (Equity) CLGX 21,713,000 273,975 0.43%
iShares Russell 2000 ETF    (ETF Option) IWM 20,989,000 95,000 0.42%
B. Riley Financial Inc    (Equity) 20,511,000 363,793 0.41%
Uber Technologies Inc    (Equity) 20,358,000 373,468 0.40%
Lightspeed Pos Inc-sub Vote    (Equity) 18,918,000 301,192 0.37%
Crh Medical Corp    (Equity) 18,894,000 4,783,400 0.37%
Inphi Corp    (Equity) IPHI 18,746,000 105,075 0.37%
Microsoft Corporation    (Equity) MSFT 17,818,000 75,572 0.35%
Digitalocean Holdings Inc    (Equity) 16,852,000 400,000 0.33%
Genmark Diagnostics Inc    (Equity) GNMK 16,730,000 700,015 0.33%
Pra Health Sciences Inc    (Equity) PRAH 16,453,000 107,304 0.33%
TJX Companies Inc.    (Equity) TJX 15,984,000 241,637 0.32%
Walmart Inc    (Equity) WMT 15,376,000 113,202 0.30%
American Tower Corp - Class A    (Equity) AMT 15,144,000 63,348 0.30%
Hartford Financial Services Group Inc.    (Equity) HIG 15,033,000 225,083 0.30%
WP Carey Inc    (Equity) WPC 14,607,000 206,427 0.29%
Palo Alto Networks Inc    (Equity) PANW 13,672,000 42,452 0.27%
Intercontinental Exchange Inc    (Equity) ICE 13,531,000 121,159 0.27%
Snowflake Inc-class A    (Equity) 13,190,000 57,526 0.26%
Otis Worldwide Corp    (Equity) 13,177,000 192,499 0.26%
Twilio Inc - A    (Equity) 13,134,000 38,544 0.26%
Kansas City Southern    (Equity) KSU 12,932,000 49,000 0.25%
T-Mobile US Inc    (Equity) TMUS 12,421,000 99,135 0.24%
Lerer Hippeau Acquisition Corp    (Equity) 12,375,000 1,250,000 0.24%
Freeport-McMoRan Inc    (Equity) FCX 12,346,000 374,930 0.24%
Healthequity Inc    (Equity) HQY 12,329,000 181,304 0.24%
CME Group Inc    (Equity) CME 12,254,000 60,000 0.24%
Pjt Partners Inc - A    (Equity) 12,147,000 179,556 0.24%
Maxim Integrated Products Incorporated    (Equity) MXIM 11,915,000 130,406 0.23%
Coherent Incorporated    (Equity) COHR 11,856,000 46,883 0.23%
Tekkorp Digital Acquisition Corp    (Equity) 11,760,000 1,200,000 0.23%
Cleveland-Cliffs Inc    (Equity) 11,699,000 581,769 0.23%
Walt Disney Co/the    (Equity) DIS 11,538,000 62,528 0.23%
Glu Mobile Inc    (Equity) GLUU 11,432,000 916,051 0.22%
Magellan Health Inc - NEW    (Equity) MGLN 10,969,000 117,642 0.22%
Eli Lilly & Company    (Equity) LLY 10,784,000 57,723 0.21%
Qualcomm Incorporated    (Equity) QCOM 10,656,000 80,368 0.21%
Paypal Holdings Inc    (Equity) PYPL 10,642,000 43,825 0.21%
VF Corporation    (Equity) VFC 10,537,000 131,839 0.21%
Aon PLC    (Equity) 10,085,000 43,825 0.20%
NextEra Energy Inc    (Equity) NEE 9,836,000 130,092 0.19%
Altice Usa Inc- A    (Equity) 9,749,000 299,692 0.19%
Alphabet Inc.    (Equity) GOOGL 9,679,000 4,693 0.19%
Colfax Corp    (Equity) CFX 9,547,000 217,921 0.19%
Cyrusone Inc    (Equity) CONE 9,522,000 140,613 0.19%
Inari Medical Inc    (Equity) 9,425,000 88,083 0.18%
KeyCorp - NEW    (Equity) KEY 9,209,000 460,927 0.18%
Juniper Networks Incorporated    (Equity) JNPR 8,995,000 355,100 0.18%
Xerox Holdings Corp    (Equity) 8,938,000 368,260 0.17%
Affirm Holdings Inc    (Equity) 8,840,000 125,000 0.17%
Check Point Software Tech Ltd    (Equity) CHKP 8,722,000 77,897 0.17%
Rignet Inc    (Equity) RNET 8,709,000 998,744 0.17%
Union Pacific Corporation    (Equity) UNP 8,608,000 39,056 0.17%
Visa Inc - Class A Shares    (Equity) V 8,465,000 39,979 0.16%
Lam Research Corporation    (Equity) LRCX 8,336,000 14,004 0.16%
Black Knight Inc    (Equity) 8,290,000 112,045 0.16%
Digital Realty Trust Inc    (Equity) DLR 8,205,000 58,259 0.16%
Fedex Corporation    (Equity) FDX 8,068,000 28,404 0.16%
Oscar Health Inc - Class A    (Equity) 8,064,000 300,000 0.16%
Prudential Financial Inc.    (Equity) PRU 7,974,000 87,534 0.15%
AstraZeneca PLC - ADR    (Equity Option) AZN 7,955,000 160,000 0.15%
KLA Corp    (Equity) KLAC 7,941,000 24,033 0.15%
Citizens Financial Group    (Equity) CFG 7,781,000 176,241 0.15%
Constellation Brands Inc - A    (Equity) STZ 7,755,000 34,012 0.15%
Brixmor Property Group Inc    (Equity) BRX 7,742,000 382,680 0.15%
Alexandria Real Estate Equities Inc    (Equity) ARE 7,718,000 46,975 0.15%
Kimberly-Clark Corporation    (Equity) KMB 7,710,000 55,447 0.15%
Alaska Comm Systems Group    (Equity) ALSK 7,691,000 2,366,326 0.15%
L3Harris Technologies Inc    (Equity) 7,597,000 37,484 0.15%
Sherwin-Williams Company    (Equity) SHW 7,571,000 10,259 0.15%
Change Healthcare Inc    (Equity) 7,529,000 340,699 0.15%
Watford Holdings Ltd    (Equity) 7,479,000 216,095 0.15%
UDR Inc    (Equity) UDR 7,427,000 169,344 0.14%
RADWARE Ltd.    (Equity) RDWR 7,419,000 284,488 0.14%
Interactive Brokers Gro-cl A    (Equity) IBKR 7,261,000 99,416 0.14%
Deckers Outdoor Corporation    (Equity) DECK 7,257,000 21,964 0.14%
Rio Tinto Plc - Sponsored ADR    (Depository Receipt) RTP 7,226,000 93,055 0.14%
Crown Holdings Inc.    (Equity) CCK 7,136,000 73,537 0.14%
Raytheon Technologies Corp    (Equity) 7,075,000 91,564 0.14%
Cerner Corporation    (Equity) CERN 6,991,000 97,262 0.14%
Chubb Ltd    (Equity) CB 6,990,000 44,252 0.14%
BHP Group Ltd -ADR    (Depository Receipt) BHP 6,940,000 100,020 0.13%
Kkr Acquisition Holdings I Corp.    (Equity) 6,936,000 692,951 0.13%
Quest Diagnostics Incorporated    (Equity) DGX 6,879,000 53,597 0.13%
Boingo Wireless Inc    (Equity) WIFI 6,855,000 487,192 0.13%
Timken Company    (Equity) TKR 6,803,000 83,816 0.13%
Graftech International Ltd    (Equity) 6,796,000 555,650 0.13%
Fs Kkr Capital Corp Ii    (Equity) 6,734,000 344,800 0.13%
Us Global Jets Etf    (Exchange-Traded Fund) 6,731,000 250,133 0.13%
Avalonbay Communities Inc.    (Equity) AVB 6,704,000 36,332 0.13%
O Reilly Automotive Inc    (Equity) ORLY 6,635,000 13,081 0.13%
Atlassian Corp Plc-class A    (Equity) TEAM 6,623,000 31,423 0.13%
Shift4 Payments Inc    (Equity) 6,581,000 80,243 0.13%
Valero Energy Corporation    (Equity) VLO 6,576,000 91,847 0.13%
Allstate Corporation    (Equity) ALL 6,574,000 57,216 0.13%
Standard Avb Financial Corp    (Equity) 6,530,000 200,000 0.13%
First Republic Bank/San Fran    (Equity) FRC 6,515,000 39,073 0.13%
Borgwarner Inc    (Equity) BWA 6,505,000 140,314 0.13%
Take - Two Interactive Software    (Equity) TTWO 6,462,000 36,570 0.12%
Mgm Growth Properties Llc-a    (Equity) 6,440,000 197,429 0.12%
Allison Transmission Holding    (Equity) ALSN 6,402,000 156,804 0.12%
Air Products and Chemicals Incorporated    (Equity) APD 6,385,000 22,694 0.12%
Gentex Corp    (Equity) GNTX 6,343,000 177,821 0.12%
Biohaven Pharmaceutical Hold    (Equity) 6,333,000 92,658 0.12%
Life Storage Inc    (Equity) LSI 6,320,000 73,528 0.12%
Camden Property Trust    (Equity) CPT 6,281,000 57,148 0.12%
Pure Storage Inc - Class A    (Equity) 6,275,000 291,303 0.12%
Varonis Systems Inc    (Equity) VRNS 6,200,000 120,772 0.12%
Heico Corp.-NEW    (Equity) HEI 6,153,000 48,910 0.12%
Lemonade Inc    (Equity) 6,145,000 65,988 0.12%
Flowserve Corporation    (Equity) FLS 6,069,000 156,389 0.12%
Plum Acquisition Corp I.    (Equity) 6,032,000 606,252 0.12%
NIC Inc    (Equity) EGOV 5,961,000 175,694 0.11%
Donaldson Co Inc    (Equity) DCI 5,935,000 102,054 0.11%
Itiquira Acquisition Corp.    (Equity) 5,906,000 594,136 0.11%
CubeSmart    (Equity) CUBE 5,884,000 155,538 0.11%
Alpha Healthcare Acquisition Corp    (Equity) 5,882,000 543,098 0.11%
Robert Half International Incorporated    (Equity) RHI 5,836,000 74,753 0.11%
Morgan Stanley    (Equity) MS 5,813,000 74,853 0.11%
MDU Resources Group Incorporated    (Equity) MDU 5,786,000 183,049 0.11%
Hilton Worldwide Holdings In    (Equity) 5,768,000 47,702 0.11%
Estee Lauder    (Equity) EL 5,737,000 19,726 0.11%
Square Inc - A    (Equity) 5,718,000 25,183 0.11%
Queen's Gambit Growth Capita    (Equity) 5,656,000 560,524 0.11%
Hamilton Lane Inc-class A    (Equity) 5,588,000 63,102 0.11%
Fox Corp - Class A    (Equity) 5,575,000 154,386 0.11%
Bluebird Bio Inc    (Equity) BLUE 5,551,000 184,100 0.11%
Choice Hotels Intl Inc    (Equity) CHH 5,533,000 51,572 0.11%
Norwegian Cruise Line Holdings Ltd    (Equity) NCLH 5,508,000 199,645 0.11%
Macerich Stk    (Equity) MAC 5,506,000 470,627 0.11%
Maxar Technologies Inc    (Equity) 5,487,000 145,078 0.11%
Illumina    (Equity) ILMN 5,445,000 14,177 0.10%
Kilroy Realty Corporation    (Equity) KRC 5,431,000 82,751 0.10%
Perspecta Inc    (Equity) 5,387,000 185,438 0.10%
Protective Insurance Corp(CL B)    (Equity) 5,374,000 235,000 0.10%
Aaon Incorporated    (Equity) AAON 5,293,000 75,608 0.10%
Brown & Brown Inc.    (Equity) BRO 5,273,000 115,349 0.10%
Mongodb Inc    (Equity) 5,271,000 19,710 0.10%
Target Corporation    (Equity) TGT 5,244,000 26,478 0.10%
Mastercard Inc    (Equity) MA 5,208,000 14,628 0.10%
Bumble Inc    (Equity) 5,207,000 83,477 0.10%
Facebook Inc-a    (Equity) FB 5,188,000 17,614 0.10%
Booking Holdings Inc    (Equity) 5,179,000 2,223 0.10%
Terreno Realty Corp    (Equity) TRNO 5,172,000 89,532 0.10%
Murphy Usa Inc    (Equity) MUSA 5,145,000 35,589 0.10%
Linde Plc    (Equity) 5,132,000 18,320 0.10%
Cornerstone Building Brands Inc    (Equity) 5,057,000 360,475 0.10%
Healthcare Trust Of America    (Equity) HTA 5,019,000 181,967 0.10%
Advanced Micro Devices Incorporated    (Equity) AMD 4,984,000 63,488 0.09%
Paramount Group Inc    (Equity) PGRE 4,978,000 491,380 0.09%
Redball Acquisition Corp - A    (Equity) 4,975,000 499,995 0.09%
Anterix Inc    (Equity) 4,966,000 105,300 0.09%
Dd3 Acquisition Corp Ii    (Equity) 4,899,000 502,000 0.09%
Electronic Arts Incorporated    (Equity) ERTS 4,896,000 36,171 0.09%
II-Vi Inc    (Equity) IIVI 4,859,000 71,075 0.09%
Ringcentral Inc-class A    (Equity) RNG 4,845,000 16,264 0.09%
Unity Software Inc    (Equity) 4,845,000 48,298 0.09%
Diversey Holdings Ltd    (Equity) 4,832,000 328,487 0.09%
Southwest Airlines Company    (Equity) LUV 4,827,000 79,060 0.09%
Truist Financial Corp    (Equity) 4,810,000 82,472 0.09%
Retail Opportunity Investments    (Equity) ROIC 4,794,000 302,071 0.09%
Sirius XM Holdings Inc    (Equity) SIRI 4,782,000 785,163 0.09%
Aptiv Plc    (Equity) 4,758,000 34,500 0.09%
Iovance Biotherapeutics Inc    (Equity) 4,752,000 150,091 0.09%
Rexford Industrial Realty In    (Equity) REXR 4,742,000 94,089 0.09%
Duck Creek Technologies Inc    (Equity) 4,735,000 104,904 0.09%
Masco Corporation    (Equity) MAS 4,727,000 78,919 0.09%
F5 Networks Inc    (Equity) FFIV 4,720,000 22,627 0.09%
Herbalife Nutrition Ltd    (Equity) HLF 4,685,000 105,624 0.09%
Verizon Communications    (Equity) VZ 4,676,000 80,413 0.09%
Liveramp Holdings Inc    (Equity) 4,656,000 89,750 0.09%
Perrigo Co Plc    (Equity) PRGO 4,591,000 113,435 0.09%
Brightview Holdings Inc    (Equity) 4,587,000 271,928 0.09%
1 2 3 4 5 6 7 8 Next >Full Portfolio View
Total Value As 2021-03-31: 4,985,301,000 SEC FILING
* Portfolios do not reflect changes after reporting
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