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Q2 2026 59/68 funds filed
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Some record dates are in the future and are excluded from the latest observation date.

Investor portfolio

Tudor Investment Corp

Macro

Tudor Investment Corp is Paul Tudor Jones's investment management firm.

Linked investors: Paul Tudor Jones

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US 13F portfolio

Quarter
Q2 2026
Filed
2026-08-14
Portfolio value
$71,912,518,398
Positions
3457
history Ticker Type Change % of portfolio
— TMO Put −40% 0.01%
— LMT Put −50% 0.01%
≡ BKH Direct +8% 0.01%
— CMG Call +9% 0.01%
— DE Call +348% 0.01%
— BLK Call +573% 0.01%
≡ ZIM Direct +69% 0.01%
≡ HLN Direct Newly reported 0.01%
— HON Call Newly reported 0.01%
≡ WAL Direct −78% 0.01%
≡ ARXS Direct Newly reported 0.01%
≡ TMHC Direct −47% 0.01%
— RIVN Call +596% 0.01%
— EA Call Newly reported 0.01%
≡ BTDR Direct −61% 0.01%
≡ COLB Direct Newly reported 0.01%
— UNP Put −54% 0.01%
— QRVO Call −2% 0.01%
≡ MAIR Direct Newly reported 0.01%
≡ FER Direct Newly reported 0.01%
— ARES Call +255% 0.01%
≡ WY Direct Newly reported 0.01%
— TEAM Call −63% 0.01%
— AMKR Put +478% 0.01%
≡ BIO Direct +384% 0.01%
≡ BORR Direct −22% 0.01%
— OKTA Put +21% 0.01%
— FHN Put +3% 0.01%
≡ THO Direct +19% 0.01%
— MP Call +862% 0.01%
≡ WDAY Direct Newly reported 0.01%
≡ WGS Direct +225% 0.01%
— STM Put +69% 0.01%
≡ PTACU Direct Newly reported 0.01%
≡ TMC Direct +4% 0.01%
≡ FLS Direct Newly reported 0.01%
≡ KLAR Direct +734% 0.01%
≡ LYV Direct −20% 0.01%
— OKLO Put +153% 0.01%
≡ AEVA Direct +2% 0.01%
≡ AZN Direct Newly reported 0.01%
≡ EPAC Direct +106% 0.01%
≡ ADTN Direct −17% 0.01%
≡ IESC Direct Newly reported 0.01%
— ON Call +538% 0.01%
≡ INSP Direct +1% 0.01%
— AAL Put −2% 0.01%
≡ BNY Direct −69% 0.01%
≡ KR Direct Newly reported 0.01%
≡ VSNT Direct Newly reported 0.01%
≡ FCPT Direct +10% 0.01%
— MDT Call +293% 0.01%
≡ SBLK Direct −58% 0.01%
≡ UDR Direct +3% 0.01%
— TOST Call +119% 0.01%
≡ CFR Direct Newly reported 0.01%
≡ EXTR Direct −25% 0.01%
≡ ALSN Direct Newly reported 0.01%
≡ GEO Direct +273% 0.01%
— AA Put +13% 0.01%
≡ WMG Direct −16% 0.01%
≡ NHI Direct +284% 0.01%
≡ VKTX Direct +179% 0.01%
— GRC Put 0.01%
≡ BKD Direct −71% 0.01%
— FLUT Put +48% 0.01%
≡ UI Direct Newly reported 0.01%
— CCL Put −50% 0.01%
≡ MKL Direct Newly reported 0.01%
≡ BUD Direct −63% 0.01%
≡ GTLS Direct −25% 0.01%
≡ OGS Direct −22% 0.01%
— ZM Put +40% 0.01%
≡ COP Direct Newly reported 0.01%
≡ VVV Direct Newly reported 0.01%
≡ UBSI Direct +131% 0.01%
≡ SGHC Direct +976% 0.01%
— MAR Call +137% 0.01%
≡ LNT Direct +1560% 0.01%
≡ XLB Direct +84% 0.01%
≡ SNA Direct +136% 0.01%
≡ BKSY Direct +47% 0.01%
≡ CENTA Direct −6% 0.01%
≡ CYTK Direct Newly reported 0.01%
— TTD Call −29% 0.01%
— MRK Put −74% 0.01%
≡ BP Direct −31% 0.01%
≡ CHD Direct Newly reported 0.01%
— REGN Call Newly reported 0.01%
≡ WMK Direct −11% 0.01%
— PYPL Call −48% 0.01%
— SAP Put +30% 0.01%
≡ CMG Direct +680% 0.01%
— RY Put −17% 0.01%
— ZTS Call +578% 0.01%
≡ RIVN Direct −59% 0.01%
≡ WLK Direct Newly reported 0.01%
≡ DGRO Direct +65% 0.01%
≡ WSFS Direct +238% 0.01%
— NIO Call +7% 0.01%

13F filings show reportable long securities and certain exchange-traded call/put positions; they do not disclose shorts, written options, cash, private assets, or vehicle-level allocation — methodology & caveats.

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