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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
— C Call +167% 0.09%
≡ ABT Direct +124% 0.09%
≡ TECH Direct Newly reported 0.09%
— XLI Call Newly reported 0.09%
≡ MRVL Direct +79% 0.09%
— LITE Put +25% 0.09%
≡ COF Direct −38% 0.09%
— SLV Put −17% 0.09%
— META Call −61% 0.09%
≡ GS Direct Newly reported 0.09%
≡ LBRDK Direct −4% 0.09%
— GEV Put +24% 0.09%
≡ PCG Direct −9% 0.09%
≡ MA Direct +5630% 0.1%
≡ CBRE Direct +3% 0.1%
≡ EEM Direct +35% 0.1%
— BA Put −41% 0.1%
≡ Unmapped CUSIP Direct +10% 0.1%
≡ HLT Direct +984% 0.1%
— COST Put +75% 0.1%
— XLV Call +477% 0.1%
≡ SNPS Direct +389% 0.1%
— AMZN Call +66% 0.1%
— ARM Put −7% 0.1%
≡ Unmapped CUSIP Direct +5% 0.1%
— HOOD Call +113% 0.11%
— LRCX Put +37% 0.11%
— KRE Call +18% 0.11%
≡ Unmapped CUSIP Direct +32% 0.11%
≡ XBI Direct Newly reported 0.11%
— SMH Call −45% 0.11%
≡ AMD Direct −74% 0.11%
— FXI Put −61% 0.11%
— QCOM Put +84% 0.12%
≡ TXN Direct Newly reported 0.12%
— CRM Put +41% 0.12%
≡ Unmapped CUSIP Direct 0.12%
≡ ACA Direct Newly reported 0.12%
— SPOT Call +935% 0.12%
≡ ICE Direct +252% 0.12%
— XME Call Newly reported 0.12%
≡ PPL Direct +1965% 0.13%
— CSCO Put −19% 0.13%
— GLW Call −66% 0.13%
— CAT Call +128% 0.13%
≡ GLD Direct −3% 0.13%
— BRK.{A,B} Call +561% 0.14%
— GOOG(L) Call SELL 0.14%
— ARM Call +33% 0.14%
— GS Put −36% 0.14%
≡ MCK Direct +678% 0.14%
≡ BA Direct Newly reported 0.14%
— ORCL Put +102% 0.14%
≡ Unmapped CUSIP Direct +13% 0.14%
— SNOW Call +816% 0.15%
≡ ROKU Direct +843% 0.15%
≡ INTU Direct Newly reported 0.15%
— UNH Call +32% 0.15%
— MRVL Call −20% 0.15%
— SPY Call −91% 0.16%
— SLV Call +8% 0.16%
— BABA Put −50% 0.16%
— GDX Put +40% 0.16%
— QCOM Call +939% 0.16%
— IGV Put +621% 0.16%
≡ BLD Direct Newly reported 0.16%
≡ Unmapped CUSIP Direct Newly reported 0.16%
— TSLA Call +20% 0.17%
≡ UNH Direct −38% 0.17%
≡ PEN Direct −3% 0.18%
— NOW Put +146% 0.18%
— PLTR Put +125% 0.18%
— EEM Call −71% 0.18%
— JPM Call +225% 0.19%
— FXI Call −57% 0.19%
— TSM Call +4% 0.19%
≡ PLTR Direct +432% 0.2%
≡ WFC Direct +34% 0.2%
— MU Call −51% 0.21%
— AAPL Put −5% 0.21%
≡ INTC Direct +64% 0.21%
— XOM Call +80% 0.22%
≡ XLV Direct +890% 0.22%
— GS Call +135% 0.22%
≡ TECK Direct −0% 0.24%
— AMAT Put +12% 0.24%
— AVGO Put +73% 0.24%
≡ ALAB Direct +867% 0.24%
— NVDA Call −45% 0.25%
— SNDK Put +44% 0.25%
≡ WBS Direct −24% 0.25%
≡ SNDK Direct +22% 0.26%
≡ ORCL Direct Newly reported 0.26%
— INTC Put −3% 0.26%
— LRCX Call +302% 0.26%
— NFLX Put +74% 0.26%
≡ NFLX Direct +1237% 0.27%
— AAPL Call +85% 0.27%
— EWY Call +516% 0.27%
≡ WBD Direct +3% 0.27%

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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