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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
≡ SPCX Direct Newly reported 0.28%
≡ NSC Direct +2% 0.28%
— META Put −11% 0.29%
≡ KVUE Direct −1% 0.29%
— UNH Put −18% 0.29%
— XLF Call −11% 0.3%
— CRM Call +150% 0.3%
— MRVL Put +42% 0.31%
— XLE Call −22% 0.31%
— INTC Call +92% 0.31%
≡ GOOG(L) Direct BUY 0.32%
— EWY Put +174% 0.33%
— AMD Call +260% 0.33%
— XLK Put −27% 0.34%
≡ META Direct +109% 0.35%
— AMZN Put −20% 0.36%
≡ EA Direct +2% 0.39%
≡ AMZN Direct +37% 0.4%
— AMD Put −37% 0.42%
≡ SPY Direct −63% 0.44%
≡ TSLA Direct +30% 0.44%
— XLU Put +3% 0.46%
≡ IWM Direct +11875% 0.48%
— SMH Put −20% 0.5%
— KRE Put −16% 0.53%
≡ MU Direct −7% 0.53%
— GOOG(L) Put BUY 0.54%
— TSLA Put +7% 0.58%
— EEM Put −8% 0.59%
≡ NVDA Direct +137% 0.65%
— XLF Put −0% 0.65%
— XLE Put −25% 0.66%
— GLD Put +25% 0.79%
— TLT Call +798% 0.81%
≡ MSFT Direct +148% 0.87%
— MSFT Put +151% 0.88%
≡ TSM Direct +340% 0.91%
— HYG Put +1233% 1.11%
— NVDA Put +2% 1.12%
— MU Put +10% 1.14%
— TSM Put +123% 1.45%
— GLD Call +119% 1.5%
≡ IVV Direct +730% 1.68%
— IWM Call −19% 4.04%
— QQQ Put +29% 4.85%
— QQQ Call +111% 4.94%
— IWM Put +49% 12.84%

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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