BALYASNY ASSET MANAGEMENT L.P. Q2 2017 Filing
Filed August 14, 2017
Portfolio Value
$24.2M
Holdings
1,283
Report Date
Q2 2017
Filing Type
13F-HR
All Holdings (1,283 positions)
| Stock | Value |
|---|---|
—Dermira Inc | $10.2M |
APAMArtisan Partners Asset Management Inc | $10.2M |
TERTeradyne Inc | $10.2M |
ANFAbercrombie & Fitch Co | $10.1M |
NKTREURNektar Therapeutics | $10.0M |
—Almost Family Inc | $9.9M |
—Energen Corp | $9.8M |
MDUMDU Resources Group Inc | $9.8M |
—China Lodging Group Ltd | $9.8M |
JACKJack in the Box Inc | $9.8M |
WDCWestern Digital Corp | $9.7M |
BKBank of New York Mellon Corp/The | $9.7M |
PCRXPacira Pharmaceuticals Inc/DE | $9.6M |
SNPSSynopsys Inc | $9.6M |
—KLX Inc | $9.6M |
BAXBaxter International Inc | $9.6M |
WESWestern Gas Partners LP | $9.6M |
TRTN-PATriton International Ltd/Bermuda | $9.4M |
WEAWestern Alliance Bancorp | $9.4M |
ENREnergizer Holdings Inc | $9.3M |
SCSantander Consumer USA Holdings Inc | $9.3M |
PXDEURPioneer Natural Resources Co | $9.3M |
—Pinnacle Foods Inc | $9.3M |
HANHawaiian Holdings Inc | $9.2M |
RHPRyman Hospitality Properties Inc | $9.2M |
—Resolute Energy Corp | $9.1M |
WWEUSDWorld Wrestling Entertainment Inc | $9.0M |
UPSUnited Parcel Service Inc | $9.0M |
CZREURCaesars Entertainment Corp | $8.9M |
THCTenet Healthcare Corp | $8.9M |
MDXGMiMedx Group Inc | $8.9M |
DKSDick's Sporting Goods Inc | $8.8M |
FT2First Horizon National Corp | $8.8M |
BANCBanc of California Inc | $8.8M |
SYU1Synovus Financial Corp | $8.7M |
CCChemours Co/The | $8.5M |
ADBEAdobe Systems Inc | $8.4M |
—Paratek Pharmaceuticals Inc | $8.4M |
AKRAcadia Realty Trust | $8.4M |
SUXSYNNEX Corp | $8.4M |
PKPark Hotels & Resorts Inc | $8.4M |
PSAPublic Storage | $8.4M |
XOMExxon Mobil Corp | $8.4M |
TDCTeradata Corp | $8.3M |
VNOVornado Realty Trust | $8.3M |
RSReliance Steel & Aluminum Co | $8.3M |
B7SBrookdale Senior Living Inc | $8.3M |
—Basic Energy Services Inc | $8.2M |
DCIDonaldson Co Inc | $8.2M |
CHKPCheck Point Software Technologies Ltd | $8.2M |
ASHRDeutsche X-trackers Harvest CSI 300 China A-Shares ETF | $8.2M |
STXSeagate Technology PLC | $8.2M |
ACADACADIA Pharmaceuticals Inc | $8.1M |
AXSAxis Capital Holdings Ltd | $8.1M |
CARAEURCara Therapeutics Inc | $8.1M |
HONHoneywell International Inc | $8.0M |
—New York REIT Inc | $8.0M |
ATKRAtkore International Group Inc | $8.0M |
DHIDR Horton Inc | $8.0M |
TMHCTaylor Morrison Home Corp | $8.0M |
—TCF Financial Corp | $7.8M |
WINGWingstop Inc | $7.8M |
SLBSchlumberger Ltd | $7.8M |
—L3 Technologies Inc | $7.8M |
LEGLeggett & Platt Inc | $7.8M |
PBCTEURPeople's United Financial Inc | $7.8M |
BBYBest Buy Co Inc | $7.8M |
WOOFoot Locker Inc | $7.7M |
AMEDAmedisys Inc | $7.7M |
NUVAGBPNuVasive Inc | $7.7M |
ESRTEmpire State Realty Trust Inc | $7.7M |
CYTKCytokinetics Inc | $7.6M |
UHSUniversal Health Services Inc | $7.6M |
—Select Comfort Corp | $7.6M |
AMDAdvanced Micro Devices Inc | $7.6M |
MCXMcCormick & Co Inc/MD | $7.6M |
STTState Street Corp | $7.6M |
CAKECheesecake Factory Inc/The | $7.6M |
INFOIHS Markit Ltd | $7.5M |
NVROEURNevro Corp | $7.4M |
—PAREXEL International Corp | $7.4M |
PAGPenske Automotive Group Inc | $7.4M |
GMS1EURGMS Inc | $7.4M |
VCVisteon Corp | $7.4M |
MATMattel Inc | $7.3M |
—Kosmos Energy Ltd | $7.3M |
IPGPIPG Photonics Corp | $7.3M |
SSNCSS&C Technologies Holdings Inc | $7.1M |
HLFHerbalife Ltd | $7.1M |
WEPMagellan Midstream Partners LP | $7.1M |
MCKMcKesson Corp | $7.1M |
GNLGlobal Net Lease Inc | $7.1M |
CFCF Industries Holdings Inc | $7.0M |
HUNHuntsman Corp | $7.0M |
—Tronox Ltd | $6.8M |
DOCUSDPhysicians Realty Trust | $6.8M |
STAYUSDExtended Stay America Inc | $6.8M |
—Colony NorthStar Inc | $6.8M |
NAVINavient Corp | $6.8M |
AWMSkyworks Solutions Inc | $6.8M |