TWO SIGMA INVESTMENTS, LP Q2 2018 Filing

Filed August 14, 2018

Portfolio Value

$33.5M

Holdings

2,220

Report Date

Q2 2018

Filing Type

13F-HR

All Holdings (2,220 positions)

StockValue
VERSARTIS INC
$451K
MATWMATTHEWS INTL CORP
$451K
ESSENDANT INC
$449K
ENERGY XXI GULF COAST INC
$446K
DESTINATION MATERNITY CORP
$444K
RBBNRIBBON COMMUNICATIONS INC
$444K
CENTRAL EUROPEAN MEDIA ENTRP
$439K
MAGNACHIP SEMICONDUCTOR CORP
$437K
PZZAPAPA JOHNS INTL INC
$436K
LQDTLIQUIDITY SERVICES INC
$432K
RED LION HOTELS CORP
$429K
IWOISHARES TR
$429K
JUST ENERGY GROUP INC
$422K
ACETO CORP
$421K
EMERALD EXPOSITIONS EVENTS I
$420K
GARRISON CAP INC
$419K
IMMUNE DESIGN CORP
$419K
ARC DOCUMENT SOLUTIONS INC
$418K
CNOCNO FINL GROUP INC
$418K
IDEX CORP
$418K
3-D SYS CORP DEL
$414K
ZAFGEN INC
$414K
IVACINTEVAC INC
$414K
OPHTHOTECH CORP
$413K
PDL BIOPHARMA INC
$409K
NGDNEW GOLD INC CDA
$407K
INGRINGREDION INC
$407K
NCNACCO INDS INC
$407K
SHIRE PLC
$405K
PPLPEMBINA PIPELINE CORP
$399K
PLOWDOUGLAS DYNAMICS INC
$395K
ENZBENZO BIOCHEM INC
$393K
HOUGHTON MIFFLIN HARCOURT CO
$392K
STCSTEWART INFORMATION SVCS COR
$391K
CRVLCORVEL CORP
$391K
WINAWINMARK CORP
$385K
AUTOWEB INC
$385K
INVESTORS REAL ESTATE TR
$384K
QUOTIENT LTD
$382K
INTREPID POTASH INC
$373K
AROWARROW FINL CORP
$373K
WILLSCOT CORP
$371K
ADVANCED EMISSIONS SOLUTS IN
$371K
PROSHARES TR
$370K
ALLENA PHARMACEUTICALS INC
$369K
CTBICOMMUNITY TR BANCORP INC
$369K
BPFHBOSTON PRIVATE FINL HLDGS IN
$367K
LASRNLIGHT INC
$367K
MATMATTEL INC
$366K
BIOTIME INC
$366K
SPWRQSUNPOWER CORP
$366K
VECOVEECO INSTRS INC DEL
$365K
IMMUNOMEDICS INC
$363K
MEI PHARMA INC
$362K
ELOXX PHARMACEUTICALS INC
$360K
CAMBIUM LEARNING GRP INC
$360K
PCM INC
$360K
BBVA BANCO FRANCES S A
$359K
SPIRIT OF TEX BANCSHARES INC
$359K
ASXASE TECHNOLOGY HOLDING CO LT
$359K
SSBUSDSOUTH ST CORP
$357K
GAMCO INVESTORS INC
$356K
FDPFRESH DEL MONTE PRODUCE INC
$356K
QLYSQUALYS INC
$354K
MTS SYS CORP
$354K
LNTHLANTHEUS HLDGS INC
$354K
EXREXTRA SPACE STORAGE INC
$352K
RDCMRADCOM LTD
$352K
UNITED STATES OIL FUND LP
$351K
TWINTWIN DISC INC
$350K
DXPEDXP ENTERPRISES INC NEW
$350K
AVX CORP NEW
$349K
PENNANTPARK FLOATING RATE CA
$348K
GHMGRAHAM CORP
$346K
PRSPPERSPECTA INC
$346K
ISRAEL CHEMICALS LTD
$345K
INVESTMENT TECHNOLOGY GRP NE
$344K
TSBKTIMBERLAND BANCORP INC
$343K
HRTXHERON THERAPEUTICS INC
$341K
MEDICINES CO
$341K
KCAP FINL INC
$340K
COLLCOLLEGIUM PHARMACEUTICAL INC
$339K
ALPHABET INC
$337K
WSBFWATERSTONE FINL INC MD
$337K
GENERAL FIN CORP DEL
$336K
CAECAE INC
$334K
KMG CHEMICALS INC
$334K
MARCHEX INC
$334K
USLMUNITED STATES LIME & MINERAL
$333K
NBHCNATIONAL BK HLDGS CORP
$328K
ARWARROW ELECTRS INC
$328K
CORENERGY INFRASTRUCTURE TR
$328K
SPLVINVESCO EXCHANGE TRADED FD T
$327K
DATAWATCH CORP
$327K
NAVISTAR INTL CORP NEW
$326K
CONFORMIS INC
$326K
IDERA PHARMACEUTICALS INC
$324K
LVLNSPDR SERIES TRUST
$323K
TRMKTRUSTMARK CORP
$321K
ISCAUSDINTERNATIONAL SPEEDWAY CORP
$321K
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