Frostman. You asked for it (as of 3/31/00, so ...):
TUDOR INVESTMENT CORP ET AL Holdings Company Name Ticker Symbol Current Position Net Chg in Position Mkt. Cap % of Outs. Shares % of Portfolio MATTEL INC COM MAT 8,575,900 7,793,800 90,046,950 2.016% 2.397% INFORMIX CORP COM IFMX 8,493,370 7,253,200 143,860,701 3.155% 3.830% ART TECHNOLOGY GROUP INC COM ARTG 6,396,524 -2,340,000 420,174,869 10.278% 11.186% ARCH COMMUNICATIONS GROUP INC APGR 4,661,799 525,000 36,128,942 7.717% 0.962% CAREMARK RX INC COM CMX 4,294,240 850,000 17,984,277 2.149% 0.479% CABLETRON SYSTEMS INC COM CS 3,945,000 2,724,110 115,884,375 2.165% 3.085% INTERNATIONAL HOME FOODS INC IHF 3,793,440 100,000 60,695,040 5.143% 1.616% ACTV INC COM IATV 2,872,610 2,872,610 100,722,324 6.093% 2.682% PARK PLACE ENTERTAINMENT CORP PPE 2,796,000 450,000 32,330,148 0.925% 0.861% SEAGATE TECHNOLOGY COM SEG 2,738,800 2,738,800 169,120,900 1.269% 4.503% GRAND UNION CO COM GUCO 2,473,747 276,300 7,267,869 8.248% 0.193% CENDANT CORP COM CD 2,473,100 2,473,100 45,752,350 0.341% 1.218% METROCALL INC COM MCLL 2,437,120 63,300 24,371,200 5.595% 0.649% TENET HEALTHCARE CORP COM THC 2,360,490 441,500 54,881,393 0.757% 1.461% AT&T CORP LIBERTY MEDIA CL A LMG.A 2,293,820 1,117,200 136,053,346 0.194% 3.622% PROGENICS PHARMACEUTICALS INC PGNX 2,179,313 -205,001 152,551,910 19.040% 4.061% COMPAQ COMPUTER CORP COM CPQ 2,133,000 1,379,880 57,591,000 0.125% 1.533% NTN COMMUNUNICATIONS INC COM NTN 2,065,400 0 8,261,600 6.829% 0.220% EL PASO ENERGY CORP (DEL) COM EPG 1,875,900 1,875,900 75,739,463 0.794% 2.016% SOFTLOCK COM INC COM SLCK 1,875,000 1,875,000 27,187,500 17.180% 0.724% GLENAYRE TECHNOLOGIES INC COM GEMS 1,715,100 901,100 30,122,301 2.693% 0.802% WESTERN WIRELESS CORP CL A WWCA 1,506,270 659,400 69,006,748 2.130% 1.837% AUSPEX SYSTEMS INC COM ASPX 1,419,340 1,374,300 15,612,740 5.063% 0.416% GENERAL MOTORS CORP CL H NEW GMH 1,418,950 539,500 176,659,275 1.029% 4.703% CHORDIANT SOFTWARE INC COM CHRD 1,405,789 1,405,789 22,844,071 4.038% 0.608% CORECOMM LTD ORD COMM 1,313,550 -134,700 57,796,200 3.442% 1.539% MARVEL ENTERPRISES INC COM MVL 1,308,500 500,000 7,769,873 3.890% 0.207% GENERAL MAGIC INC COM GMGC 1,285,400 1,285,400 11,488,905 3.116% 0.306% PAGING NETWORK INC COM PAGE 1,245,000 1,245,000 3,229,530 1.198% 0.086% NAVISTAR INTERNATIONAL COM NAV 1,101,950 93,800 44,215,744 1.781% 1.177% PITTSTON CO BRINKS GROUP COM PZB 1,021,960 0 17,373,320 1.974% 0.463% SENSORMATIC ELECTRONICS CORP SRM 1,001,230 0 22,465,599 1.305% 0.598% HYPERION SOLUTIONS CORP COM HYSL 987,800 -751,400 32,103,500 3.085% 0.855% QUANTUM CORP DSSG COM DSS 979,900 172,400 11,698,046 0.610% 0.311% FOCUS ENHANCEMENTS INC COM FCSE 962,500 -1,182,500 3,007,813 4.753% 0.080% CRESTLINE CAPITAL CORP COM CLJ 962,100 0 16,777,100 4.969% 0.447% DIGITAL ISLAND INC (DEL) COM ISLD 940,523 940,523 57,313,591 1.457% 1.526% UNITED SHIPPING & TECHNOLOGY USHP 895,522 -3,604,476 13,489,248 5.905% 0.359% EW SCRIPPS CO (OH) CL A SSP 891,700 -149,800 43,247,450 1.514% 1.151% EARTHWEB INC COM EWBX 843,300 -56,300 20,766,263 8.353% 0.553% ANDREW CORP COM ANDW 774,800 649,800 17,723,550 0.962% 0.472% UNITEDGLOBALCOM CL A UCOM.A 770,800 -77,400 57,858,560 0.964% 1.540% TEKTRONIX INC COM TEK 760,420 -49,000 42,583,520 1.609% 1.134% SPX CORP COM SPW 759,440 -194,600 86,529,075 2.419% 2.304% VOICESTREAM WIRELESS CORP COM VSTR 749,950 -66,000 96,603,309 0.778% 2.572% PERKINELMER INC COM PKI 700,100 -267,830 46,556,650 1.439% 1.239% SPLASH TECHNOLOGY HOLDINGS INC SPLH 677,800 321,800 8,472,500 4.814% 0.226% THERMO ELECTRON CORP COM TMO 648,400 648,400 13,211,150 0.414% 0.352% VIVUS INC COM VVUS 615,700 0 5,098,612 1.915% 0.136% HARRIS CORP (DEL) COM HRS 614,500 614,500 21,238,964 0.889% 0.565% |