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Point72 Asset Management, L.P.

STAMFORD, CT · CIK 0001603466

Portfolio Value: $14.44B
Positions: 669
Period: 2015-06-30
Filed: 2015-08-14

Portfolio Value

$14.44B

Positions

669

New

137

Increased

332

Decreased

195

Sold Out

678

Point72 Asset Management, L.P. Q2 2015 13F Filing Summary

Point72 Asset Management, L.P. (STAMFORD, CT) reported a portfolio value of $14.44B across 669 positions in their Q2 2015 SEC 13F filing (period ending 2015-06-30). Top holdings include SPY ($454.41M), OXY ($281.93M), IWM ($258.88M). The top 10 positions account for 16.7% of the portfolio. This quarter saw 137 new positions, 332 increases, 195 reductions, 678 complete exits. Notable new buys: CAR ($93.03M), COACH INC ($89.57M), T ($68.13M). Notable exits: NODK, USO, SPRINT CORP.

All Holdings

#StockValueWeightChange
1
SPYSPDR S&P 500 ETF TR
CALL
$454.41M
3.15%
-46.8%
2
OXYOCCIDENTAL PETE CORP DEL
CALL
$281.93M
1.95%
+1031.1%
3
IWMISHARES TR
CALL
$258.88M
1.79%
+84.0%
4
EOGEOG RES INC
COM
$245.47M
1.70%
+9913.3%
5
AMZNAMAZON COM INC
COM
$232.67M
1.61%
+62.4%
6
OKEONEOK INC NEW
CALL
$208.86M
1.45%
+556.3%
7
ZTSZOETIS INC
CL A
$204.79M
1.42%
+2882.4%
8
CSXCSX CORP
COM
$186.27M
1.29%
+94.9%
9
APCANADARKO PETE CORP
CALL
$170.81M
1.18%
+96.7%
10
GOOGLE INC
CL A
$164.06M
1.14%
+313.3%
11
SPXCSPX CORP
COM
$146.11M
1.01%
+315.6%
12
DGDOLLAR GEN CORP NEW
COM
$145.31M
1.01%
-10.1%
13
NBL2EURNOBLE ENERGY INC
COM
$141.63M
0.98%
+2.3%
14
MHKMOHAWK INDS INC
COM
$129.47M
0.90%
+78.3%
15
DKDELEK US HLDGS INC
COM
$129.11M
0.89%
+80.1%
16
JCIJOHNSON CTLS INC
COM
$128.29M
0.89%
+230.5%
17
EQTEQT CORP
COM
$123.28M
0.85%
-33.5%
18
CMCSACOMCAST CORP NEW
CL A
$118.22M
0.82%
+1998.0%
19
DOWDOW CHEM CO
COM
$116.50M
0.81%
+89.0%
20
CHTRCHARTER COMMUNICATIONS INC D
CL A NEW
$112.68M
0.78%
+0.0%
21
VCVISTEON CORP
COM NEW
$107.92M
0.75%
-52.3%
22
WPXUSDWPX ENERGY INC
COM
$106.05M
0.73%
+219.2%
23
TWXCHFTIME WARNER INC
COM NEW
$100.18M
0.69%
+3.0%
24
ALON USA ENERGY INC
COM
$96.97M
0.67%
+6502.8%
25
MGNXMACROGENICS INC
COM
$96.71M
0.67%
+8.3%
26
QUANTA SVCS INC
COM
$93.44M
0.65%
-30.7%
27
CARAVIS BUDGET GROUP
COM
$93.03M
0.64%
New
28
DYNEGY INC NEW DEL
COM
$92.69M
0.64%
+173.3%
29
SLBSCHLUMBERGER LTD
COM
$92.07M
0.64%
+167.1%
30
DHRDANAHER CORP DEL
COM
$91.82M
0.64%
+72.3%
31
MYLAN N V
SHS EURO
$90.33M
0.63%
+425.5%
32
BMYBRISTOL MYERS SQUIBB CO
CALL
$89.78M
0.62%
+117.3%
33
COACH INC
COM
$89.57M
0.62%
New
34
DLTRDOLLAR TREE INC
COM
$85.04M
0.59%
-47.4%
35
PFEPFIZER INC
CALL
$83.83M
0.58%
-54.1%
36
ABBVABBVIE INC
COM
$83.69M
0.58%
+760.2%
37
HOLLYFRONTIER CORP
COM
$78.69M
0.54%
+55.9%
38
ACHILLION PHARMACEUTICALS IN
COM
$74.32M
0.51%
+0.0%
39
NFLXNETFLIX INC
COM
$74.30M
0.51%
+2075.0%
40
ENCANA CORP
COM
$73.87M
0.51%
+159.5%
41
BABOEING CO
COM
$73.39M
0.51%
+31.3%
42
RRCRANGE RES CORP
COM
$69.06M
0.48%
+89.0%
43
IONRPIONEER NAT RES CO
COM
$68.56M
0.47%
+124.7%
44
TAT&T INC
COM
$68.13M
0.47%
New
45
CANADIAN PAC RY LTD
COM
$68.10M
0.47%
+37.5%
46
B/E AEROSPACE INC
COM
$67.37M
0.47%
-6.0%
47
EIXSUNEDISON INC
COM
$66.17M
0.46%
-32.8%
48
MPCMARATHON PETE CORP
PUT
$63.87M
0.44%
+2613.1%
49
METAFACEBOOK INC
CL A
$63.39M
0.44%
-39.6%
50
AETNA INC NEW
COM
$62.67M
0.43%
+513.1%
Showing 1-50 of 669

Position Changes

StockValueShares
CARAVIS BUDGET GROUP
$93.03M2,110,475
COACH INC
$89.57M2,588,000
TAT&T INC
$68.13M1,918,200
MOSMOSAIC CO NEW
$49.73M1,061,425
AIPGASCENA RETAIL GROUP INC
$41.72M2,505,100
ATINATIONAL OILWELL VARCO INC
$38.62M800,000
UNTCUNIT CORP
$37.22M1,372,500
INTRINTEROIL CORP
$34.65M575,600
MSMMSC INDL DIRECT INC
$29.03M416,100
IEXIDEX CORP
$27.25M346,800
ETENERGY TRANSFER PRTNRS L P
$25.36M485,900
FCXFREEPORT-MCMORAN INC
$22.33M1,199,100
CVECENOVUS ENERGY INC
$19.18M1,200,000
MATMATTEL INC
$18.61M724,400
BAXBAXTER INTL INC
$17.89M255,800
QRVOQORVO INC
$17.64M219,800
NVROEURNEVRO CORP
$16.88M314,116
SSNCNRG YIELD INC
$16.80M767,318
ELLAUDER ESTEE COS INC
$15.64M180,500
BTMDADURO BIOTECH INC
$15.38M507,072
QUREUNIQURE NV
$14.75M546,313
SPRINGLEAF HLDGS INC
$13.06M284,500
SYNERGY RES CORP
$12.10M1,058,900
BPOPPOPULAR INC
$11.55M400,100
IVZINVESCO LTD
$10.56M281,800
INTRINTERSECT ENT INC
$10.20M356,200
CTSPLATFORM SPECIALTY PRODS COR
$9.64M376,829
HIMXHIMAX TECHNOLOGIES INC
$9.60M1,195,900
EFXEQUIFAX INC
$8.94M92,100
ITGRGREATBATCH INC
$8.94M165,800
GENER8 MARITIME INC
$8.84M648,500
GLNGGOLAR LNG LTD BERMUDA
$8.78M187,700
RNRRENAISSANCERE HOLDINGS LTD
$8.75M86,200
IESCIMPAX LABORATORIES INC
$8.40M183,000
PHILRETROPHIN INC
$8.06M243,300
ISIS PHARMACEUTICALS INC
$8.06M140,100
MOBILEYE N V AMSTELVEEN
$8.03M151,000
ATIPHH CORP
$7.47M287,000
NXSTNEXSTAR BROADCASTING GROUP I
$7.45M133,000
DPZDOMINOS PIZZA INC
$7.37M65,000
FFORD MTR CO DEL
$7.20M479,600
XYLXYLEM INC
$7.18M193,650
GLOP-PBGASLOG LTD
$7.05M353,200
CHINA PETE & CHEM CORP
$7.02M81,900
PAR8POINT3 ENERGY PARTNERS LP
$6.93M372,319
ABQQABIOMED INC
$6.90M105,000
YPFYPF SOCIEDAD ANONIMA
$6.78M247,100
XYZBLOCK H & R INC
$6.03M203,300
SAGENT PHARMACEUTICALS INC
$5.95M244,900
HITADEPTUS HEALTH INC
$5.95M62,600
ENRENERGIZER HLDGS INC NEW
$5.95M45,200
WP GLIMCHER IN
$5.84M431,400
RLJRLJ LODGING TR
$5.73M192,300
NDOIENDOCHOICE HLDGS INC
$5.55M339,698
LUXOFT HLDG INC
$5.46M96,500
500 COM LTD
$5.17M208,400
E-COMMERCE CHINA DANGDANG IN
$5.17M574,800
MNSTMONSTER BEVERAGE CORP NEW
$4.92M36,700
CMBTEURONAV NV ANTWERPEN
$4.91M331,500
XPEXPRESS SCRIPTS HLDG CO
$4.82M54,200
CALYCALLAWAY GOLF CO
$4.81M538,400
MURMURPHY OIL CORP
$4.54M109,200
IACIEURIAC INTERACTIVECORP
$4.39M55,100
TRITHOMSON REUTERS CORP
$4.38M115,100
GTLLECHO GLOBAL LOGISTICS INC
$4.29M131,400
ADVISORY BRD CO
$4.11M75,200
THCHTRILLIUM THERAPEUTICS INC
$4.11M188,163
DHID R HORTON INC
$4.10M150,000
ALGTALLEGIANT TRAVEL CO
$4.07M22,900
NUENUCOR CORP
$4.01M91,000
ETDETHAN ALLEN INTERIORS INC
$3.74M141,900
GJOWAL-MART STORES INC
$3.55M50,000
PRTAPROTHENA CORP PLC
$3.27M62,000
HIIHUNTINGTON INGALLS INDS INC
$3.27M29,000
NODKPERNIX THERAPEUTICS HLDGS IN
$3.11M525,000
TTOOT2 BIOSYSTEMS INC
$2.85M175,854
NUMARINUS PHARMACEUTICALS INC
$2.73M235,000
ENGILITY HLDGS INC NEW
$2.55M101,200
ADVANTAGE OIL & GAS LTD
$2.53M400,000
LPGDORIAN LPG LTD
$2.44M146,101
FHBHAWAIIAN HOLDINGS INC
$2.38M100,000
DVAXDYNAVAX TECHNOLOGIES CORP
$2.31M98,800
AIPGAIRGAS INC
$2.12M20,000
MERCMERCER INTL INC
$2.07M151,000
SYNGENTA AG
$2.05M25,100
PETWAGEWORKS INC
$1.78M43,900
VRAVERA BRADLEY INC
$1.65M146,600
LABFLUIDIGM CORP DEL
$1.53M63,400
FROFRONTLINE LTD
$1.47M603,700
ACHAOGEN INC
$1.46M242,039
AGCOAGCO CORP
$1.42M25,005
MWAMUELLER WTR PRODS INC
$1.35M148,400
THCHWELLCARE HEALTH PLANS INC
$1.32M15,600
SCHLSCHOLASTIC CORP
$1.27M28,800
VNDAVANDA PHARMACEUTICALS INC
$1.23M96,500
MELLANOX TECHNOLOGIES LTD
$1.19M24,500
POWERSHS DB MULTI SECT COMM
$1.17M50,000
PLAYDAVE & BUSTERS ENTMT INC
$1.11M30,900
NODKMASONITE INTL CORP NEW
$1.11M15,900
NVDANVIDIA CORP
$1.04M51,600
ICUIICU MED INC
$1.00M10,500
GPIGROUP 1 AUTOMOTIVE INC
$890.00K9,800
TRUTRANSUNION
$871.00K34,687
MINDMINDBODY INC
$870.00K62,900
AIPGREGAL ENTMT GROUP
$838.00K40,100
TBITRUEBLUE INC
$745.00K24,900
VINCE HLDG CORP
$733.00K61,200
ADAMAS PHARMACEUTICALS INC
$708.00K27,000
PARPARTY CITY HOLDCO INC
$649.00K32,000
BRK-BBERKSHIRE HATHAWAY INC DEL
$640.00K4,700
EIXSUNEDISON SEMICONDUCTOR LTD
$629.00K36,400
MACMACERICH CO
$619.00K8,300
BCAXCARA THERAPEUTICS INC
$606.00K49,900
WINGWINGSTOP INC
$568.00K20,000
WWDWOODWARD INC
$506.00K9,200
OLOZIOPHARM ONCOLOGY INC
$478.00K39,824
CPBCAMPBELL SOUP CO
$477.00K10,000
FOGO DE CHAO INC
$347.00K15,000
NVECNEW MEDIA INVT GROUP INC
$346.00K19,300
GKOSGLAUKOS CORP
$290.00K10,000
FLIRFLIR SYS INC
$243.00K7,900
XHLDEXTENDED STAY AMER INC
$201.00K10,700
MSFTMICROSOFT CORP
$185.00K4,200
SEARROWHEAD RESH CORP
$159.00K22,200
CIENCIENA CORP
$156.00K6,600
ABQQABAXIS INC
$144.00K2,800
VIDEOCON D2H LTD
$131.00K10,400
TUMI HLDGS INC
$109.00K5,300
GTLLSERVICEMASTER GLOBAL HLDGS I
$62.00K1,705
PAYXPAYCHEX INC
$52.00K1,100
BALLBALL CORP
$40.00K575
BCRXBIOCRYST PHARMACEUTICALS
$30.00K2,000
OMIOWENS & MINOR INC NEW
$27.00K800
CPACOPA HOLDINGS SA
$25.00K300
DEODIAGEO P L C
$12.00K100
CHEMOCENTRYX INC
$3.00K400
PACBPACIFIC BIOSCIENCES CALIF IN
$1.00K100