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Twin Tree Management

Twin Tree Management Portfolio holdings

AUM $4.75B
1-Year Est. Return 58.16%
This Fund
S&P 500
This Quarter Est. Return
-0.67%
1 Year Est. Return
+58.16%
3 Year Est. Return
+159.37%
5 Year Est. Return
+138.93%
10 Year Est. Return
+547.41%
AUM
$4.12B
AUM Growth
+$203M
Cap. Flow
+$227M
Cap. Flow %
5.52%
Top 10 Hldgs %
27.22%
Holding
1,537
New
418
Increased
418
Reduced
434
Closed
239

Sector Composition

Rank Sector Weight
1 Consumer Discretionary 1.11%
2 Industrials 1.04%
3 Healthcare 1.02%
4 Financials 0.93%
5 Technology 0.92%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
FAST icon
1151
PUT
Fastenal
FAST
$54B
$105K ﹤0.01%
+10,000
New +$105K
MSI icon
1152
Motorola Solutions
MSI
$69.4B
$105K ﹤0.01%
1,838
-4,580
-71% -$274K
URBN icon
1153
PUT
Urban Outfitters
URBN
$5.99B
$105K ﹤0.01%
3,000
-10,500
-78% -$406K
CTXS
1154
CALL
DELISTED
Citrix Systems Inc
CTXS
$105K ﹤0.01%
+1,884
New +$100K
AZO icon
1155
AutoZone
AZO
$48.3B
$104K ﹤0.01%
156
-1,448
-90% -$991K
CCI icon
1156
CALL
Crown Castle
CCI
$32.7B
$104K ﹤0.01%
1,300
DUK icon
1157
Duke Energy
DUK
$102B
$104K ﹤0.01%
+1,469
New +$111K
JWN
1158
CALL
DELISTED
Nordstrom
JWN
$104K ﹤0.01%
+1,400
New +$106K
ES icon
1159
Eversource Energy
ES
$28.2B
$102K ﹤0.01%
2,253
+1,157
+106% +$56.1K
MLCO icon
1160
Melco Resorts & Entertainment
MLCO
$2.1B
$102K ﹤0.01%
+5,192
New +$107K
AEE icon
1161
Ameren
AEE
$31.5B
$99K ﹤0.01%
+2,619
New +$105K
AMX icon
1162
America Movil
AMX
$78.1B
$98K ﹤0.01%
+4,619
New +$97.3K
JBHT icon
1163
JB Hunt Transport Services
JBHT
$27.1B
$98K ﹤0.01%
+1,192
New +$104K
IYR icon
1164
iShares US Real Estate ETF
IYR
$4.59B
$95K ﹤0.01%
1,326
-15,326
-92% -$1.16M
BEN icon
1165
Franklin Resources
BEN
$16.9B
$92K ﹤0.01%
+1,868
New +$95.8K
CLB icon
1166
Core Laboratories
CLB
$538M
$92K ﹤0.01%
806
+675
+515% +$81.8K
SO icon
1167
CALL
Southern Company
SO
$110B
$92K ﹤0.01%
2,200
-24,000
-92% -$1.05M
UN
1168
CALL
DELISTED
Unilever NV New York Registry Shares
UN
$92K ﹤0.01%
+2,200
New +$94.9K
IDXX icon
1169
PUT
Idexx Laboratories
IDXX
$42.9B
$90K ﹤0.01%
+1,400
New +$96.9K
ANET icon
1170
Arista Networks
ANET
$219B
$89K ﹤0.01%
+17,456
New +$78.1K
VYX icon
1171
NCR Voyix
VYX
$1.06B
$89K ﹤0.01%
4,815
-8,549
-64% -$158K
LLTC
1172
DELISTED
Linear Technology Corp
LLTC
$89K ﹤0.01%
+2,010
New +$93.5K
UTHR icon
1173
CALL
United Therapeutics
UTHR
$26.3B
$87K ﹤0.01%
+500
New +$89.9K
NUAN
1174
CALL
DELISTED
Nuance Communications, Inc.
NUAN
$86K ﹤0.01%
+5,660
New +$79.8K
CVC
1175
DELISTED
CABLEVISION SYS CP NY GRP CL-A
CVC
$85K ﹤0.01%
+3,555
New +$77.2K

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Twin Tree Management's Q2 2015 Portfolio in Review

As of Q2 2015, Twin Tree Management held 1,537 positions worth $4.12B, up 5.2% from $3.91B the previous quarter. Its ten largest holdings account for 27% of the portfolio.

Twin Tree Management deployed $227M of net new capital in Q2 2015, opening 418 new positions and adding to 418 existing holdings. Its largest new stake was Du Pont De Nemours E I: 111,460 shares worth $6.77M.

By sector, the portfolio is most concentrated in Consumer Discretionary at 1.1% of assets, up from 1.1% a quarter earlier, followed by Industrials and Healthcare.

On the sell side, the largest reduction was State Street SPDR S&P 500 ETF Trust, an estimated $6.22M trimmed.

  • Twin Tree Management's largest Q2 2015 buy was Du Pont De Nemours E I: 111,460 shares worth $6.77M.
  • Twin Tree Management added most to Qualcomm in Q2 2015, an estimated $5.51M increase.
  • Twin Tree Management's biggest Q2 2015 reduction was State Street SPDR S&P 500 ETF Trust, cutting an estimated $6.22M.
  • Twin Tree Management fully exited KRAFT FOODS GROUP INC COM STK (VA) in Q2 2015, selling an estimated $4.77M.
  • Twin Tree Management's ten largest holdings make up 27% of its $4.12B portfolio in Q2 2015.
  • Twin Tree Management opened 418 new positions and closed 239 in Q2 2015.
  • Twin Tree Management's portfolio value rose 5.2% quarter-over-quarter to $4.12B.

Based on Twin Tree Management's 13F filing for Q2 2015, filed 14 Aug 2015.