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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
-15.33%
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
$16.1B
AUM Growth
+$1.37B
Cap. Flow
+$3.78B
Cap. Flow %
23.51%
Top 10 Hldgs %
33.4%
Holding
1,585
New
566
Increased
382
Reduced
317
Closed
272

Top Sells

Rank Stock Value
1
LLY icon
Eli Lilly
LLY
+$15.3M
2
TWTR
Twitter, Inc.
TWTR
+$15.2M
3
AZN icon
AstraZeneca
AZN
+$15M
4
RTX icon
RTX Corp
RTX
+$14.2M
5
NFLX icon
Netflix
NFLX
+$11.4M

Sector Composition

Rank Sector Weight
1 Technology 2.3%
2 Financials 1.29%
3 Consumer Discretionary 1.13%
4 Healthcare 1.06%
5 Industrials 1.01%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
BREW
1226
DELISTED
Craft Brew Alliance, Inc.
BREW
$4K ﹤0.01%
+245
New +$4.03K
SHLO
1227
DELISTED
Shiloh Industries Inc
SHLO
$4K ﹤0.01%
+601
New +$4.78K
DERM
1228
DELISTED
Dermira, Inc.
DERM
$4K ﹤0.01%
+519
New +$5.68K
LKSD
1229
DELISTED
LSC Communications, Inc.
LKSD
$4K ﹤0.01%
+502
New +$4.56K
SEMG
1230
DELISTED
SEMGROUP CORPORATION
SEMG
$4K ﹤0.01%
+256
New +$4.6K
AMNB
1231
DELISTED
American National Bankshares Inc
AMNB
$4K ﹤0.01%
+120
New +$4.21K
CIT
1232
DELISTED
CIT Group Inc.
CIT
$4K ﹤0.01%
+103
New +$4.67K
CZR
1233
DELISTED
Caesars Entertainment Corporation
CZR
$4K ﹤0.01%
527
-213,162
-100% -$1.8M
RESI
1234
DELISTED
Front Yard Residential Corporation Common Stock
RESI
$4K ﹤0.01%
+408
New +$3.82K
ADNT icon
1235
Adient
ADNT
$1.6B
$3K ﹤0.01%
+220
New +$5.69K
ALCO icon
1236
Alico
ALCO
$286M
$3K ﹤0.01%
+116
New +$3.8K
APLS
1237
DELISTED
Apellis Pharmaceuticals
APLS
$3K ﹤0.01%
+263
New +$4.04K
AVA icon
1238
Avista
AVA
$3.47B
$3K ﹤0.01%
+81
New +$4.01K
BH icon
1239
Biglari Holdings Class B
BH
$1.2B
$3K ﹤0.01%
+30
New +$4.42K
BRT
1240
BRT Apartments
BRT
$282M
$3K ﹤0.01%
+300
New +$3.44K
CIA icon
1241
Citizens
CIA
$245M
$3K ﹤0.01%
+460
New +$3.62K
CIO
1242
DELISTED
City Office REIT
CIO
$3K ﹤0.01%
+337
New +$3.77K
CPK icon
1243
Chesapeake Utilities
CPK
$3.26B
$3K ﹤0.01%
+43
New +$3.59K
DIN icon
1244
Dine Brands
DIN
$432M
$3K ﹤0.01%
+51
New +$4.22K
ESSA
1245
DELISTED
ESSA Bancorp
ESSA
$3K ﹤0.01%
+223
New +$3.58K
EVI icon
1246
EVI Industries
EVI
$180M
$3K ﹤0.01%
+101
New +$3.77K
FRST icon
1247
Primis Financial Corp
FRST
$382M
$3K ﹤0.01%
+260
New +$3.92K
HAIN icon
1248
Hain Celestial
HAIN
$47.8M
$3K ﹤0.01%
+208
New +$4.63K
IDA icon
1249
Idacorp
IDA
$8.23B
$3K ﹤0.01%
+37
New +$3.61K
LAND
1250
Gladstone Land Corp
LAND
$368M
$3K ﹤0.01%
+299
New +$3.74K

Similar funds

Twin Tree Management's Q4 2018 Portfolio in Review

As of Q4 2018, Twin Tree Management held 1,585 positions worth $16.1B, up 9.3% from $14.7B the previous quarter. Its ten largest holdings account for 33% of the portfolio.

Twin Tree Management deployed $3.78B of net new capital in Q4 2018, opening 566 new positions and adding to 382 existing holdings. Its largest new stake was Walgreens Boots Alliance: 650,774 shares worth $44.5M.

By sector, the portfolio is most concentrated in Technology at 2.3% of assets, up from 2% a quarter earlier, followed by Financials and Consumer Discretionary.

On the sell side, the largest reduction was Eli Lilly, an estimated $15.3M trimmed.

  • Twin Tree Management's largest Q4 2018 buy was Walgreens Boots Alliance: 650,774 shares worth $44.5M.
  • Twin Tree Management added most to Apple in Q4 2018, an estimated $27M increase.
  • Twin Tree Management's biggest Q4 2018 reduction was Eli Lilly, cutting an estimated $15.3M.
  • Twin Tree Management fully exited RTX Corp in Q4 2018, selling an estimated $14.2M.
  • Twin Tree Management's ten largest holdings make up 33% of its $16.1B portfolio in Q4 2018.
  • Twin Tree Management opened 566 new positions and closed 272 in Q4 2018.
  • Twin Tree Management's portfolio value rose 9.3% quarter-over-quarter to $16.1B.

Based on Twin Tree Management's 13F filing for Q4 2018, filed 13 Feb 2019.