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Reported Holdings Of The
PDT Partners LLC

Legal Name: PDT PARTNERS, LLC

Period of report: Jun 30, 2019
Effectiveness Date: Aug 14, 2019

Security Shares Held / Principal Amount Market Value Option
ABBVIE INC (00287Y109) 1,205,251 $87,646k
Bristol-Myers Squibb Co (110122108) 645,934 $29,293k
Autodesk Inc (052769106) 159,702 $26,015k
BIOMARIN PHARMACEUTICAL INC (09061G101) 298,500 $25,567k
COGNEX CORP (192422103) 474,214 $22,753k
CHARLES RIV LABS INT (159864107) 120,100 $17,042k
AUTOZONE INC (053332102) 13,008 $14,302k
CME GROUP INC (12572Q105) 60,000 $11,647k
CIENA CORPORATION (171779309) 258,110 $10,616k
ALEXION PHARMACEUTICALS INC CO (015351109) 79,500 $10,413k
American International Group (026874784) 193,920 $10,332k
ALNYLAM PHARMACEUTICALS INC (02043Q107) 138,800 $10,071k
BIOGEN INC (09062X103) 42,500 $9,939k
AGILENT TECHNOLOGIES INC (00846U101) 132,511 $9,895k
COMCAST CORP (20030N101) 233,800 $9,885k
CHIPOTLE MEXICAN GRL (169656105) 13,204 $9,677k
BRUKER CORP (116794108) 189,127 $9,447k
BIO TECHNE CORP (09073M104) 43,706 $9,112k
COPART INC (217204106) 114,519 $8,559k
ADVANCE AUTO PARTS (00751Y106) 50,610 $7,801k
BCE INC (05534B760) 161,429 $7,342k
BOSTON BEER INC (100557107) 16,800 $6,346k
ANAPLAN INC COM (03272L108) 120,500 $6,082k
AMEDISYS INC (023436108) 47,165 $5,726k
BLUEPRINT MEDICINES CORP (09627Y109) 57,660 $5,439k
CHEGG INC COM USD0.001 (163092109) 139,639 $5,389k
ACACIA COMMUNICATIONS INC COM (00401C108) 101,200 $4,773k
BIG LOTS INC (089302103) 161,800 $4,629k
Axon Enterprise Inc (05464C101) 63,346 $4,067k
AMICUS THERAPEUTICS INC (03152W109) 316,400 $3,949k
AGIOS PHARMACEUTICALS INC (00847X104) 73,121 $3,647k
CARGURUS INC (141788109) 100,482 $3,628k
Core-Mark Holding Co., Inc. (218681104) 85,270 $3,387k
Callaway Golf (131193104) 185,186 $3,178k
CAREDX INC COM (14167L103) 80,800 $2,908k
ACI WORLDWIDE INC (004498101) 81,935 $2,814k
BLACKLINE INC (09239B109) 52,506 $2,810k
AUDENTES THERAPEUTICS INC COM (05070R104) 60,000 $2,272k
BUILDERS FIRSTSOURCE INC (12008R107) 126,100 $2,126k
BENEFITFOCUS INC (08180D106) 74,800 $2,031k
CLOUDERA INC (18914U100) 356,037 $1,873k
AKORN INC (009728106) 284,770 $1,467k
APPLIED OPTOELECTRONICS INC COM (03823U102) 136,996 $1,408k
CENTURY CMNTYS INC (156504300) 52,123 $1,385k
BANDWIDTH INC COM CL A (05988J103) 18,219 $1,367k
BOINGO WIRELESS IN (09739C102) 71,300 $1,281k
CALIFORNIA WTR SVC (130788102) 25,114 $1,272k
AXOS FINL INC (05465C100) 45,235 $1,233k
CONSOLIDATED COMM HLDGS INC (209034107) 244,904 $1,207k
Coca-Cola Consolidated Inc (191098102) 3,606 $1,079k
CARE.COM INC (141633107) 97,478 $1,070k
APPIAN CORP CL A (03782L101) 29,092 $1,049k
ADVANCED DRAIN SYS INC DEL (00790R104) 31,722 $1,040k
Carbonite (141337105) 39,900 $1,039k
AMAG PHARMACEUTICALS INC (00163U106) 96,842 $967k
APELLIS PHARMACEUTICALS INC (03753U106) 36,920 $936k
CANNAE HOLDINGS INC (13765N107) 28,900 $838k
BANC OF CALIFORNIA (05990K106) 56,300 $787k
CHEFS WAREHOUSE HO (163086101) 21,634 $759k
COLLEGIUM PHARMACEUTICAL INC (19459J104) 54,800 $721k
ADTRAN INC (00738A106) 44,814 $683k
Assembly Biosciences Inc (045396108) 44,100 $595k
Acushnet Holdings Corp. (005098108) 21,455 $563k
COLLIERS INTERNATIONAL GROUP INC (194693107) 7,710 $552k
CONNS INC (208242107) 27,634 $492k
ADAMAS PHARMACEUTICALS INC (00548A106) 78,200 $485k
Ceva Inc (157210105) 19,800 $482k
COMTECH TELECOMMUNICATIONS (205826209) 16,900 $475k
CELESTICA INC (15101Q108) 65,900 $450k
CHEMOCENTRYX INC (16383L106) 48,206 $448k
CASA SYS INC (14713L102) 63,508 $408k
ASSERTIO THERAPEUTICS INC (04545L107) 115,900 $400k
ATN INTL INC (00215F107) 6,900 $398k
ACCURAY INC (004397105) 101,700 $394k
ARLINGTON ASSET INVT CORP (041356205) 57,200 $394k
ABEONA THERAPEUTICS INC (00289Y107) 76,312 $365k
AEROHIVE NETWORKS INC (007786106) 81,969 $363k
CALIX INC COM (13100M509) 49,500 $325k
COMPUTER PROGRAMS & SYS INC (205306103) 10,900 $303k
COMMERCIAL VEH GRP (202608105) 36,900 $296k
CONTAINER STORE GROUP INC/TH (210751103) 40,500 $296k
COLUMBIA FINANCIAL I (197641103) 19,400 $293k
CAMDEN NATL CORP (133034108) 6,204 $285k
BARNES & NOBLE ED INC COM (06777U101) 82,500 $277k
BANKFINANCIAL CORP (06643P104) 16,500 $231k
CATALYST BIOSCIENCES INC (14888D208) 27,900 $206k
BLACKROCK CAPITAL INVESTMENT (092533108) 33,176 $200k
CAPITAL SR LIVING (140475104) 37,500 $189k
AMERESCO INC (02361E108) 12,842 $189k
ACLARIS THERAPEUTICS INC (00461U105) 77,300 $169k
AIRGAIN INC (00938A104) 11,200 $158k
ARATANA THERAPEUTICS INC (03874P101) 26,800 $138k
ARCUS BIOSCIENCES INC COM (03969F109) 16,700 $133k
BRIGHTCOVE INC COM USD0.001 (10921T101) 12,000 $124k
CHANNELADVISOR CORP (159179100) 12,029 $105k
AMBEV SA (02319V103) 20,392 $95k
BUILD A BEAR WORKSHOP (120076104) 16,300 $91k

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