Holdings Channel
Size ($ in 1000's)
At 12/31/2023: $5,616,168
At 09/30/2023: $4,673,438

TENOR CAPITAL MANAGEMENT Co. L.P. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from TENOR CAPITAL MANAGEMENT Co. L.P. 13F filings. Link to 13F filings: SEC filings

TENOR CAPITAL MANAGEMENT Co. L.P. Top Holdings
As of  12/31/2023, below is a summary of the TENOR CAPITAL MANAGEMENT Co. L.P. top holdings by largest position size, as per the latest 13f filing made by TENOR CAPITAL MANAGEMENT Co. L.P.. In the TENOR CAPITAL MANAGEMENT Co. L.P.-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by TENOR CAPITAL MANAGEMENT Co. L.P. in that top holding, then the share count change between reporting periods, and finally the TENOR CAPITAL MANAGEMENT Co. L.P. top holding position size for that row.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
PALO ALTO NETWORKS INC      $460,249
     NOTE 0155,009,000UNCH$460,249
INSIGHT ENTERPRISES INC      $244,034
     NOTE 093,716,000+3,582,000$244,034
ZIFF DAVIS INC      $166,472
     NOTE 1175,000,000+6,200,000$166,472
INSULET CORP      $164,845
     NOTE 0143,000,000-28,500,000$164,845
BLOCK INC      $147,078
     NOTE 0145,295,000+48,809,000$142,683
     NOTE 5 05,000,000UNCH$4,395
ALTERYX INC      $143,438
     NOTE 0128,661,000+4,597,000$125,713
     NOTE 118,125,000+1,500,000$17,725
ZSCALER INC      $129,312
     NOTE 084,989,000+43,429,000$129,312
TANDEM DIABETES CARE INC      $127,604
     NOTE 1134,055,000+134,055,000$127,604
FIVE9 INC      $108,745
     NOTE 0112,708,000+11,708,000$108,745
ENVESTNET INC      $106,581
     NOTE 071,529,000+19,630,000$66,987
     NOTE 240,000,000+40,000,000$39,594
LUMENTUM HLDGS INC      $104,690
     NOTE 070,500,000UNCH$63,019
     NOTE 041,248,000+7,405,000$41,671
MONGODB INC      $103,063
     NOTE 052,050,000-17,950,000$103,063
LIBERTY MEDIA CORP      $94,629
     NOTE 299,110,000+99,110,000$94,629
UNITED STATES STL CORP      $91,167
     NOTE 525,000,000UNCH$91,167
ATI INC      $88,963
     NOTE 330,000,000UNCH$88,963
EVOLENT HEALTH INC      $85,218
     NOTE 173,869,000+6,369,000$85,218
HUBSPOT INC      $83,316
     NOTE 040,000,000-12,754,000$83,316
ALTAIR ENGR INC      $83,226
     NOTE 045,893,000UNCH$83,226
NOVOCURE LTD      $79,557
     NOTE 11 091,445,000+6,000,000$79,557
OMNICELL COM      $79,056
     NOTE 086,000,000+21,490,000$79,056
SNAP INC      $79,037
     NOTE 038,000,000+2,500,000$40,742
     NOTE 5 047,645,000UNCH$38,295
BLACKLINE INC      $73,247
     NOTE 3 183,000,000+7,500,000$73,247
UNITY SOFTWARE INC      $73,211
     NOTE 11 187,871,000+8,441,000$73,211
PAR TECHNOLOGY CORP      $70,542
     NOTE 235,000,000UNCH$42,684
     NOTE 131,075,000UNCH$27,858
NEXTERA ENERGY PARTNERS      $67,856
     NOTE 6 170,000,000UNCH$67,856
PROS HOLDINGS INC      $67,708
     NOTE 258,585,000+56,085,000$66,715
     NOTE 11,013,000-37,496,000$993
GUIDEWIRE SOFTWARE INC      $65,093
     NOTE 158,757,000-11,172,000$65,093
INFINERA CORP      $62,657
     NOTE 354,000,000UNCH$54,153
     NOTE 29,000,000UNCH$8,504
JAZZ INVESTMENTS I LTD      $58,384
     NOTE 159,725,000UNCH$58,384
RAPID7 INC      $57,179
     NOTE 063,342,000+1,000,000$57,179
EVERBRIDGE INC      $56,216
     NOTE 3 157,546,000+7,189,000$50,065
     NOTE 06,500,000+6,500,000$6,151
ROYAL CARIBBEAN GROUP      $55,124
     NOTE 620,500,000+500,000$55,124
AIRBNB INC      $54,203
     NOTE 3 160,150,000+22,650,000$54,203
CARNIVAL CORP      $52,787
     NOTE 527,500,000UNCH$52,787
VARONIS SYS INC      $52,674
     NOTE 134,400,000+34,400,000$52,674
HEALTH CATALYST INC      $51,332
     NOTE 253,595,000+10,004,000$51,332
VERINT SYSTEMS INC      $49,316
     NOTE 055,845,000+28,249,000$49,316
Q2 HLDGS INC      $48,340
     NOTE 029,345,000UNCH$26,827
     NOTE 023,811,000UNCH$21,513
HARMONIC INC      $47,447
     DBCV 230,800,000UNCH$47,447
VERADIGM INC      $47,222
     NOTE 046,562,000+13,490,000$47,222
WIX COM LTD      $46,904
     NOTE 8 151,515,000UNCH$46,904
NEUROCRINE BIOSCIENCES INC      $46,681
     NOTE 226,765,000UNCH$46,681
RINGCENTRAL INC      $46,534
     NOTE 3 135,200,000UNCH$30,624
     NOTE 3 017,016,000+17,016,000$15,910
LIVONGO HEALTH INC      $44,688
     NOTE 047,504,000+17,750,000$44,688
SPOTIFY USA INC      $43,120
     NOTE 3 148,700,000+2,500,000$43,120
DATADOG INC      $40,619
     NOTE 029,000,000UNCH$40,619
DOCUSIGN INC      $39,900
     NOTE 1 140,000,000-6,562,000$39,900
SAREPTA THERAPEUTICS INC      $39,106
     NOTE 138,500,000+3,500,000$39,106
TELADOC HEALTH INC      $37,528
     NOTE 145,500,000+10,500,000$37,528
CERIDIAN HCM HLDG INC      $37,423
     NOTE 041,500,000UNCH$37,423

See Full List: All Stocks Held By TENOR CAPITAL MANAGEMENT Co. L.P.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By TENOR CAPITAL MANAGEMENT Co. L.P.

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