Holdings Channel



EntityShares/Amount
Change
Position Value
Change
QCOM +178,953+$25,882
GDX +780,000+$24,188
HUM +51,947+$23,782
CMG +8,863+$20,269
ELV +40,054+$18,888
NTAP +186,820+$16,470
LEN +109,996+$16,394
MANH +71,679+$15,434
MSI +47,816+$14,971
TEL +103,421+$14,531
EntityShares/Amount
Change
Position Value
Change
BABA -677,392-$58,757
YUMC -354,970-$19,779
AVGO -8,550-$7,101
TCOM -160,594-$5,616
TTMI -423,300-$5,452
COHR -160,900-$5,252
MRVL -82,300-$4,455
FORM -75,400-$2,634
MTSI -32,200-$2,627
CRDO -158,251-$2,413
EntityShares/Amount
Change
Position Value
Change
HUYA +4,335,884+$16,047
CLS +1,309,257+$39,850
EDU +346,956+$31,683
PDD +257,002+$40,039
ATHM +156,885+$4,324
RLX +154,800+$475
TSM +136,786+$14,433
AMZN +113,408+$17,283
WDC +104,464+$7,001
AEHR +70,855+$1,227
EntityShares/Amount
Change
Position Value
Change
VIPS -2,209,855-$34,453
TAL -1,475,051-$12,598
HPE -237,350-$4,146
YMM -162,328-$1,145
NVDA -100,463-$42,946
BEKE -97,831-$1,379
LI -38,000-$1,245
MAT -28,507-$794
INFN -28,503+$257
Size ($ in 1000's)
At 12/31/2023: $1,667,796
At 09/30/2023: $363,092

Combined Holding Report Includes:
Point72 Hong Kong Ltd
Point72 Asset Management L.P.

Point72 Hong Kong Ltd holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Point72 Hong Kong Ltd 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Point72 Hong Kong Ltd
As of  12/31/2023, we find all stocks held by Point72 Hong Kong Ltd to be as follows, presented in the table below with each row detailing each Point72 Hong Kong Ltd position, ordered by largest to smallest position size. The all-stocks-held-by-Point72 Hong Kong Ltd table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Point72 Hong Kong Ltd as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
NEW ORIENTAL ED & TECHNOLOGY 771,798 +346,956 $56,557
     EDU771,798+346,956$56,557
CELESTICA INC 1,627,529 +1,309,257 $47,654
     CLS1,627,529+1,309,257$47,654
PDD HOLDINGS INC 307,511 +257,002 $44,992
     PDD307,511+257,002$44,992
JOYY INC 811,045 -5,862 $32,198
     YY811,045-5,862$32,198
QUALCOMM INC 178,953 +178,953 $25,882
     QCOM178,953+178,953$25,882
VANECK ETF TRUST (GDX)      $24,188
     Call780,000+780,000$24,188
HUMANA INC 51,947 +51,947 $23,782
     HUM51,947+51,947$23,782
CHIPOTLE MEXICAN GRILL INC 8,863 +8,863 $20,269
     CMG8,863+8,863$20,269
ELEVANCE HEALTH INC 40,054 +40,054 $18,888
     ELV40,054+40,054$18,888
AMAZON COM INC 115,508 +113,408 $17,550
     AMZN115,508+113,408$17,550
WESTERN DIGITAL CORP. 331,445 +104,464 $17,358
     WDC331,445+104,464$17,358
HUYA INC 4,551,795 +4,335,884 $16,660
     HUYA4,551,795+4,335,884$16,660
NETAPP INC 186,820 +186,820 $16,470
     NTAP186,820+186,820$16,470
LENNAR CORP 109,996 +109,996 $16,394
     LEN109,996+109,996$16,394
TAIWAN SEMICONDUCTOR MFG LTD 148,886 +136,786 $15,484
     TSM148,886+136,786$15,484
MANHATTAN ASSOCIATES INC 71,679 +71,679 $15,434
     MANH71,679+71,679$15,434
MOTOROLA SOLUTIONS INC 47,816 +47,816 $14,971
     MSI47,816+47,816$14,971
TE CONNECTIVITY LTD 103,421 +103,421 $14,531
     TEL103,421+103,421$14,531
FERRARI N V 42,517 +42,517 $14,389
     RACE42,517+42,517$14,389
ABBVIE INC 90,858 +90,858 $14,080
     ABBV90,858+90,858$14,080
CARDINAL HEALTH INC 136,881 +136,881 $13,798
     CAH136,881+136,881$13,798
NETEASE INC 145,521 +145,521 $13,557
     NTES145,521+145,521$13,557
METLIFE INC 201,410 +201,410 $13,319
     MET201,410+201,410$13,319
ELASTIC N V 115,724 +115,724 $13,042
     ESTC115,724+115,724$13,042
STARBUCKS CORP 133,780 +133,780 $12,844
     SBUX133,780+133,780$12,844
KLA CORP 21,996 +21,996 $12,786
     KLAC21,996+21,996$12,786
PHILIP MORRIS INTL INC 135,715 +135,715 $12,768
     PM135,715+135,715$12,768
SCHLUMBERGER LTD 240,971 +240,971 $12,540
     SLB240,971+240,971$12,540
DEXCOM INC 99,449 +99,449 $12,341
     DXCM99,449+99,449$12,341
WEST PHARMACEUTICAL SVSC INC 34,766 +34,766 $12,242
     WST34,766+34,766$12,242
LAM RESEARCH CORP 15,018 +15,018 $11,763
     LRCX15,018+15,018$11,763
CITIGROUP INC 222,710 +222,710 $11,456
     C222,710+222,710$11,456
GAP INC 546,090 +546,090 $11,419
     GPS546,090+546,090$11,419
IDEXX LABS INC 20,395 +20,395 $11,320
     IDXX20,395+20,395$11,320
ATOUR LIFESTYLE HLDGS LTD 651,637 +651,637 $11,312
     ATAT651,637+651,637$11,312
UNIVERSAL DISPLAY CORP 57,166 +57,166 $10,934
     OLED57,166+57,166$10,934
WELLS FARGO CO NEW 222,151 +222,151 $10,934
     WFC222,151+222,151$10,934
EXPEDIA GROUP INC 71,994 +71,994 $10,928
     EXPE71,994+71,994$10,928
EVEREST GROUP LTD 29,997 +29,997 $10,606
     EG29,997+29,997$10,606
PACKAGING CORP AMER 63,159 +63,159 $10,289
     PKG63,159+63,159$10,289
SYNOPSYS INC 19,930 +19,930 $10,262
     SNPS19,930+19,930$10,262
STATE STR CORP 130,857 +130,857 $10,136
     STT130,857+130,857$10,136
SMITH A O CORP 122,717 +122,717 $10,117
     AOS122,717+122,717$10,117
ULTA BEAUTY INC 20,593 +20,593 $10,090
     ULTA20,593+20,593$10,090
LULULEMON ATHLETICA INC 19,639 +19,639 $10,041
     LULU19,639+19,639$10,041
CENTENE CORP DEL 131,459 +131,459 $9,756
     CNC131,459+131,459$9,756
ACM RESH INC 496,494 +70,227 $9,701
     ACMR496,494+70,227$9,701
SONOS INC 564,600 +564,600 $9,677
     SONO564,600+564,600$9,677
CROCS INC 102,489 +102,489 $9,573
     CROX102,489+102,489$9,573
VIPSHOP HLDGS LTD 529,526 -2,209,855 $9,404
     VIPS529,526-2,209,855$9,404
ADOBE INC 15,653 +15,653 $9,338
     ADBE15,653+15,653$9,338
SPOTIFY TECHNOLOGY S A 49,264 +49,264 $9,257
     SPOT49,264+49,264$9,257
MERCADOLIBRE INC 5,745 +5,745 $9,028
     MELI5,745+5,745$9,028
ETSY INC 110,120 +110,120 $8,925
     ETSY110,120+110,120$8,925
ELECTRONIC ARTS INC 61,104 +61,104 $8,360
     EA61,104+61,104$8,360
MASCO CORP 124,668 +124,668 $8,350
     MAS124,668+124,668$8,350
AECOM 89,534 +89,534 $8,276
     ACM89,534+89,534$8,276
SERVICENOW INC 11,659 +11,659 $8,237
     NOW11,659+11,659$8,237
CORTEVA INC 167,231 +167,231 $8,014
     CTVA167,231+167,231$8,014
APPLIED MATLS INC 48,458 +48,458 $7,854
     AMAT48,458+48,458$7,854
CERIDIAN HCM HLDG INC 116,536 +116,536 $7,822
     CDAY116,536+116,536$7,822
QORVO INC 67,614 +47,514 $7,614
     QRVO67,614+47,514$7,614
ELI LILLY & CO 12,700 +12,700 $7,403
     LLY12,700+12,700$7,403
AON PLC 25,114 +25,114 $7,309
     AON25,114+25,114$7,309
BIO RAD LABS INC 22,517 +22,517 $7,271
     BIO22,517+22,517$7,271
REGENERON PHARMACEUTICALS 8,184 +8,184 $7,188
     REGN8,184+8,184$7,188
D R HORTON INC 46,542 +46,542 $7,073
     DHI46,542+46,542$7,073
HP INC 234,911 +234,911 $7,068
     HPQ234,911+234,911$7,068
HOWMET AEROSPACE INC 130,421 +130,421 $7,058
     HWM130,421+130,421$7,058
PROGRESSIVE CORP 43,901 +43,901 $6,993
     PGR43,901+43,901$6,993
DARDEN RESTAURANTS INC 41,468 +41,468 $6,813
     DRI41,468+41,468$6,813
MOSAIC CO NEW 189,089 +189,089 $6,756
     MOS189,089+189,089$6,756
SUPER MICRO COMPUTER INC 23,200 -19,120 $6,595
     SMCI23,200-19,120$6,595
ROKU INC 71,465 +71,465 $6,550
     ROKU71,465+71,465$6,550
MARSH & MCLENNAN COS INC 34,360 +34,360 $6,510
     MMC34,360+34,360$6,510
NEXTERA ENERGY INC 106,304 +106,304 $6,457
     NEE106,304+106,304$6,457
FORTUNE BRANDS INNOVATIONS I 83,130 +83,130 $6,330
     FBIN83,130+83,130$6,330
NVIDIA CORPORATION 12,530 -100,463 $6,205
     NVDA12,530-100,463$6,205
FIVE9 INC 75,962 +75,962 $5,977
     FIVN75,962+75,962$5,977
TENCENT MUSIC ENTMT GROUP 660,955 +660,955 $5,955
     TME660,955+660,955$5,955
MERCK & CO INC 53,420 +53,420 $5,824
     MRK53,420+53,420$5,824
CONSTELLATION BRANDS INC 23,775 +23,775 $5,748
     STZ23,775+23,775$5,748
ARCH CAP GROUP LTD 76,407 +76,407 $5,675
     ACGL76,407+76,407$5,675
APPLE INC 29,093 +29,093 $5,601
     AAPL29,093+29,093$5,601
MICROSOFT CORP 14,843 +13,443 $5,582
     MSFT14,843+13,443$5,582
STEEL DYNAMICS INC 47,128 +47,128 $5,566
     STLD47,128+47,128$5,566
AIRBNB INC 39,554 +39,554 $5,385
     ABNB39,554+39,554$5,385
AUTOHOME INC 191,017 +156,885 $5,360
     ATHM191,017+156,885$5,360
ECOLAB INC 26,658 +26,658 $5,288
     ECL26,658+26,658$5,288
EBAY INC. 120,480 +120,480 $5,255
     EBAY120,480+120,480$5,255
LYONDELLBASELL INDUSTRIES N 55,122 +55,122 $5,241
     LYB55,122+55,122$5,241
JD.COM INC 180,092 +180,092 $5,203
     JD180,092+180,092$5,203
AUTOMATIC DATA PROCESSING IN 21,549 +21,549 $5,020
     ADP21,549+21,549$5,020
LENNOX INTL INC 11,208 +11,208 $5,016
     LII11,208+11,208$5,016
ZSCALER INC 22,429 +22,429 $4,969
     ZS22,429+22,429$4,969
EXTREME NETWORKS 280,200 +280,200 $4,943
     EXTR280,200+280,200$4,943
HERSHEY CO 26,366 +26,366 $4,916
     HSY26,366+26,366$4,916
WORKDAY INC 17,606 +17,606 $4,860
     WDAY17,606+17,606$4,860
CLOROX CO DEL 33,226 +33,226 $4,738
     CLX33,226+33,226$4,738
GLOBE LIFE INC 38,760 +38,760 $4,718
     GL38,760+38,760$4,718
PAYCOM SOFTWARE INC 22,775 +22,775 $4,708
     PAYC22,775+22,775$4,708
FISERV INC 35,317 +35,317 $4,692
     FI35,317+35,317$4,692
PINTEREST INC 126,659 +126,659 $4,691
     PINS126,659+126,659$4,691
MAXLINEAR INC 195,374 +195,374 $4,644
     MXL195,374+195,374$4,644
PPG INDS INC 30,940 +30,940 $4,627
     PPG30,940+30,940$4,627
WINGSTOP INC 17,788 +17,788 $4,564
     WING17,788+17,788$4,564
MONSTER BEVERAGE CORP NEW 79,029 +79,029 $4,553
     MNST79,029+79,029$4,553
TRANE TECHNOLOGIES PLC 18,421 +18,421 $4,493
     TT18,421+18,421$4,493
ROSS STORES INC 32,179 +32,179 $4,453
     ROST32,179+32,179$4,453
MINISO GROUP HLDG LTD 217,328 +42,442 $4,433
     MNSO217,328+42,442$4,433
MICRON TECHNOLOGY INC 49,831 +5,031 $4,253
     MU49,831+5,031$4,253
DEVON ENERGY CORP NEW 93,087 +93,087 $4,217
     DVN93,087+93,087$4,217
BRISTOL MYERS SQUIBB CO 81,996 +81,996 $4,207
     BMY81,996+81,996$4,207
INVESCO QQQ TR      $4,177
     Call10,000+7,500$4,095
     QQQ200+200$82
TRUIST FINL CORP 110,773 +110,773 $4,090
     TFC110,773+110,773$4,090
NORTHERN TR CORP 48,088 +48,088 $4,058
     NTRS48,088+48,088$4,058
ASML HOLDING N V 5,300 +5,300 $4,012
     ASML5,300+5,300$4,012
SKYWORKS SOLUTIONS INC 35,229 +35,229 $3,960
     SWKS35,229+35,229$3,960
LOEWS CORP 56,738 +56,738 $3,948
     L56,738+56,738$3,948
OWENS CORNING NEW 26,503 +26,503 $3,929
     OC26,503+26,503$3,929
NUTRIEN LTD 69,337 +69,337 $3,906
     NTR69,337+69,337$3,906
CADENCE DESIGN SYSTEM INC 14,286 +14,286 $3,891
     CDNS14,286+14,286$3,891
DOORDASH INC 39,036 +39,036 $3,860
     DASH39,036+39,036$3,860
ASHLAND INC 45,614 +45,614 $3,846
     ASH45,614+45,614$3,846
VERISIGN INC 18,624 +18,624 $3,836
     VRSN18,624+18,624$3,836
COGNEX CORP 91,116 +91,116 $3,803
     CGNX91,116+91,116$3,803
SNOWFLAKE INC 19,086 +19,086 $3,798
     SNOW19,086+19,086$3,798
UBER TECHNOLOGIES INC 61,670 +61,670 $3,797
     UBER61,670+61,670$3,797
DATADOG INC 31,207 +31,207 $3,788
     DDOG31,207+31,207$3,788
NIKE INC 34,870 +34,870 $3,786
     NKE34,870+34,870$3,786
WHIRLPOOL CORP 30,386 +30,386 $3,700
     WHR30,386+30,386$3,700
METTLER TOLEDO INTERNATIONAL 2,983 +2,983 $3,618
     MTD2,983+2,983$3,618
UIPATH INC 143,600 +143,600 $3,567
     PATH143,600+143,600$3,567
CUMMINS INC 14,813 +14,813 $3,549
     CMI14,813+14,813$3,549
INCYTE CORP 55,496 +55,496 $3,485
     INCY55,496+55,496$3,485
HESAI GROUP 390,572 +390,572 $3,480
     HSAI390,572+390,572$3,480
IMPINJ INC 38,092 +38,092 $3,429
     PI38,092+38,092$3,429
VULCAN MATLS CO 14,555 +14,555 $3,304
     VMC14,555+14,555$3,304
HARMONIC INC 252,300 +252,300 $3,290
     HLIT252,300+252,300$3,290
KE HLDGS INC 202,023 -97,831 $3,275
     BEKE202,023-97,831$3,275
STANLEY BLACK & DECKER INC 33,086 +33,086 $3,246
     SWK33,086+33,086$3,246
ROYALTY PHARMA PLC 114,625 +114,625 $3,220
     RPRX114,625+114,625$3,220
WOODWARD INC 23,403 +23,403 $3,186
     WWD23,403+23,403$3,186
STRYKER CORPORATION 10,484 +10,484 $3,140
     SYK10,484+10,484$3,140
INFINERA CORP 660,497 -28,503 $3,137
     INFN660,497-28,503$3,137
SEALED AIR CORP NEW 85,420 +85,420 $3,120
     SEE85,420+85,420$3,120
GENPACT LIMITED 89,382 +89,382 $3,102
     G89,382+89,382$3,102
BOEING CO 11,829 +11,829 $3,083
     BA11,829+11,829$3,083
EMERSON ELEC CO 31,600 +31,600 $3,076
     EMR31,600+31,600$3,076
CME GROUP INC 14,397 +14,397 $3,032
     CME14,397+14,397$3,032
HENRY JACK & ASSOC INC 18,512 +18,512 $3,025
     JKHY18,512+18,512$3,025
TAL EDUCATION GROUP 238,386 -1,475,051 $3,011
     TAL238,386-1,475,051$3,011
COSTCO WHSL CORP NEW 4,521 +4,521 $2,984
     COST4,521+4,521$2,984
LUMENTUM HLDGS INC 56,600 +56,600 $2,967
     LITE56,600+56,600$2,967
SEMTECH CORP 134,600 +134,600 $2,949
     SMTC134,600+134,600$2,949
THE CIGNA GROUP 9,776 +9,776 $2,927
     CI9,776+9,776$2,927
WOLFSPEED INC 66,917 +66,917 $2,912
     WOLF66,917+66,917$2,912
M & T BK CORP 21,196 +21,196 $2,906
     MTB21,196+21,196$2,906
UNITED AIRLS HLDGS INC 69,397 +69,397 $2,863
     UAL69,397+69,397$2,863
LEIDOS HOLDINGS INC 25,996 +25,996 $2,814
     LDOS25,996+25,996$2,814
AEHR TEST SYS 104,900 +70,855 $2,783
     AEHR104,900+70,855$2,783
GENUINE PARTS CO 19,974 +19,974 $2,766
     GPC19,974+19,974$2,766
SMARTSHEET INC 57,319 +57,319 $2,741
     SMAR57,319+57,319$2,741
DELTA AIR LINES INC DEL 67,721 +67,721 $2,724
     DAL67,721+67,721$2,724
APPLIED OPTOELECTRONICS INC 140,669 +140,669 $2,718
     AAOI140,669+140,669$2,718
AMERICAN INTL GROUP INC 39,890 +39,890 $2,703
     AIG39,890+39,890$2,703
DOMINOS PIZZA INC 6,515 +6,515 $2,686
     DPZ6,515+6,515$2,686
CIENA CORP 58,954 +58,954 $2,654
     CIEN58,954+58,954$2,654
APA CORPORATION 73,681 +73,681 $2,644
     APA73,681+73,681$2,644
AGCO CORP 21,646 +21,646 $2,628
     AGCO21,646+21,646$2,628
AMERICAN WTR WKS CO INC NEW 19,857 +19,857 $2,621
     AWK19,857+19,857$2,621
TERADATA CORP DEL 59,626 +59,626 $2,594
     TDC59,626+59,626$2,594
MORNINGSTAR INC 8,911 +8,911 $2,551
     MORN8,911+8,911$2,551
PAYLOCITY HLDG CORP 15,227 +15,227 $2,510
     PCTY15,227+15,227$2,510
AXCELIS TECHNOLOGIES INC 19,217 +19,217 $2,492
     ACLS19,217+19,217$2,492
MANPOWERGROUP INC WIS 31,092 +31,092 $2,471
     MAN31,092+31,092$2,471
ARCHER DANIELS MIDLAND CO 33,882 +33,882 $2,447
     ADM33,882+33,882$2,447
CARNIVAL CORP 131,469 +131,469 $2,437
     CCL131,469+131,469$2,437
GODADDY INC 22,945 +22,945 $2,436
     GDDY22,945+22,945$2,436
GDS HLDGS LTD 266,969 +266,969 $2,435
     GDS266,969+266,969$2,435
GITLAB INC 38,477 +38,477 $2,423
     GTLB38,477+38,477$2,423
AMGEN INC 8,404 +8,404 $2,421
     AMGN8,404+8,404$2,421
NUTANIX INC 50,742 +50,742 $2,420
     NTNX50,742+50,742$2,420
DECKERS OUTDOOR CORP 3,618 +3,618 $2,418
     DECK3,618+3,618$2,418
SCIENCE APPLICATIONS INTL CO 19,436 +19,436 $2,416
     SAIC19,436+19,436$2,416
NASDAQ INC 41,443 +41,443 $2,409
     NDAQ41,443+41,443$2,409
TREX CO INC 28,604 +28,604 $2,368
     TREX28,604+28,604$2,368
ROLLINS INC 53,594 +53,594 $2,340
     ROL53,594+53,594$2,340
LI AUTO INC 61,800 -38,000 $2,313
     LI61,800-38,000$2,313
QUALYS INC 11,715 +11,715 $2,299
     QLYS11,715+11,715$2,299
NATERA INC 36,571 +36,571 $2,291
     NTRA36,571+36,571$2,291
CMS ENERGY CORP 39,337 +39,337 $2,284
     CMS39,337+39,337$2,284
CLOUDFLARE INC 27,437 +27,437 $2,284
     NET27,437+27,437$2,284
KINSALE CAP GROUP INC 6,789 +6,789 $2,274
     KNSL6,789+6,789$2,274
AXALTA COATING SYS LTD 66,591 +66,591 $2,262
     AXTA66,591+66,591$2,262
EXELON CORP 61,860 +61,860 $2,221
     EXC61,860+61,860$2,221
EVERGY INC 42,488 +42,488 $2,218
     EVRG42,488+42,488$2,218
HOLOGIC INC 30,986 +30,986 $2,214
     HOLX30,986+30,986$2,214
KINDER MORGAN INC DEL 124,700 +124,700 $2,200
     KMI124,700+124,700$2,200
PFIZER INC 74,003 +74,003 $2,131
     PFE74,003+74,003$2,131
COMMERCIAL METALS CO 41,927 +41,927 $2,098
     CMC41,927+41,927$2,098
HALOZYME THERAPEUTICS INC 56,675 +56,675 $2,095
     HALO56,675+56,675$2,095
FEDERATED HERMES INC 60,876 +60,876 $2,061
     FHI60,876+60,876$2,061
IRIDIUM COMMUNICATIONS INC 50,008 +50,008 $2,058
     IRDM50,008+50,008$2,058
COCA COLA CO 34,741 +34,741 $2,047
     KO34,741+34,741$2,047
NUCOR CORP 11,700 +11,700 $2,036
     NUE11,700+11,700$2,036
CORNING INC 66,374 +66,374 $2,021
     GLW66,374+66,374$2,021
PRINCIPAL FINANCIAL GROUP IN 25,665 +25,665 $2,019
     PFG25,665+25,665$2,019
SYSCO CORP 26,620 +26,620 $1,947
     SYY26,620+26,620$1,947
AMBARELLA INC 31,363 +31,363 $1,922
     AMBA31,363+31,363$1,922
CABLE ONE INC 3,393 +3,393 $1,889
     CABO3,393+3,393$1,889
WINTRUST FINL CORP 20,071 +20,071 $1,862
     WTFC20,071+20,071$1,862
BECTON DICKINSON & CO 7,465 +7,465 $1,820
     BDX7,465+7,465$1,820
COLUMBIA SPORTSWEAR CO 22,796 +22,796 $1,813
     COLM22,796+22,796$1,813
INTERNATIONAL PAPER CO 50,154 +50,154 $1,813
     IP50,154+50,154$1,813
MASTERCARD INCORPORATED 4,182 +4,182 $1,784
     MA4,182+4,182$1,784
QIAGEN NV 40,703 +40,703 $1,768
     QGEN40,703+40,703$1,768
DOCUSIGN INC 29,604 +29,604 $1,760
     DOCU29,604+29,604$1,760
ISHARES INC (EWZ)      $1,748
     Call50,000+50,000$1,748
VANECK ETF TRUST (SMH)      $1,748
     Call20,000+15,000$3,497
     Put10,000+10,000$1,749
BRIGHTHOUSE FINL INC 32,846 +32,846 $1,738
     BHF32,846+32,846$1,738
HORMEL FOODS CORP 52,969 +52,969 $1,701
     HRL52,969+52,969$1,701
MARRIOTT VACATIONS WORLDWIDE 19,980 +19,980 $1,696
     VAC19,980+19,980$1,696
APTARGROUP INC 13,591 +13,591 $1,680
     ATR13,591+13,591$1,680
SELECT SECTOR SPDR TR (XLE)      $1,677
     Call20,000+20,000$1,677
INVITATION HOMES INC 48,653 +48,653 $1,660
     INVH48,653+48,653$1,660
SNAP ON INC 5,746 +5,746 $1,660
     SNA5,746+5,746$1,660
FLUOR CORP NEW 41,977 +41,977 $1,644
     FLR41,977+41,977$1,644
ASSURANT INC 9,550 +9,550 $1,609
     AIZ9,550+9,550$1,609
NEW YORK TIMES CO 32,341 +32,341 $1,584
     NYT32,341+32,341$1,584
LIGHT & WONDER INC 18,825 +18,825 $1,546
     LNW18,825+18,825$1,546
JUNIPER NETWORKS INC 52,128 +52,128 $1,537
     JNPR52,128+52,128$1,537
PENSKE AUTOMOTIVE GRP INC 9,525 +9,525 $1,529
     PAG9,525+9,525$1,529
CIRRUS LOGIC INC 18,133 +18,133 $1,508
     CRUS18,133+18,133$1,508
AMERICAN FINL GROUP INC OHIO 12,670 +12,670 $1,506
     AFG12,670+12,670$1,506
ARROW ELECTRS INC 12,293 +12,293 $1,503
     ARW12,293+12,293$1,503
VISTEON CORP 11,906 +11,906 $1,487
     VC11,906+11,906$1,487
UNITED THERAPEUTICS CORP DEL 6,713 +6,713 $1,476
     UTHR6,713+6,713$1,476
LEAR CORP 10,274 +10,274 $1,451
     LEA10,274+10,274$1,451
CHEWY INC 61,197 +61,197 $1,446
     CHWY61,197+61,197$1,446
FREEPORT MCMORAN INC 33,320 +33,320 $1,418
     FCX33,320+33,320$1,418
COMMVAULT SYS INC 17,332 +17,332 $1,384
     CVLT17,332+17,332$1,384
CARTERS INC 18,441 +18,441 $1,381
     CRI18,441+18,441$1,381
GOLDMAN SACHS GROUP INC 3,577 +3,577 $1,380
     GS3,577+3,577$1,380
LINDE PLC 3,350 +3,350 $1,376
     LIN3,350+3,350$1,376
SHERWIN WILLIAMS CO 4,407 +4,407 $1,374
     SHW4,407+4,407$1,374
CRACKER BARREL OLD CTRY STOR 17,784 +17,784 $1,371
     CBRL17,784+17,784$1,371
GARTNER INC 3,028 +3,028 $1,366
     IT3,028+3,028$1,366
AFFILIATED MANAGERS GROUP IN 8,980 +8,980 $1,360
     AMG8,980+8,980$1,360
SONOCO PRODS CO 24,091 +24,091 $1,346
     SON24,091+24,091$1,346
BLACKLINE INC 21,461 +21,461 $1,340
     BL21,461+21,461$1,340
CAESARS ENTERTAINMENT INC NE 28,453 +28,453 $1,334
     CZR28,453+28,453$1,334
MARTIN MARIETTA MATLS INC 2,608 +2,608 $1,301
     MLM2,608+2,608$1,301
KNIGHT SWIFT TRANSN HLDGS IN 22,500 +22,500 $1,297
     KNX22,500+22,500$1,297
EMCOR GROUP INC 5,964 +5,964 $1,285
     EME5,964+5,964$1,285
LINCOLN NATL CORP IND 47,645 +47,645 $1,285
     LNC47,645+47,645$1,285
TETRA TECH INC NEW 7,625 +7,625 $1,273
     TTEK7,625+7,625$1,273
BANKUNITED INC 38,606 +38,606 $1,252
     BKU38,606+38,606$1,252
DYNATRACE INC 22,192 +22,192 $1,214
     DT22,192+22,192$1,214
IQIYI INC 247,228 +247,228 $1,206
     IQ247,228+247,228$1,206
ENTERGY CORP NEW 11,711 +11,711 $1,185
     ETR11,711+11,711$1,185
JABIL INC 9,230 +9,230 $1,176
     JBL9,230+9,230$1,176
OSHKOSH CORP 10,521 +10,521 $1,141
     OSK10,521+10,521$1,141
ADVANCED DRAIN SYS INC DEL 8,102 +8,102 $1,139
     WMS8,102+8,102$1,139
AMERICAN EAGLE OUTFITTERS IN 53,401 +53,401 $1,130
     AEO53,401+53,401$1,130
REINSURANCE GRP OF AMERICA I 6,941 +6,941 $1,123
     RGA6,941+6,941$1,123
HUNTSMAN CORP 43,912 +43,912 $1,104
     HUN43,912+43,912$1,104
BRIXMOR PPTY GROUP INC 47,100 +47,100 $1,096
     BRX47,100+47,100$1,096
MARATHON OIL CORP 45,058 +45,058 $1,089
     MRO45,058+45,058$1,089
LPL FINL HLDGS INC 4,704 +4,704 $1,071
     LPLA4,704+4,704$1,071
AVNET INC 21,237 +21,237 $1,070
     AVT21,237+21,237$1,070
LYFT INC 68,344 +68,344 $1,024
     LYFT68,344+68,344$1,024
IONIS PHARMACEUTICALS INC 20,015 +20,015 $1,013
     IONS20,015+20,015$1,013
ADIENT PLC 27,830 +27,830 $1,012
     ADNT27,830+27,830$1,012
HEWLETT PACKARD ENTERPRISE C 59,350 -237,350 $1,008
     HPE59,350-237,350$1,008
MATTEL INC 52,993 -28,507 $1,001
     MAT52,993-28,507$1,001
ZIFF DAVIS INC 14,885 +14,885 $1,000
     ZD14,885+14,885$1,000
HANOVER INS GROUP INC 8,207 +8,207 $996
     THG8,207+8,207$996
AMN HEALTHCARE SVCS INC 13,286 +13,286 $995
     AMN13,286+13,286$995
EQUITABLE HLDGS INC 29,822 +29,822 $993
     EQH29,822+29,822$993
RLX TECHNOLOGY INC 492,600 +154,800 $985
     RLX492,600+154,800$985
JACK IN THE BOX INC 11,798 +11,798 $963
     JACK11,798+11,798$963
PARKER HANNIFIN CORP 2,075 +2,075 $956
     PH2,075+2,075$956
CINCINNATI FINL CORP 9,232 +9,232 $955
     CINF9,232+9,232$955
TRAVEL PLUS LEISURE CO 24,284 +24,284 $949
     TNL24,284+24,284$949
CASEYS GEN STORES INC 3,442 +3,442 $946
     CASY3,442+3,442$946
FORTIVE CORP 12,769 +12,769 $940
     FTV12,769+12,769$940
ISHARES TR (ICLN)      $934
     Call50,000+50,000$778
     ICLN10,000+10,000$156
CHAMPIONX CORPORATION 31,902 +31,902 $932
     CHX31,902+31,902$932
EQUITY LIFESTYLE PPTYS INC 12,810 +12,810 $904
     ELS12,810+12,810$904
ARISTA NETWORKS INC 3,808 +3,808 $897
     ANET3,808+3,808$897
AVIS BUDGET GROUP 5,046 +5,046 $894
     CAR5,046+5,046$894
MSCI INC 1,572 +1,572 $889
     MSCI1,572+1,572$889
META PLATFORMS INC 2,500 +1,500 $885
     META2,500+1,500$885
CONSOLIDATED EDISON INC 9,687 +9,687 $881
     ED9,687+9,687$881
SITEONE LANDSCAPE SUPPLY INC 5,390 +5,390 $876
     SITE5,390+5,390$876
ROBLOX CORP 19,091 +19,091 $873
     RBLX19,091+19,091$873
NOVARTIS AG 8,607 +8,607 $869
     NVS8,607+8,607$869
KENNAMETAL INC 33,436 +33,436 $862
     KMT33,436+33,436$862
TARGET CORP 5,966 +5,966 $850
     TGT5,966+5,966$850
BEACON ROOFING SUPPLY INC 9,730 +9,730 $847
     BECN9,730+9,730$847
WIX COM LTD 6,753 +6,753 $831
     WIX6,753+6,753$831
PINNACLE WEST CAP CORP 11,494 +11,494 $826
     PNW11,494+11,494$826
ATLASSIAN CORPORATION 3,420 +3,420 $813
     TEAM3,420+3,420$813
ALTRIA GROUP INC 19,853 +19,853 $801
     MO19,853+19,853$801
DOMINION ENERGY INC 16,694 +16,694 $785
     D16,694+16,694$785
NATIONAL FUEL GAS CO 15,540 +15,540 $780
     NFG15,540+15,540$780
PATTERSON UTI ENERGY INC 69,272 +69,272 $748
     PTEN69,272+69,272$748
BAKER HUGHES COMPANY 21,266 +21,266 $727
     BKR21,266+21,266$727
STAAR SURGICAL CO 22,954 +22,954 $716
     STAA22,954+22,954$716
DICKS SPORTING GOODS INC 4,855 +4,855 $713
     DKS4,855+4,855$713
MONDAY COM LTD 3,733 +3,733 $701
     MNDY3,733+3,733$701
AIR LEASE CORP 16,666 +16,666 $699
     AL16,666+16,666$699
R1 RCM INC 65,928 +65,928 $697
     RCM65,928+65,928$697
OGE ENERGY CORP 19,790 +19,790 $691
     OGE19,790+19,790$691
VONTIER CORPORATION 19,984 +19,984 $690
     VNT19,984+19,984$690
INMODE LTD 30,983 +30,983 $689
     INMD30,983+30,983$689
NISOURCE INC 25,641 +25,641 $681
     NI25,641+25,641$681
MOLSON COORS BEVERAGE CO 11,052 +11,052 $676
     TAP11,052+11,052$676
C H ROBINSON WORLDWIDE INC 7,725 +7,725 $667
     CHRW7,725+7,725$667
BANC OF CALIFORNIA INC 49,081 +49,081 $659
     BANC49,081+49,081$659
DAVITA INC 6,281 +6,281 $658
     DVA6,281+6,281$658
H WORLD GROUP LTD 19,583 +19,583 $655
     HTHT19,583+19,583$655
SAMSARA INC 19,202 +19,202 $641
     IOT19,202+19,202$641
ZTO EXPRESS CAYMAN INC 30,066 +30,066 $640
     ZTO30,066+30,066$640
TD SYNNEX CORPORATION 5,764 +5,764 $620
     SNX5,764+5,764$620
RELIANCE STEEL & ALUMINUM CO 2,204 +2,204 $617
     RS2,204+2,204$617
BANK OZK LITTLE ROCK ARK 12,200 +12,200 $608
     OZK12,200+12,200$608
EAST WEST BANCORP INC 8,351 +8,351 $601
     EWBC8,351+8,351$601
FIRST BANCORP P R 36,501 +36,501 $600
     FBP36,501+36,501$600
LOCKHEED MARTIN CORP 1,324 +1,324 $600
     LMT1,324+1,324$600
BITDEER TECHNOLOGIES GROUP 60,100 +60,100 $593
     BTDR60,100+60,100$593
FLOWSERVE CORP 14,377 +14,377 $593
     FLS14,377+14,377$593
DISNEY WALT CO 6,441 +6,441 $582
     DIS6,441+6,441$582
BERRY GLOBAL GROUP INC 8,528 +8,528 $575
     BERY8,528+8,528$575
AVANGRID INC 17,250 +17,250 $559
     AGR17,250+17,250$559
AT&T INC 33,199 +33,199 $557
     T33,199+33,199$557
GRAINGER W W INC 664 +664 $550
     GWW664+664$550
NATIONAL VISION HLDGS INC 25,880 +25,880 $542
     EYE25,880+25,880$542
VISHAY INTERTECHNOLOGY INC 22,510 +22,510 $540
     VSH22,510+22,510$540
DUOLINGO INC 2,377 +2,377 $539
     DUOL2,377+2,377$539
NEWELL BRANDS INC 62,007 +62,007 $538
     NWL62,007+62,007$538
ENVISTA HOLDINGS CORPORATION 22,244 +22,244 $535
     NVST22,244+22,244$535
DOW INC 9,561 +9,561 $524
     DOW9,561+9,561$524
URBAN EDGE PPTYS 28,311 +28,311 $518
     UE28,311+28,311$518
CSX CORP 14,800 +14,800 $513
     CSX14,800+14,800$513
KB HOME 8,149 +8,149 $509
     KBH8,149+8,149$509
ALPHABET INC 3,600 +3,600 $507
     GOOG3,600+3,600$507
AZEK CO INC 13,080 +13,080 $500
     AZEK13,080+13,080$500
JEFFERIES FINL GROUP INC 12,304 +12,304 $497
     JEF12,304+12,304$497
ISHARES TR (INDA) 10,000 +10,000 $488
     INDA10,000+10,000$488
OLD DOMINION FREIGHT LINE IN 1,202 +1,202 $487
     ODFL1,202+1,202$487
SYNOVUS FINL CORP 12,920 +12,920 $486
     SNV12,920+12,920$486
GUARDANT HEALTH INC 17,743 +17,743 $480
     GH17,743+17,743$480
MURPHY OIL CORP 11,198 +11,198 $478
     MUR11,198+11,198$478
FULL TRUCK ALLIANCE CO LTD 66,772 -162,328 $468
     YMM66,772-162,328$468
CITIZENS FINL GROUP INC 14,095 +14,095 $467
     CFG14,095+14,095$467
BUMBLE INC 31,424 +31,424 $463
     BMBL31,424+31,424$463
OMNICELL COM 12,176 +12,176 $458
     OMCL12,176+12,176$458
FORWARD AIR CORP 7,200 +7,200 $453
     FWRD7,200+7,200$453
COMFORT SYS USA INC 2,200 +2,200 $452
     FIX2,200+2,200$452
LIBERTY BROADBAND CORP 5,557 +5,557 $448
     LBRDK5,557+5,557$448
STMICROELECTRONICS N V 8,516 +8,516 $427
     STM8,516+8,516$427
VERINT SYS INC 15,719 +15,719 $425
     VRNT15,719+15,719$425
PBF ENERGY INC 9,502 +9,502 $418
     PBF9,502+9,502$418
CNH INDL N V 33,850 +33,850 $412
     CNHI33,850+33,850$412
BLACK HILLS CORP 7,560 +7,560 $408
     BKH7,560+7,560$408
BLOCK INC 5,210 +5,210 $403
     SQ5,210+5,210$403
AIR PRODS & CHEMS INC 1,468 +1,468 $402
     APD1,468+1,468$402
PALANTIR TECHNOLOGIES INC 23,394 +23,394 $402
     PLTR23,394+23,394$402
Q2 HLDGS INC 9,255 +9,255 $402
     QTWO9,255+9,255$402
SAREPTA THERAPEUTICS INC 4,168 +4,168 $402
     SRPT4,168+4,168$402
TEREX CORP NEW 6,973 +6,973 $401
     TEX6,973+6,973$401
MEDPACE HLDGS INC 1,304 +1,304 $400
     MEDP1,304+1,304$400
QIFU TECHNOLOGY INC 25,000 +25,000 $396
     QFIN25,000+25,000$396
URBAN OUTFITTERS INC 11,097 +11,097 $396
     URBN11,097+11,097$396
PARSONS CORP DEL 6,299 +6,299 $395
     PSN6,299+6,299$395
SYNAPTICS INC 3,453 +3,453 $394
     SYNA3,453+3,453$394
ABM INDS INC 8,589 +8,589 $385
     ABM8,589+8,589$385
APPIAN CORP 10,208 +10,208 $384
     APPN10,208+10,208$384
ITRON INC 5,077 +5,077 $383
     ITRI5,077+5,077$383
EXLSERVICE HOLDINGS INC 12,398 +12,398 $382
     EXLS12,398+12,398$382
WILLIS TOWERS WATSON PLC LTD 1,566 +1,566 $378
     WTW1,566+1,566$378
CROWDSTRIKE HLDGS INC 1,440 +1,440 $368
     CRWD1,440+1,440$368
MILLERKNOLL INC 13,781 +13,781 $368
     MLKN13,781+13,781$368
SABRA HEALTH CARE REIT INC 25,590 +25,590 $365
     SBRA25,590+25,590$365
MDU RES GROUP INC 18,234 +18,234 $361
     MDU18,234+18,234$361
GENERAC HLDGS INC 2,767 +2,767 $358
     GNRC2,767+2,767$358
ACADIA PHARMACEUTICALS INC 11,381 +11,381 $356
     ACAD11,381+11,381$356
NU SKIN ENTERPRISES INC 18,142 +18,142 $352
     NUS18,142+18,142$352
INFOSYS LTD 19,100 +19,100 $351
     INFY19,100+19,100$351
METHODE ELECTRS INC 15,426 +15,426 $351
     MEI15,426+15,426$351
TAYLOR MORRISON HOME CORP 6,500 +6,500 $347
     TMHC6,500+6,500$347
MGM RESORTS INTERNATIONAL 7,718 +7,718 $345
     MGM7,718+7,718$345
SENSATA TECHNOLOGIES HLDG PL 9,186 +9,186 $345
     ST9,186+9,186$345
GUESS INC 14,612 +14,612 $337
     GES14,612+14,612$337
COTERRA ENERGY INC 13,079 +13,079 $334
     CTRA13,079+13,079$334
HELMERICH & PAYNE INC 9,219 +9,219 $334
     HP9,219+9,219$334
CHEGG INC 28,160 +28,160 $320
     CHGG28,160+28,160$320
SEI INVTS CO 5,034 +5,034 $320
     SEIC5,034+5,034$320
HARMONY BIOSCIENCES HLDGS IN 9,872 +9,872 $319
     HRMY9,872+9,872$319
YELP INC 6,679 +6,679 $316
     YELP6,679+6,679$316
MCCORMICK & CO INC 4,600 +4,600 $315
     MKC4,600+4,600$315
KITE RLTY GROUP TR 13,536 +13,536 $309
     KRG13,536+13,536$309
CRISPR THERAPEUTICS AG 4,906 +4,906 $307
     CRSP4,906+4,906$307
UPWORK INC 20,619 +20,619 $307
     UPWK20,619+20,619$307
GXO LOGISTICS INCORPORATED 4,819 +4,819 $295
     GXO4,819+4,819$295
WASTE MGMT INC DEL 1,642 +1,642 $294
     WM1,642+1,642$294
HAIN CELESTIAL GROUP INC 26,762 +26,762 $293
     HAIN26,762+26,762$293
EOG RES INC 2,292 +2,292 $277
     EOG2,292+2,292$277
GATES INDL CORP PLC 20,488 +20,488 $275
     GTES20,488+20,488$275
CLEAR SECURE INC 13,100 +13,100 $271
     YOU13,100+13,100$271
KRANESHARES TR (KWEB)      $270
     Call10,000+10,000$270
SPDR SER TR (KRE)      $262
     Call5,000+5,000$262
VORNADO RLTY TR 8,979 +8,979 $254
     VNO8,979+8,979$254
BELLRING BRANDS INC 4,327 +4,327 $240
     BRBR4,327+4,327$240
ABERCROMBIE & FITCH CO 2,684 +2,684 $237
     ANF2,684+2,684$237
SAGE THERAPEUTICS INC 10,934 +10,934 $237
     SAGE10,934+10,934$237
LOUISIANA PAC CORP 3,326 +3,326 $236
     LPX3,326+3,326$236
IAC INC 4,460 +4,460 $234
     IAC4,460+4,460$234
GROCERY OUTLET HLDG CORP 8,611 +8,611 $232
     GO8,611+8,611$232
TRINET GROUP INC 1,890 +1,890 $225
     TNET1,890+1,890$225
JOHN BEAN TECHNOLOGIES CORP 2,164 +2,164 $215
     JBT2,164+2,164$215
ALLETE INC 3,500 +3,500 $214
     ALE3,500+3,500$214
SHOALS TECHNOLOGIES GROUP IN 13,670 +13,670 $212
     SHLS13,670+13,670$212
SUMMIT MATLS INC 5,501 +5,501 $212
     SUM5,501+5,501$212
INTERNATIONAL GAME TECHNOLOG 7,451 +7,451 $204
     IGT7,451+7,451$204
OTIS WORLDWIDE CORP 2,275 +2,275 $204
     OTIS2,275+2,275$204
FIVE BELOW INC 947 +947 $202
     FIVE947+947$202
MOHAWK INDS INC 1,924 +1,924 $199
     MHK1,924+1,924$199
BEIGENE LTD 1,100 +1,100 $198
     BGNE1,100+1,100$198
DOUGLAS EMMETT INC 13,465 +13,465 $195
     DEI13,465+13,465$195
VALE S A 12,096 +12,096 $192
     VALE12,096+12,096$192
TWO HBRS INVT CORP 13,700 +13,700 $191
     TWO13,700+13,700$191
SOUTHERN CO 2,699 +2,699 $189
     SO2,699+2,699$189
BWX TECHNOLOGIES INC 2,428 +2,428 $186
     BWXT2,428+2,428$186
RETAIL OPPORTUNITY INVTS COR 13,072 +13,072 $183
     ROIC13,072+13,072$183
TRINITY INDS INC 6,818 +6,818 $181
     TRN6,818+6,818$181
TEEKAY TANKERS LTD 3,520 +3,520 $176
     TNK3,520+3,520$176
MARATHON PETE CORP 1,178 +1,178 $175
     MPC1,178+1,178$175
INSPERITY INC 1,495 +1,495 $175
     NSP1,495+1,495$175
NICE LTD 840 +840 $168
     NICE840+840$168
MGE ENERGY INC 2,300 +2,300 $166
     MGEE2,300+2,300$166
AVISTA CORP 4,556 +4,556 $163
     AVA4,556+4,556$163
JANUS HENDERSON GROUP PLC 5,290 +5,290 $160
     JHG5,290+5,290$160
CLEVELAND CLIFFS INC NEW 7,768 +7,768 $159
     CLF7,768+7,768$159
GRACO INC 1,830 +1,830 $159
     GGG1,830+1,830$159
IDACORP INC 1,593 +1,593 $157
     IDA1,593+1,593$157
ROGERS CORP 1,185 +1,185 $156
     ROG1,185+1,185$156
NMI HLDGS INC 5,050 +5,050 $150
     NMIH5,050+5,050$150
ENOVIX CORPORATION 11,626 +11,626 $146
     ENVX11,626+11,626$146
ACUSHNET HLDGS CORP 2,313 +2,313 $146
     GOLF2,313+2,313$146
LTC PPTYS INC 4,483 +4,483 $144
     LTC4,483+4,483$144
WATTS WATER TECHNOLOGIES INC 684 +684 $143
     WTS684+684$143
FIRST CTZNS BANCSHARES INC N (FCNCA) 100 +100 $142
     FCNCA100+100$142
GOLD FIELDS LTD 9,432 +9,432 $136
     GFI9,432+9,432$136
VIR BIOTECHNOLOGY INC 13,553 +13,553 $136
     VIR13,553+13,553$136
TRIMAS CORP 5,300 +5,300 $134
     TRS5,300+5,300$134
WENDYS CO 6,807 +6,807 $133
     WEN6,807+6,807$133
ALLEGRO MICROSYSTEMS INC 4,340 +4,340 $131
     ALGM4,340+4,340$131
OPENLANE INC 8,678 +8,678 $129
     KAR8,678+8,678$129
COMCAST CORP NEW 2,905 +2,905 $127
     CMCSA2,905+2,905$127
GOODYEAR TIRE & RUBR CO 8,695 +8,695 $125
     GT8,695+8,695$125
CACI INTL INC 369 +369 $120
     CACI369+369$120
REGENXBIO INC 6,700 +6,700 $120
     RGNX6,700+6,700$120
INARI MED INC 1,800 +1,800 $117
     NARI1,800+1,800$117
CLEARFIELD INC 3,986 +3,986 $116
     CLFD3,986+3,986$116
CVR ENERGY INC 3,844 +3,844 $116
     CVI3,844+3,844$116
BOOT BARN HLDGS INC 1,500 +1,500 $115
     BOOT1,500+1,500$115
AMDOCS LTD 1,295 +1,295 $114
     DOX1,295+1,295$114
TTEC HLDGS INC 5,172 +5,172 $112
     TTEC5,172+5,172$112
WARNER MUSIC GROUP CORP 3,067 +3,067 $110
     WMG3,067+3,067$110
ALCOA CORP 3,216 +3,216 $109
     AA3,216+3,216$109
JONES LANG LASALLE INC 578 +578 $109
     JLL578+578$109
VOYA FINANCIAL INC 1,492 +1,492 $109
     VOYA1,492+1,492$109
BLACKSTONE MTG TR INC 4,781 +4,781 $102
     BXMT4,781+4,781$102
TRUPANION INC 3,297 +3,297 $101
     TRUP3,297+3,297$101
AMERICAN HOMES 4 RENT 2,787 +2,787 $100
     AMH2,787+2,787$100
OWENS & MINOR INC NEW 5,100 +5,100 $98
     OMI5,100+5,100$98
VARONIS SYS INC 2,088 +2,088 $95
     VRNS2,088+2,088$95
NOMAD FOODS LTD 5,455 +5,455 $92
     NOMD5,455+5,455$92
SHYFT GROUP INC 7,500 +7,500 $92
     SHYF7,500+7,500$92
DOXIMITY INC 3,240 +3,240 $91
     DOCS3,240+3,240$91
KOHLS CORP 3,064 +3,064 $88
     KSS3,064+3,064$88
PILGRIMS PRIDE CORP 3,100 +3,100 $86
     PPC3,100+3,100$86
QUANEX BLDG PRODS CORP 2,787 +2,787 $85
     NX2,787+2,787$85
ICICI BANK LIMITED 3,516 +3,516 $84
     IBN3,516+3,516$84
PARAMOUNT GLOBAL 5,692 +5,692 $84
     PARA5,692+5,692$84
CENTERPOINT ENERGY INC 2,893 +2,893 $83
     CNP2,893+2,893$83
PEGASYSTEMS INC 1,702 +1,702 $83
     PEGA1,702+1,702$83
COPA HOLDINGS SA 772 +772 $82
     CPA772+772$82
CONSOL ENERGY INC NEW 797 +797 $80
     CEIX797+797$80
EMBRAER S.A. 4,100 +4,100 $76
     ERJ4,100+4,100$76
GENERAL MTRS CO 2,115 +2,115 $76
     GM2,115+2,115$76
AMYLYX PHARMACEUTICALS INC 5,100 +5,100 $75
     AMLX5,100+5,100$75
DR REDDYS LABS LTD 1,067 +1,067 $74
     RDY1,067+1,067$74
HUNTINGTON INGALLS INDS INC 281 +281 $73
     HII281+281$73
RESIDEO TECHNOLOGIES INC 3,889 +3,889 $73
     REZI3,889+3,889$73
WNS HLDGS LTD 1,156 +1,156 $73
     WNS1,156+1,156$73
FEDERAL RLTY INVT TR NEW 698 +698 $72
     FRT698+698$72
CELSIUS HLDGS INC 1,279 +1,279 $70
     CELH1,279+1,279$70
DLOCAL LTD 3,900 +3,900 $69
     DLO3,900+3,900$69
BIOCRYST PHARMACEUTICALS INC 11,428 +11,428 $68
     BCRX11,428+11,428$68
BANCORP INC DEL 1,768 +1,768 $68
     TBBK1,768+1,768$68
CORCEPT THERAPEUTICS INC 2,027 +2,027 $66
     CORT2,027+2,027$66
SMART GLOBAL HLDGS INC 3,500 +3,500 $66
     SGH3,500+3,500$66
VERACYTE INC 2,400 +2,400 $66
     VCYT2,400+2,400$66
IMAX CORP 4,300 +4,300 $65
     IMAX4,300+4,300$65
TOWER SEMICONDUCTOR LTD 2,100 +2,100 $64
     TSEM2,100+2,100$64
LEGGETT & PLATT INC 2,266 +2,266 $59
     LEG2,266+2,266$59
HUNTINGTON BANCSHARES INC (HBAN) 4,574 +4,574 $58
     HBAN4,574+4,574$58
HOST HOTELS & RESORTS INC 2,990 +2,990 $58
     HST2,990+2,990$58
KENNEDY WILSON HOLDINGS INC 4,681 +4,681 $58
     KW4,681+4,681$58
XPENG INC 3,991 +3,991 $58
     XPEV3,991+3,991$58
THE AARONS COMPANY INC 5,200 +5,200 $57
     AAN5,200+5,200$57
MASTERBRAND INC 3,791 +3,791 $56
     MBC3,791+3,791$56
DRIVEN BRANDS HLDGS INC 3,700 +3,700 $53
     DRVN3,700+3,700$53
COREBRIDGE FINL INC 2,423 +2,423 $52
     CRBG2,423+2,423$52
EVOLUS INC 4,800 +4,800 $51
     EOLS4,800+4,800$51
SANMINA CORPORATION 967 +967 $50
     SANM967+967$50
TRANSMEDICS GROUP INC 600 +600 $47
     TMDX600+600$47
WEBSTER FINL CORP 920 +920 $47
     WBS920+920$47
PRIMORIS SVCS CORP 1,300 +1,300 $43
     PRIM1,300+1,300$43
CVB FINL CORP 2,100 +2,100 $42
     CVBF2,100+2,100$42
COUSINS PPTYS INC 1,700 +1,700 $41
     CUZ1,700+1,700$41
FTI CONSULTING INC 204 +204 $41
     FCN204+204$41
SELECTIVE INS GROUP INC 398 +398 $40
     SIGI398+398$40
GREEN DOT CORP 3,900 +3,900 $39
     GDOT3,900+3,900$39
FIVERR INTL LTD 1,300 +1,300 $35
     FVRR1,300+1,300$35
KEYCORP 2,173 +2,173 $31
     KEY2,173+2,173$31
EQUITY COMWLTH 1,547 +1,547 $30
     EQC1,547+1,547$30
BUNGE GLOBAL SA 290 +290 $29
     BG290+290$29
AXIS CAP HLDGS LTD 503 +503 $28
     AXS503+503$28
PARK HOTELS & RESORTS INC 1,752 +1,752 $27
     PK1,752+1,752$27
WESTERN UN CO 2,200 +2,200 $26
     WU2,200+2,200$26
ASSURED GUARANTY LTD 314 +314 $24
     AGO314+314$24
ADTALEM GLOBAL ED INC 400 +400 $24
     ATGE400+400$24
DECIPHERA PHARMACEUTICALS IN 1,472 +1,472 $24
     DCPH1,472+1,472$24
TECHNIPFMC PLC 1,175 +1,175 $24
     FTI1,175+1,175$24
UDEMY INC 1,654 +1,654 $24
     UDMY1,654+1,654$24
BRAZE INC 433 +433 $23
     BRZE433+433$23
CARS COM INC 1,200 +1,200 $23
     CARS1,200+1,200$23
SASOL LTD 2,300 +2,300 $23
     SSL2,300+2,300$23
HEALTHPEAK PROPERTIES INC 1,100 +1,100 $22
     PEAK1,100+1,100$22
SPARTANNASH CO 883 +883 $20
     SPTN883+883$20
BRINKER INTL INC 443 +443 $19
     EAT443+443$19
VIRTU FINL INC 921 +921 $19
     VIRT921+921$19
CATALYST PHARMACEUTICALS INC 1,054 +1,054 $18
     CPRX1,054+1,054$18
WILEY JOHN & SONS INC 535 +535 $17
     WLY535+535$17
AXOS FINANCIAL INC 293 +293 $16
     AX293+293$16
CEVA INC 700 +700 $16
     CEVA700+700$16
ENLINK MIDSTREAM LLC 1,300 +1,300 $16
     ENLC1,300+1,300$16
INTERNATIONAL MNY EXPRESS IN 726 +726 $16
     IMXI726+726$16
RAMACO RES INC 787 +787 $14
     METC787+787$14
JACKSON FINANCIAL INC 250 +250 $13
     JXN250+250$13
NU HLDGS LTD 1,581 +1,581 $13
     NU1,581+1,581$13
ADECOAGRO S A 1,100 +1,100 $12
     AGRO1,100+1,100$12
GALAPAGOS NV 300 +300 $12
     GLPG300+300$12
KT CORP 900 +900 $12
     KT900+900$12
IONQ INC 900 +900 $11
     IONQ900+900$11
PRIMO WATER CORPORATION 700 +700 $11
     PRMW700+700$11
FOX FACTORY HLDG CORP 129 +129 $9
     FOXF129+129$9
JACOBS SOLUTIONS INC 68 +68 $9
     J68+68$9
MRC GLOBAL INC 800 +800 $9
     MRC800+800$9
TASKUS INC 700 +700 $9
     TASK700+700$9
ANTERO MIDSTREAM CORP 600 +600 $8
     AM600+600$8
CONSTRUCTION PARTNERS INC 182 +182 $8
     ROAD182+182$8
PEDIATRIX MEDICAL GROUP INC 751 +751 $7
     MD751+751$7
DUTCH BROS INC 199 +199 $6
     BROS199+199$6
VICTORY CAP HLDGS INC 187 +187 $6
     VCTR187+187$6
WORLD KINECT CORPORATION 285 +285 $6
     WKC285+285$6
EDITAS MEDICINE INC 500 +500 $5
     EDIT500+500$5
EUROPEAN WAX CTR INC 356 +356 $5
     EWCZ356+356$5
TIM S A 200 +200 $4
     TIMB200+200$4
EXCELERATE ENERGY INC 200 +200 $3
     EE200+200$3
JELD WEN HLDG INC 58 +58 $1
     JELD58+58$1
SPDR S&P 500 ETF TR (SPY) +5,000 $-4,753
     Put10,000+5,000$4,753
BROADCOM INC $0 (exited)
     AVGO0-8,550$0
ALIBABA GROUP HLDG LTD $0 (exited)
     BABA0-677,392$0
COHERENT CORP $0 (exited)
     COHR0-160,900$0
CREDO TECHNOLOGY GROUP HOLDI $0 (exited)
     CRDO0-158,251$0
FORMFACTOR INC $0 (exited)
     FORM0-75,400$0
ISHARES TR $0 (exited)
     Call0-10,000$0
HIMAX TECHNOLOGIES INC $0 (exited)
     HIMX0-138,456$0
MARVELL TECHNOLOGY INC $0 (exited)
     MRVL0-82,300$0
MACOM TECH SOLUTIONS HLDGS I $0 (exited)
     MTSI0-32,200$0
TRIP COM GROUP LTD $0 (exited)
     TCOM0-160,594$0
TERADYNE INC $0 (exited)
     TER0-19,700$0
TTM TECHNOLOGIES INC $0 (exited)
     TTMI0-423,300$0
YUM CHINA HLDGS INC $0 (exited)
     YUMC0-354,970$0

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