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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION (13f) OF THE SECURITIES EXCHANGE ACT OF 1934 AND RULES THEREUNDER
Report for the Calendar Year or Quarter Ended March 31, 1999.
--------------
- -------------------------------------------------------------------------------
(Please read instructions before preparing form).
- -------------------------------------------------------------------------------
If amended report check here: [_]
TUDOR INVESTMENT CORPORATION
- -------------------------------------------------------------------------------
Name of Institutional Investment Manager
ONE LIBERTY PLAZA 51ST FLOOR NEW YORK NY 10006
- -------------------------------------------------------------------------------
Business Address (Street) (City) (State) (Zip)
MARK PICKARD (212) 602-6887 MANAGING DIRECTOR
- -------------------------------------------------------------------------------
Name, Phone No., and Title of Person Duly Authorized to Submit This Report.
- -------------------------------------ATTENTION---------------------------------
Intentional misstatements or omissions of facts constitute Federal
Criminal Violations.
See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a).
- -------------------------------------------------------------------------------
This institutional investment manager submitting this Form and its attachments
and the person by whom it is signed represent hereby that all information
contained therein is true, correct and complete. It is understood that all
required items, statements and schedules are considered integral parts of this
Form and that the submission of any amendment represents that all unamended
items, statements and schedules remain true, correct and complete as previously
submitted.
Pursuant to the requirements of Securities Exchange Act of 1934, the
undersigned institutional investment manager has caused this report to be signed
on its behalf in the City of NEW YORK and State of NEW YORK on the 11th day
-------- -------- ----
of MAY, 1999.
---
TUDOR INVESTMENT CORPORATION
----------------------------------------------
(Name of Institutional Investment Manager
----------------------------------------------
(Manual Signature of Person Duly Authorized
to Submit This Report)
Name and 13F file numbers of ALL Institutional Investment Managers with respect
to which this schedule is filled (other than the one filing this report): (List
in alphabetical order).
13F File Numbers will be assigned to Institutional Investment Managers after
they file their first report.
Name: 13F File No.: Name: 13F File No.:
- ------------------------ ---------------- ------------------- -------------
1. 6.
- ------------------------ ---------------- ------------------- -------------
2. 7.
- ------------------------ ---------------- ------------------- -------------
3. 8.
- ------------------------ ---------------- ------------------- -------------
4. 9.
- ------------------------ ---------------- ------------------- -------------
5. 10.
- ------------------------ ---------------- ------------------- -------------
<PAGE>
TUDOR INVESTMENT CORPORATION
QUARTERLY REPORT DETAILING 13F ELIGIBLE SECURITIES
AS OF MARCH 31, 1999
<TABLE>
<CAPTION>
Item # 1 Item # 2 Item # 3 Item # 4
Cusip Fair Market
Name of Issuer Title of Class Number Value (x1000)
- ------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C>
ACTV INC COM COMMON STOCK 00088E104 30,731
ADC TELECOMMUNICATIONS COMMON STOCK 000886101 16,781
ACCELR8 TECHNOLOGY CORP COMMON STOCK 004304200 67
ACTRADE INTL LTD COMMON STOCK 004931101 800
ADVANCED AERODYNAMICS & STR-A COMMON STOCK 00750B107 1,137
ADVANCED FIBRE COMMUNICATIONS COMMON STOCK 00754A105 12,714
ADVANCED HLTH CORP COM COMMON STOCK 00756H108 2,262
ADVO INC USD.01 COM COMMON STOCK 007585102 3,514
ADVANTA CORP - CLASS B COMMON STOCK 007942204 831
AFFINITY TECHNOLOGY GROUP INC COMMON STOCK 00826M103 2,043
AGRIBANDS INTL COM COMMON STOCK 00849R105 6,755
AIRTOUCH COMMUNICATIONS INC COMMON STOCK 00949T100 5,218
ALLIANT TECHSYSTEMS INC COM COMMON STOCK 018804104 1,165
AMAZON COM INC COM COMMON STOCK 023135106 58,471
AMER INTL GROUP INC COM COMMON STOCK 026874107 2,605
AMERICAN MOBILE SATELLITE CORP COMMON STOCK 02755R103 3,182
AMERITRADE HOLDINGS CORP-CL A COMMON STOCK 03072H109 2,915
AMERICAN STORES CO NEW COMMON STOCK 030096101 1,605
ANACOMP INC NEW COMMON STOCK 032371106 4,778
ANADARKO PETE CORP COM COMMON STOCK 032511107 5,296
ARCH COMMUNICATIONS GROUP INC COMMON STOCK 039381108 527
ARTISOFT INC COM COMMON STOCK 04314L106 805
ASIA PULP & PAPER LTD SPONS AD ADRS STOCKS 04516V100 438
ASTORIA FINL CORP COM COMMON STOCK 046265104 995
AVONDALE INDS INC COMMON STOCK 054350103 1,984
AT&T CORP LIBERTY MEDIA GROUP COMMON STOCK 001957208 77,843
AUTOTOTE CORP CL A COMMON STOCK 053323101 540
AVIRON COM COMMON STOCK 053762100 2,839
BAAN COMPANY NV NLG. 02 ORDS ADRS STOCKS N08044104 2,908
BAKER HUGHES INC COM COMMON STOCK 057224107 6,822
BANCTEC INC COM COMMON STOCK 059784108 2,304
BAUSCH & LOMB INC COM COMMON STOCK 071707103 28,983
BEA SYSTEMS INC COM COMMON STOCK 073325102 9,167
BELL & HOWELL CO COM COMMON STOCK 077852101 10,643
BEYOND COM CORP COMMON STOCK 08860E101 608
BIG FLOWER HOLDINGS INC COMMON STOCK 089159107 10,853
BIOMATRIX INC COMMON STOCK 09060P102 359
BIOSEPRA INC COMMON STOCK 09066V103 613
BLANCH E W HLDGS INC COM COMMON STOCK 093210102 5,712
BOOKS-A-MILLION INC COM COMMON STOCK 098570104 900
BORG WARNER SEC CORP COM COMMON STOCK 099733107 12,004
BOSTON COMMUNICATIONS GROUP COMMON STOCK 100582105 10,190
BRASS EAGLE INC COM STK COMMON STOCK 10553F106 457
BROADCAST.COM INC COM COMMON STOCK 111310108 20,092
BROADWAY & SEYMOUR INC COMMON STOCK 111433108 2,133
BURLINGTON RESOURCES INC COMMON STOCK 122014103 5,603
CD WHSE INC COMMON STOCK 12512W105 135
CABLETRON SYS INC COM COMMON STOCK 126920107 3,139
CABLEVISION SYSTEMS CORP COM COMMON STOCK 12686C109 29,316
CAPITAL ONE FINL CORP COM COMMON STOCK 14040H105 2,914
CASH AMER INVTS INC COM COMMON STOCK 14754D100 1,515
CBS CORPORATION COM COMMON STOCK 12490K107 23,936
CELLULAR COMM OF PUERTO RICO C COMMON STOCK 15116N108 2,046
CENTURY COMMUNICATIONS CORP C COMMON STOCK 156503104 20,734
COLUMN SUB-TOTAL 462,927
<CAPTION>
Item # 6
Investment Discretion
--------------------------------------------------
Item #1 Item # 5 (B) Shared-
Shares or as defined (C) Shared
Name of Issuer Prin. Amt. (A) Sole in instruct. Other
- ------------------------------------------------------------------- --------------------------------------------------
<S> <C> <C> <C>
ACTV INC COM 2,701,700 2,701,700
ADC TELECOMMUNICATIONS 351,900 351,900
ACCELR8 TECHNOLOGY CORP 19,200 19,200
ACTRADE INTL LTD 73,600 73,600
ADVANCED AERODYNAMICS & STR-A 319,270 319,270
ADVANCED FIBRE COMMUNICATIONS 1,325,300 1,325,300
ADVANCED HLTH CORP COM 770,200 770,200
ADVO INC USD.01 COM 182,000 182,000
ADVANTA CORP - CLASS B 92,950 92,950
AFFINITY TECHNOLOGY GROUP INC 1,334,300 1,334,300
AGRIBANDS INTL COM 205,500 205,500
AIRTOUCH COMMUNICATIONS INC 54,000 54,000
ALLIANT TECHSYSTEMS INC COM 15,000 15,000
AMAZON COM INC COM 339,580 339,580
AMER INTL GROUP INC COM 21,600 21,600
AMERICAN MOBILE SATELLITE CORP 424,300 424,300
AMERITRADE HOLDINGS CORP-CL A 47,200 47,200
AMERICAN STORES CO NEW 48,650 48,650
ANACOMP INC NEW 297,500 297,500
ANADARKO PETE CORP COM 140,300 140,300
ARCH COMMUNICATIONS GROUP INC 383,348 383,348
ARTISOFT INC COM 292,900 292,900
ASIA PULP & PAPER LTD SPONS AD 52,360 52,360
ASTORIA FINL CORP COM 19,900 19,900
AVONDALE INDS INC 67,250 67,250
AT&T CORP LIBERTY MEDIA GROUP 1,480,199 1,480,199
AUTOTOTE CORP CL A 298,000 298,000
AVIRON COM 140,200 140,200
BAAN COMPANY NV NLG. 02 ORDS 338,430 338,430
BAKER HUGHES INC COM 280,600 280,600
BANCTEC INC COM 187,200 187,200
BAUSCH & LOMB INC COM 445,900 445,900
BEA SYSTEMS INC COM 586,700 586,700
BELL & HOWELL CO COM 363,100 363,100
BEYOND COM CORP 23,200 23,200
BIG FLOWER HOLDINGS INC 348,700 348,700
BIOMATRIX INC 4,600 4,600
BIOSEPRA INC 632,798 632,798
BLANCH E W HLDGS INC COM 108,800 108,800
BOOKS-A-MILLION INC COM 88,300 88,300
BORG WARNER SEC CORP COM 716,700 716,700
BOSTON COMMUNICATIONS GROUP 1,045,200 1,045,200
BRASS EAGLE INC COM STK 25,400 25,400
BROADCAST.COM INC COM 170,000 170,000
BROADWAY & SEYMOUR INC 533,400 533,400
BURLINGTON RESOURCES INC 140,300 140,300
CD WHSE INC 13,900 13,900
CABLETRON SYS INC COM 383,500 383,500
CABLEVISION SYSTEMS CORP COM 395,500 395,500
CAPITAL ONE FINL CORP COM 19,300 19,300
CASH AMER INVTS INC COM 117,700 117,700
CBS CORPORATION COM 584,700 584,700
CELLULAR COMM OF PUERTO RICO C 75,800 75,800
CENTURY COMMUNICATIONS CORP C 446,500 446,500
<CAPTION>
Item # 8
Item # 7 Investment Discretion
Item # 1 ------------------------------- --------------------------------------
Name of Issuer Managers (A) Sole (B) Shared Other
- ------------------------------------------------------------------------------ --------------------------------------
<S> <C> <C>
ACTV INC COM 2,701,700
ADC TELECOMMUNICATIONS 351,900
ACCELR8 TECHNOLOGY CORP 19,200
ACTRADE INTL LTD 73,600
ADVANCED AERODYNAMICS & STR-A 319,270
ADVANCED FIBRE COMMUNICATIONS 1,325,300
ADVANCED HLTH CORP COM 770,200
ADVO INC USD.01 COM 182,000
ADVANTA CORP - CLASS B 92,950
AFFINITY TECHNOLOGY GROUP INC 1,334,300
AGRIBANDS INTL COM 205,500
AIRTOUCH COMMUNICATIONS INC 54,000
ALLIANT TECHSYSTEMS INC COM 15,000
AMAZON COM INC COM 339,580
AMER INTL GROUP INC COM 21,600
AMERICAN MOBILE SATELLITE CORP 424,300
AMERITRADE HOLDINGS CORP-CL A 47,200
AMERICAN STORES CO NEW 48,650
ANACOMP INC NEW 297,500
ANADARKO PETE CORP COM 140,300
ARCH COMMUNICATIONS GROUP INC 383,348
ARTISOFT INC COM 292,900
ASIA PULP & PAPER LTD SPONS AD 52,360
ASTORIA FINL CORP COM 19,900
AVONDALE INDS INC 67,250
AT&T CORP LIBERTY MEDIA GROUP 1,480,199
AUTOTOTE CORP CL A 298,000
AVIRON COM 140,200
BAAN COMPANY NV NLG. 02 ORDS 338,430
BAKER HUGHES INC COM 280,600
BANCTEC INC COM 187,200
BAUSCH & LOMB INC COM 445,900
BEA SYSTEMS INC COM 586,700
BELL & HOWELL CO COM 363,100
BEYOND COM CORP 23,200
BIG FLOWER HOLDINGS INC 348,700
BIOMATRIX INC 4,600
BIOSEPRA INC 632,798
BLANCH E W HLDGS INC COM 108,800
BOOKS-A-MILLION INC COM 88,300
BORG WARNER SEC CORP COM 716,700
BOSTON COMMUNICATIONS GROUP 1,045,200
BRASS EAGLE INC COM STK 25,400
BROADCAST.COM INC COM 170,000
BROADWAY & SEYMOUR INC 533,400
BURLINGTON RESOURCES INC 140,300
CD WHSE INC 13,900
CABLETRON SYS INC COM 383,500
CABLEVISION SYSTEMS CORP COM 395,500
CAPITAL ONE FINL CORP COM 19,300
CASH AMER INVTS INC COM 117,700
CBS CORPORATION COM 584,700
CELLULAR COMM OF PUERTO RICO C 75,800
CENTURY COMMUNICATIONS CORP C 446,500
</TABLE>
<PAGE>
TUDOR INVESTMENT CORPORATION
QUARTERLY REPORT DETAILING 13F ELIGIBLE SECURITIES
AS OF MARCH 31, 1999
<TABLE>
<CAPTION>
Item # 1 Item # 2 Item # 3 Item # 4
Cusip Fair Market
Name of Issuer Title of Class Number Value (x1000)
- ------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C>
CHANCELLOR MEDIA CORP COM COMMON STOCK 158915108 2,318
CHAPARRAL RES INC COM PAR $0.1 COMMON STOCK 159420207 483
CHESAPEAKE ENERGY CORP COMMON STOCK 165167107 451
CHINA YUCHAI INTL LT D USD.10 COMMON STOCK G21082105 25
CIRCUS CIRCUS ENTERPRISES INC COMMON STOCK 172909103 12,771
CLOSURE MEDICAL CORP COMMON STOCK 189093107 4,769
CMP MEDIA INC CL A COM COMMON STOCK 125891101 4,575
CNET INC COM COMMON STOCK 125945105 12,077
COINMACH LAUNDRY CORP COM COMMON STOCK 19259L101 380
COLT TELECOM GROUP PLC SPONS A ADRS STOCKS 196877104 725
COLTEC INDS INC COMMON STOCK 196879100 3,795
COMDISCO INC COM COMMON STOCK 200336105 12,805
COMMAND SYSTEMS INC COM COMMON STOCK 200903102 90
COMMONWEALTH TELEPHONE ENTRP COMMON STOCK 203349105 4,005
COMMSCOPE INC COM COMMON STOCK 203372107 13,433
COMPAQ COMPUTER CORP COMMON STOCK 204493100 2,377
COMPUTER LEARNING CTRS INC COM COMMON STOCK 205199102 1,803
CONCURRENT COMPUTER CORP NEW COMMON STOCK 206710204 1,725
CONEXANT SYSTEMS INC COM STK COMMON STOCK 207142100 48,322
CONOCO INC CLASS A COM STK COMMON STOCK 208251306 4,595
COPLEY PHARMACEUTICAL INC COMMON STOCK 21745K101 1,247
CORECOMM LIMITED COM STK COMMON STOCK G2422R109 3,858
CORNING INC COM COMMON STOCK 219350105 30,156
CORPORATE EXPRESS INC COM COMMON STOCK 219888104 10,264
COYOTE NETWORK SYSTEMS INC COM COMMON STOCK 22406P108 235
CRESTLINE CAPITAL CORP COM COMMON STOCK 226153104 5,190
CRYSTAL SYS SOLUTIONS LTD COMMON STOCK M26763108 281
CRYSTALLEX INTL CORP COMMON STOCK 22942F101 22
CYBERIAN OUTPOST INC COMMON STOCK 231914102 1,710
CYTOCLONAL PHARMACAUTICALS INC COMMON STOCK 23282G105 196
DAOU SYSTEMS INC COM COMMON STOCK 237015102 108
DELTA & PINE LAND CO LTD COM COMMON STOCK 247357106 568
DIDAX INC COM COMMON STOCK 253624100 204
DIVERSINET CORP COMMON STOCK 25536K204 264
DOUBLECLICK INC COMMON STOCK 258609304 5,899
E*TRADE GROUP INC COM COMMON STOCK 269246104 8,933
EARTHWEB INC COMMON STOCK 27032C108 5,383
EAST WEST BANCORP INC COMMON STOCK 27579R104 3,604
EBAY INC COM STK COMMON STOCK 278642103 90,626
ECHOSTAR COMMUNICATIONS CORP COMMON STOCK 278762109 30,291
EFAX COM INC COMMON STOCK 282012103 418
EGGHEAD INC COM COMMON STOCK 282330109 2,377
EMBRATEL PARTICIPACOES ADRS STOCKS 29081N100 284
ENAMELON INC COM COMMON STOCK 292499100 1,471
ENRON CORP COM COMMON STOCK 293561106 9,502
ENTREMED INC COMMON STOCK 29382F103 1,612
EQUANT NV NY REGISTR Y SHS ADRS STOCKS 294409107 3,521
ESG RE LTD COM STK COMMON STOCK G31215109 2,576
ETHYL CORP COM COMMON STOCK 297659104 195
EXECUTIVE TELECARD LTD COMMON STOCK 301601100 807
FINET HOLDINGS CORPORATION NEW COMMON STOCK 317922300 1,605
FINISH LINE INC CL A COMMON STOCK 317923100 1,687
FLEMING COS INC COM COMMON STOCK 339130106 354
FLORAFAX INTL INC COM COMMON STOCK 339825101 1,173
COLUMN SUB-TOTAL 358,145
<CAPTION>
Item #6
Investment Discretion Item #7
----------------------------------------- -----------
Item # 1 Item #5 (B) Shared-
Shares or as defined (C) Shared
Name of Issuer Prin. Amt. (A) Sole in instruct. Other Managers
- --------------------------------------------------------------- ----------------------------------------- -----------
<S> <C> <C> <C>
CHANCELLOR MEDIA CORP COM 49,200 49,200
CHAPARRAL RES INC COM PAR $0.1 1,286,933 1,286,933
CHESAPEAKE ENERGY CORP 327,800 327,800
CHINA YUCHAI INTL LT D USD.10 50,000 50,000
CIRCUS CIRCUS ENTERPRISES INC 727,200 727,200
CLOSURE MEDICAL CORP 125,500 125,500
CMP MEDIA INC CL A COM 148,800 148,800
CNET INC COM 131,100 131,100
COINMACH LAUNDRY CORP COM 37,100 37,100
COLT TELECOM GROUP PLC SPONS A 10,100 10,100
COLTEC INDS INC 208,650 208,650
COMDISCO INC COM 716,400 716,400
COMMAND SYSTEMS INC COM 47,400 47,400
COMMONWEALTH TELEPHONE ENTRP 108,800 108,800
COMMSCOPE INC COM 641,600 641,600
COMPAQ COMPUTER CORP 75,000 75,000
COMPUTER LEARNING CTRS INC COM 339,400 339,400
CONCURRENT COMPUTER CORP NEW 431,300 431,300
CONEXANT SYSTEMS INC COM STK 1,745,300 1,745,300
CONOCO INC CLASS A COM STK 187,100 187,100
COPLEY PHARMACEUTICAL INC 146,800 146,800
CORECOMM LIMITED COM STK 105,000 105,000
CORNING INC COM 502,600 502,600
CORPORATE EXPRESS INC COM 1,978,700 1,978,700
COYOTE NETWORK SYSTEMS INC COM 39,930 39,930
CRESTLINE CAPITAL CORP COM 337,600 337,600
CRYSTAL SYS SOLUTIONS LTD 37,100 37,100
CRYSTALLEX INTL CORP 27,500 27,500
CYBERIAN OUTPOST INC 86,600 86,600
CYTOCLONAL PHARMACAUTICALS INC 23,200 23,200
DAOU SYSTEMS INC COM 18,400 18,400
DELTA & PINE LAND CO LTD COM 18,500 18,500
DIDAX INC COM 18,600 18,600
DIVERSINET CORP 93,000 93,000
DOUBLECLICK INC 32,400 32,400
E*TRADE GROUP INC COM 153,200 153,200
EARTHWEB INC 98,200 98,200
EAST WEST BANCORP INC 403,300 403,300
EBAY INC COM STK 660,000 660,000
ECHOSTAR COMMUNICATIONS CORP 371,100 371,100
EFAX COM INC 23,400 23,400
EGGHEAD INC COM 130,700 130,700
EMBRATEL PARTICIPACOES 17,000 17,000
ENAMELON INC COM 280,104 280,104
ENRON CORP COM 147,900 147,900
ENTREMED INC 76,300 76,300
EQUANT NV NY REGISTR Y SHS 46,800 46,800
ESG RE LTD COM STK 162,300 162,300
ETHYL CORP COM 46,000 46,000
EXECUTIVE TELECARD LTD 253,200 253,200
FINET HOLDINGS CORPORATION NEW 327,300 327,300
FINISH LINE INC CL A 131,100 131,100
FLEMING COS INC COM 41,400 41,400
FLORAFAX INTL INC COM 77,600 77,600
<CAPTION>
Item #8
Investment Discretion
Item # 1 ----------------------------------------------------
Name of Issuer (A) Sole (B) Shared Other
- ----------------------------------------------------- ----------------------------------------------------
<S> <C> <C> <C>
CHANCELLOR MEDIA CORP COM 49,200
CHAPARRAL RES INC COM PAR $0.1 1,286,933
CHESAPEAKE ENERGY CORP 327,800
CHINA YUCHAI INTL LT D USD.10 50,000
CIRCUS CIRCUS ENTERPRISES INC 727,200
CLOSURE MEDICAL CORP 125,500
CMP MEDIA INC CL A COM 148,800
CNET INC COM 131,100
COINMACH LAUNDRY CORP COM 37,100
COLT TELECOM GROUP PLC SPONS A 10,100
COLTEC INDS INC 208,650
COMDISCO INC COM 716,400
COMMAND SYSTEMS INC COM 47,400
COMMONWEALTH TELEPHONE ENTRP 108,800
COMMSCOPE INC COM 641,600
COMPAQ COMPUTER CORP 75,000
COMPUTER LEARNING CTRS INC COM 339,400
CONCURRENT COMPUTER CORP NEW 431,300
CONEXANT SYSTEMS INC COM STK 1,745,300
CONOCO INC CLASS A COM STK 187,100
COPLEY PHARMACEUTICAL INC 146,800
CORECOMM LIMITED COM STK 105,000
CORNING INC COM 502,600
CORPORATE EXPRESS INC COM 1,978,700
COYOTE NETWORK SYSTEMS INC COM 39,930
CRESTLINE CAPITAL CORP COM 337,600
CRYSTAL SYS SOLUTIONS LTD 37,100
CRYSTALLEX INTL CORP 27,500
CYBERIAN OUTPOST INC 86,600
CYTOCLONAL PHARMACAUTICALS INC 23,200
DAOU SYSTEMS INC COM 18,400
DELTA & PINE LAND CO LTD COM 18,500
DIDAX INC COM 18,600
DIVERSINET CORP 93,000
DOUBLECLICK INC 32,400
E*TRADE GROUP INC COM 153,200
EARTHWEB INC 98,200
EAST WEST BANCORP INC 403,300
EBAY INC COM STK 660,000
ECHOSTAR COMMUNICATIONS CORP 371,100
EFAX COM INC 23,400
EGGHEAD INC COM 130,700
EMBRATEL PARTICIPACOES 17,000
ENAMELON INC COM 280,104
ENRON CORP COM 147,900
ENTREMED INC 76,300
EQUANT NV NY REGISTR Y SHS 46,800
ESG RE LTD COM STK 162,300
ETHYL CORP COM 46,000
EXECUTIVE TELECARD LTD 253,200
FINET HOLDINGS CORPORATION NEW 327,300
FINISH LINE INC CL A 131,100
FLEMING COS INC COM 41,400
FLORAFAX INTL INC COM 77,600
</TABLE>
<PAGE>
TUDOR INVESTMENT CORPORATION
QUARTERLY REPORT DETAILING 13F ELIGIBLE SECURITIES
AS OF MARCH 31, 1999
<TABLE>
<CAPTION>
Item # 1 Item # 2 Item # 3 Item # 4
Cusip Fair Market
Name of Issuer Title of Class Number Value (x1000)
- ------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C>
FOX ENTERTAINMENT GROUP INC CL COMMON STOCK 35138T107 12,865
FRONTIER CORP COM COMMON STOCK 35906P105 111,987
GALILEO INTERNATIONAL INC COMMON STOCK 363547100 8,402
GARDENBURGER INC COMMON STOCK 365476100 352
GEMSTAR INTL GROUP LTD COM COMMON STOCK G3788V106 1,158
GENERAL ELEC CO USD .16 COM COMMON STOCK 369604103 30,587
GENERAL MOTORS CLASS H COM COMMON STOCK 370442832 43,083
GENESIS DIRECT INC COMMON STOCK 371935107 597
GO2NET INC COM COMMON STOCK 383486107 23,873
GOLDEN STATE BANCORP LITIG WT WARRANTS 381197136 2,435
GRAND UNION CO COM STK COMMON STOCK 386532402 15,815
GUCCI GROUP NV SHS-N Y REGISTR ADRS STOCKS 401566104 13,169
GULF INDONESIA RESOURCES LTD COMMON STOCK 402284103 285
HALLIBURTON CO COM USD2.5 COMMON STOCK 406216101 3,869
HARNISCHFEGER INDS INC COMMON STOCK 413345109 1,615
HASBRO INC COM COMMON STOCK 418056107 5,257
HEALTHCARE FINANCIAL PARTNERS COMMON STOCK 42219W108 3,543
HEALTHEON CORPORATION COMMON STOCK 422209106 18,831
HEALTHSOUTH CORP COM COMMON STOCK 421924101 22,808
HI/FN INC COM STK COMMON STOCK 428358105 1,057
HIGHLANDS INS GROUP INC COM COMMON STOCK 431032101 1,791
HOMECOM COMMUNICATIONS INC COMMON STOCK 43738N108 90
HORIZON PHARMACIES INC COM COMMON STOCK 439902107 149
HYPERION SOLUTIONS CORP COMMON STOCK 44914M104 678
HYPERION TELECOMM INC COMMON STOCK 44914K306 714
I 2 TECHNOLOGIES INC COM COMMON STOCK 465754109 1,247
IMATION CORP COM COMMON STOCK 45245A107 8,017
IMPERIAL CREDIT INDS INC COMMON STOCK 452729106 723
INFORMATION RES INC COM COMMON STOCK 456905108 1,704
INFOSEEK CORP COM COMMON STOCK 45678M107 20,483
INFOSPACE COM INC COMMON STOCK 45678T102 257
INHALE THERAPEUTIC SYSTEMS COMMON STOCK 457191104 632
INKTOMI CORP COMMON STOCK 457277101 22,449
INSO CORP COM COMMON STOCK 457674109 352
INTERCARDIA INC COM COMMON STOCK 45844M106 2,288
INTERNATIONAL HOME FOODS INC COMMON STOCK 459655106 11,936
INTERNEURON PHARMACEUTICALS COMMON STOCK 460573108 1,504
INTERNET AMERICA INC COMMON STOCK 46058Y109 1,932
INTIMATE BRANDS INC CL A COMMON STOCK 461156101 27,667
INTRAWARE INC COMMON STOCK 46118M103 400
IT GROUP INC COM COMMON STOCK 465266104 526
IXC COMMUNICATIONS INC COM COMMON STOCK 450713102 63,390
J.RAY MCDERMOTT S.A. COM COMMON STOCK P64658100 5,117
JDA SOFTWARE GROUP INC COMMON STOCK 46612K108 5,457
JONES INTERCABLE INC CL A COMMON STOCK 480206200 812
K TEL INTL INC COM NEW COMMON STOCK 482724200 1,509
KAYDON CORP COM COMMON STOCK 486587108 517
KING WORLD PRODTN INC COM COMMON STOCK 495667107 1,714
KONINKLIJKE PHILIPS ELECTRONICS NV ADRS STOCKS 500472105 11,838
KOREA ELEC PWR CO SPONS ADR ADRS STOCKS 500631106 1,078
LASER MORTGAGE MGMT INC COMMON STOCK 51806D100 85
LEAP WIRELESS INTL INC COMMON STOCK 521863100 4,409
LEARNING CO INC COMMON STOCK 522008101 2,939
LERNOUT & HAUSPIE SPEECH PRODS COMMON STOCK B5628B104 1,476
COLUMN SUB-TOTAL 527,468
<CAPTION>
Item #6
Investment Discretion Item #7
-------------------------------------------- --------
Item #1 Item #5 (B) Shared-
Shares or as defined (C) Shared
Name of Issuer Prin. Amt. in instruct. Other Manager
- -------------------------------------------------------------------- -------------------------------------------- --------
<S> <C> <C> <C> <C>
FOX ENTERTAINMENT GROUP INC CL 474,300 474,300
FRONTIER CORP COM 2,158,800 2,158,800
GALILEO INTERNATIONAL INC 173,700 173,700
GARDENBURGER INC 35,600 35,600
GEMSTAR INTL GROUP LTD COM 15,400 15,400
GENERAL ELEC CO USD .16 COM 276,500 276,500
GENERAL MOTORS CLASS H COM 854,190 854,190
GENESIS DIRECT INC 139,400 139,400
GO2NET INC COM 180,000 180,000
GOLDEN STATE BANCORP LITIG WT 502,818 502,818
GRAND UNION CO COM STK 1,405,839 1,405,839
GUCCI GROUP NV SHS-N Y REGISTR 163,600 163,600
GULF INDONESIA RESOURCES LTD 34,000 34,000
HALLIBURTON CO COM USD2.5 100,500 100,500
HARNISCHFEGER INDS INC 284,000 284,000
HASBRO INC COM 181,700 181,700
HEALTHCARE FINANCIAL PARTNERS 135,600 135,600
HEALTHEON CORPORATION 580,267 580,267
HEALTHSOUTH CORP COM 2,198,400 2,198,400
HI/FN INC COM STK 28,200 28,200
HIGHLANDS INS GROUP INC COM 169,600 169,600
HOMECOM COMMUNICATIONS INC 16,100 16,100
HORIZON PHARMACIES INC COM 27,100 27,100
HYPERION SOLUTIONS CORP 46,800 46,800
HYPERION TELECOMM INC 58,890 58,890
I 2 TECHNOLOGIES INC COM 46,900 46,900
IMATION CORP COM 485,900 485,900
IMPERIAL CREDIT INDS INC 99,000 99,000
INFORMATION RES INC COM 264,800 264,800
INFOSEEK CORP COM 276,800 276,800
INFOSPACE COM INC 2,900 2,900
INHALE THERAPEUTIC SYSTEMS 23,300 23,300
INKTOMI CORP 261,800 261,800
INSO CORP COM 46,600 46,600
INTERCARDIA INC COM 286,100 286,100
INTERNATIONAL HOME FOODS INC 743,100 743,100
INTERNEURON PHARMACEUTICALS 523,200 523,200
INTERNET AMERICA INC 65,200 65,200
INTIMATE BRANDS INC CL A 574,900 574,900
INTRAWARE INC 10,000 10,000
IT GROUP INC COM 40,900 40,900
IXC COMMUNICATIONS INC COM 1,381,800 1,381,800
J.RAY MCDERMOTT S.A. COM 171,300 171,300
JDA SOFTWARE GROUP INC 733,800 733,800
JONES INTERCABLE INC CL A 20,600 20,600
K TEL INTL INC COM NEW 174,900 174,900
KAYDON CORP COM 17,900 17,900
KING WORLD PRODTN INC COM 56,100 56,100
KONINKLIJKE PHILIPS ELECTRONICS NV 143,600 143,600
KOREA ELEC PWR CO SPONS ADR 85,000 85,000
LASER MORTGAGE MGMT INC 15,700 15,700
LEAP WIRELESS INTL INC 342,500 342,500
LEARNING CO INC 101,350 101,350
LERNOUT & HAUSPIE SPEECH PRODS 49,200 49,200
<CAPTION>
Item #8
Investment Discredition
Item #1 ---------------------------------------------------
Name of Issuer (A) Sole (B) Shared Other
- ------------------------------------------------ ---------------------------------------------------
<S> <C> <C> <C>
FOX ENTERTAINMENT GROUP INC CL 474,300
FRONTIER CORP COM 2,158,800
GALILEO INTERNATIONAL INC 173,700
GARDENBURGER INC 35,600
GEMSTAR INTL GROUP LTD COM 15,400
GENERAL ELEC CO USD .16 COM 276,500
GENERAL MOTORS CLASS H COM 854,190
GENESIS DIRECT INC 139,400
GO2NET INC COM 180,000
GOLDEN STATE BANCORP LITIG WT 502,818
GRAND UNION CO COM STK 1,405,839
GUCCI GROUP NV SHS-N Y REGISTR 163,600
GULF INDONESIA RESOURCES LTD 34,000
HALLIBURTON CO COM USD2.5 100,500
HARNISCHFEGER INDS INC 284,000
HASBRO INC COM 181,700
HEALTHCARE FINANCIAL PARTNERS 135,600
HEALTHEON CORPORATION 580,267
HEALTHSOUTH CORP COM 2,198,400
HI/FN INC COM STK 28,200
HIGHLANDS INS GROUP INC COM 169,600
HOMECOM COMMUNICATIONS INC 16,100
HORIZON PHARMACIES INC COM 27,100
HYPERION SOLUTIONS CORP 46,800
HYPERION TELECOMM INC 58,890
I 2 TECHNOLOGIES INC COM 46,900
IMATION CORP COM 485,900
IMPERIAL CREDIT INDS INC 99,000
INFORMATION RES INC COM 264,800
INFOSEEK CORP COM 276,800
INFOSPACE COM INC 2,900
INHALE THERAPEUTIC SYSTEMS 23,300
INKTOMI CORP 261,800
INSO CORP COM 46,600
INTERCARDIA INC COM 286,100
INTERNATIONAL HOME FOODS INC 743,100
INTERNEURON PHARMACEUTICALS 523,200
INTERNET AMERICA INC 65,200
INTIMATE BRANDS INC CL A 574,900
INTRAWARE INC 10,000
IT GROUP INC COM 40,900
IXC COMMUNICATIONS INC COM 1,381,800
J.RAY MCDERMOTT S.A. COM 171,300
JDA SOFTWARE GROUP INC 733,800
JONES INTERCABLE INC CL A 20,600
K TEL INTL INC COM NEW 174,900
KAYDON CORP COM 17,900
KING WORLD PRODTN INC COM 56,100
KONINKLIJKE PHILIPS ELECTRONICS NV 143,600
KOREA ELEC PWR CO SPONS ADR 85,000
LASER MORTGAGE MGMT INC 15,700
LEAP WIRELESS INTL INC 342,500
LEARNING CO INC 101,350
LERNOUT & HAUSPIE SPEECH PRODS 49,200
</TABLE>
<PAGE>
TUDOR INVESTMENT CORPORATION
QUARTERLY REPORT DETAILING 13F ELIGIBLE SECURITIES
AS OF MARCH 31, 1999
<TABLE>
<CAPTION>
Item # 1 Item # 2 Item # 3 Item # 4
Cusip Fair Market
Name of Issuer Title of Class Number Value (x1000)
- ------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C>
LHS GROUP INC COM COMMON STOCK 501938104 1,923
LONE STAR STEAKHOUSE SALOON COMMON STOCK 542307103 6,198
LSI LOGIC CORP COM COMMON STOCK 502161102 11,673
MARSH & MCLENNAN COS INC COM COMMON STOCK 571748102 3,556
MARVEL ENTERPRISES INC COMMON STOCK 57383M108 769
MASCOTECH INC COMMON STOCK 574670105 8,563
MCDONALDS CORP COM NPV COMMON STOCK 580135101 5,510
MCKESSON HBOC INC COMMON STOCK 58155Q103 1,333
MCI WORLDCOM INC COM COMMON STOCK 55268B106 4,100
MEDE AMERICA CORP COM STK COMMON STOCK 584067102 4,773
MEDIAONE GROUP INC COM STK COMMON STOCK 58440J104 48,891
MEDICIS PHARMACEUTICAL CORP COMMON STOCK 584690309 1,714
MERRILL LYNCH & CO INC USD1.33 COMMON STOCK 590188108 40,196
METROCALL INC COM COMMON STOCK 591647102 3,405
MICROSTRATEGY INC COM STK COMMON STOCK 594972101 2,998
MICROMUSE INC COMMON STOCK 595094103 1,486
MIDWAY GAMES INC COM COMMON STOCK 598148104 479
MIRAVANT MEDICAL TECHNOLOGY INC COMMON STOCK 604690107 683
MMC NETWORKS INC COM COMMON STOCK 55308N102 5,051
MONTANA PWR CO COM COMMON STOCK 612085100 13,513
MORGAN J P & CO INC COM COMMON STOCK 616880100 25,612
MORGAN STANLEY DEAN WITTER & C COMMON STOCK 617446448 15,100
MOSSIMO INC COM COMMON STOCK 619696107 398
MOTOROLA INC COM COMMON STOCK 620076109 57,310
NABORS INDS INC COM COMMON STOCK 629568106 2,552
NATIONAL DISC BROKERS GROUP COMMON STOCK 635646102 3,921
NAVIDEC INC COMMON COMMON STOCK 63934Q101 287
NCR CORPORATION COM COMMON STOCK 62886E108 18,175
NEOSE TECHNOLOGIES INC COM COMMON STOCK 640522108 396
NETWORK ASSOCIATES INC COM COMMON STOCK 640938106 465
NETWORK COMPUTING DEVICES INC COMMON STOCK 64120N100 3,427
NETWORK SOLUTIONS INC CL A COM COMMON STOCK 64121Q102 21,256
NEW ERA OF NETWORKS INC COM COMMON STOCK 644312100 6,335
NEWSEDGE CORPORATION COM STK COMMON STOCK 65249Q106 1,089
NEXTEL COMMUNICATIONS INC COMMON STOCK 65332V103 21,389
NEXTLINK COMM-A COM COMMON STOCK 65333H707 2,609
NIKE INC CL B COMMON STOCK 654106103 10,256
NORTH AMERICAN VACCINE INC COMMON STOCK 657201109 230
NOVELL INC COM COMMON STOCK 670006105 16,884
NOVOSTE CORP COM COMMON STOCK 67010C100 16,053
NUTRITION FOR LIFE INTL INC COMMON STOCK 67061S202 215
NTL INCORPORATED COM COMMON STOCK 629407107 55,298
OAK INDS INC COM NEW COMMON STOCK 671400505 1,724
OCTEL CORP COM STK COMMON STOCK 675727101 2,307
OGDEN CORP COM COMMON STOCK 676346109 2,853
ONHEALTH NETWORK COMPANY COMMON STOCK 68272W107 8,053
ONSALE INC COM COMMON STOCK 682838107 4,454
OPTI INC COM COMMON STOCK 683960108 1,028
ORCKIT COMMUNICATIONS LTD COMMON STOCK M7531S107 1,209
ORGANOGENESIS INC COM COMMON STOCK 685906109 4,474
ORTHODONTIC CENTERS OF AMERICA COMMON STOCK 68750P103 2,523
OXIGENE INC COMMON STOCK 691828107 681
PACIFICORP COMMON STOCK 695114108 3,382
PAGING NETWORK INC COM COMMON STOCK 695542100 11,673
COLUMN SUB-TOTAL 490,432
<CAPTION>
Item #6
Investment Discretion Item #7
--------------------------------------- ----------
Item #1 Item #5 (B) Shared-
Shares or as defined (C) Shared
Name of Issuer Prin. Amt. (A) Sole in instruct. Other Managers
- ----------------------------------------------------------------- ---------------------------------------- ---------
<S> <C> <C> <C> <C> <C>
LHS GROUP INC COM 65,600 65,600
LONE STAR STEAKHOUSE SALOON 604,700 604,700
LSI LOGIC CORP COM 374,300 374,300
MARSH & MCLENNAN COS INC COM 47,900 47,900
MARVEL ENTERPRISES INC 117,300 117,300
MASCOTECH INC 552,500 552,500
MCDONALDS CORP COM NPV 121,600 121,600
MCKESSON HBOC INC 20,195 20,195
MCI WORLDCOM INC COM 46,300 46,300
MEDE AMERICA CORP COM STK 240,200 240,200
MEDIAONE GROUP INC COM STK 770,700 770,700
MEDICIS PHARMACEUTICAL CORP 57,150 57,150
MERRILL LYNCH & CO INC USD1.33 454,200 454,200
METROCALL INC COM 1,123,300 1,123,300
MICROSTRATEGY INC COM STK 155,726 155,726
MICROMUSE INC 32,300 32,300
MIDWAY GAMES INC COM 55,200 55,200
MIRAVANT MEDICAL TECHNOLOGY INC 99,400 99,400
MMC NETWORKS INC COM 315,700 315,700
MONTANA PWR CO COM 183,700 183,700
MORGAN J P & CO INC COM 207,594 207,594
MORGAN STANLEY DEAN WITTER & C 151,100 151,100
MOSSIMO INC COM 39,600 39,600
MOTOROLA INC COM 782,400 782,400
NABORS INDS INC COM 140,300 140,300
NATIONAL DISC BROKERS GROUP 139,400 139,400
NAVIDEC INC COMMON 26,100 26,100
NCR CORPORATION COM 363,500 363,500
NEOSE TECHNOLOGIES INC COM 29,000 29,000
NETWORK ASSOCIATES INC COM 15,164 15,164
NETWORK COMPUTING DEVICES INC 685,500 685,500
NETWORK SOLUTIONS INC CL A COM 201,000 201,000
NEW ERA OF NETWORKS INC COM 93,500 93,500
NEWSEDGE CORPORATION COM STK 128,200 128,200
NEXTEL COMMUNICATIONS INC 584,000 584,000
NEXTLINK COMM-A COM 46,600 46,600
NIKE INC CL B 177,800 177,800
NORTH AMERICAN VACCINE INC 37,600 37,600
NOVELL INC COM 670,350 670,350
NOVOSTE CORP COM 668,876 668,876
NUTRITION FOR LIFE INTL INC 80,200 80,200
NTL INCORPORATED COM 679,552 679,552
OAK INDS INC COM NEW 54,300 54,300
OCTEL CORP COM STK 188,400 188,400
OGDEN CORP COM 118,600 118,600
ONHEALTH NETWORK COMPANY 591,100 591,100
ONSALE INC COM 132,700 132,700
OPTI INC COM 180,800 180,800
ORCKIT COMMUNICATIONS LTD 58,100 58,100
ORGANOGENESIS INC COM 386,935 386,935
ORTHODONTIC CENTERS OF AMERICA 160,200 160,200
OXIGENE INC 87,900 87,900
PACIFICORP 196,053 196,053
PAGING NETWORK INC COM 2,490,300 2,490,300
<CAPTION>
Item #8
Investment Discretion
Item #1 -------------------------------------------
Name of Issuer (A) Sole (B) Shared Other
- ------------------------------------------ -------------------------------------------
<S> <C> <C> <C>
LHS GROUP INC COM 65,600
LONE STAR STEAKHOUSE SALOON 604,700
LSI LOGIC CORP COM 374,300
MARSH & MCLENNAN COS INC COM 47,900
MARVEL ENTERPRISES INC 117,300
MASCOTECH INC 552,500
MCDONALDS CORP COM NPV 121,600
MCKESSON HBOC INC 20,195
MCI WORLDCOM INC COM 46,300
MEDE AMERICA CORP COM STK 240,200
MEDIAONE GROUP INC COM STK 770,700
MEDICIS PHARMACEUTICAL CORP 57,150
MERRILL LYNCH & CO INC USD1.33 454,200
METROCALL INC COM 1,123,300
MICROSTRATEGY INC COM STK 155,726
MICROMUSE INC 32,300
MIDWAY GAMES INC COM 55,200
MIRAVANT MEDICAL TECHNOLOGY INC 99,400
MMC NETWORKS INC COM 315,700
MONTANA PWR CO COM 183,700
MORGAN J P & CO INC COM 207,594
MORGAN STANLEY DEAN WITTER & C 151,100
MOSSIMO INC COM 39,600
MOTOROLA INC COM 782,400
NABORS INDS INC COM 140,300
NATIONAL DISC BROKERS GROUP 139,400
NAVIDEC INC COMMON 26,100
NCR CORPORATION COM 363,500
NEOSE TECHNOLOGIES INC COM 29,000
NETWORK ASSOCIATES INC COM 15,164
NETWORK COMPUTING DEVICES INC 685,500
NETWORK SOLUTIONS INC CL A COM 201,000
NEW ERA OF NETWORKS INC COM 93,500
NEWSEDGE CORPORATION COM STK 128,200
NEXTEL COMMUNICATIONS INC 584,000
NEXTLINK COMM-A COM 46,600
NIKE INC CL B 177,800
NORTH AMERICAN VACCINE INC 37,600
NOVELL INC COM 670,350
NOVOSTE CORP COM 668,876
NUTRITION FOR LIFE INTL INC 80,200
NTL INCORPORATED COM 679,552
OAK INDS INC COM NEW 54,300
OCTEL CORP COM STK 188,400
OGDEN CORP COM 118,600
ONHEALTH NETWORK COMPANY 591,100
ONSALE INC COM 132,700
OPTI INC COM 180,800
ORCKIT COMMUNICATIONS LTD 58,100
ORGANOGENESIS INC COM 386,935
ORTHODONTIC CENTERS OF AMERICA 160,200
OXIGENE INC 87,900
PACIFICORP 196,053
PAGING NETWORK INC COM 2,490,300
</TABLE>
<PAGE>
TUDOR INVESTMENT CORPORATION
QUARTERLY REPORT DETAILING 13F ELIGIBLE SECURITIES
AS OF MARCH 31, 1999
<TABLE>
<CAPTION>
Item # 1 Item # 2 Item # 3 Item # 4
Cusip Fair Market
Name of Issuer Title of Class Number Value (x1000)
- ------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C>
PAIRGAIN TECHNOLOGIES INC COMMON STOCK 695934109 1,826
PARK PLACE ENTERTAINMENT CORP COMMON STOCK 700690100 4,281
PASIFIK SATELITNUSAN TARA SPON ADRS STOCKS 69365Q106 2,284
PATHWAYS GROUP INC COM COMMON STOCK 70321D106 2,182
PAYLESS SHOESOURCE INC COMMON STOCK 704379106 214
PAYMENTECH INC COM STK COMMON STOCK 704384106 12,778
PEAPOD INC COM COMMON STOCK 704718105 306
PEGASYSTEM INC COMMON STOCK 705573103 426
PHARMACIA & UPJOHN INC COM (CO COMMON STOCK 716941109 3,206
PHILIP MORRIS CO INC OPTIONS - CALLS 7181543AI 4,518
PHILLIPS PETE CO COM COMMON STOCK 718507106 2,216
PITTSTON BRINK'S GROUP COM COMMON STOCK 725701106 5,254
PLAYERS INTL INC COM COMMON STOCK 727903106 6,327
PREMISYS COMMUNICATIONS INC COMMON STOCK 740584107 4,956
PRIME HOSPITALITY CORP COMMON STOCK 741917108 9,167
PRIMEDIA INC COM STK COMMON STOCK 74157K101 1,188
PRIMEX TECHNOLOGIES INC COMMON STOCK 741597108 800
PROGENICS PHARMACEUTICALS INC COMMON STOCK 743187106 18,012
PROGRAMMERS PARADISE INC COM COMMON STOCK 743205106 660
PROVANT INC COM COMMON STOCK 743724106 3,894
PSINET INC COM COMMON STOCK 74437C101 26,997
QLT PHOTOTHERAPEUTIC S INC COMMON STOCK 746927102 855
QWEST COMMUN INTL COM COMMON STOCK 749121109 16,263
RADICA GAMES LTD COMMON STOCK G7342H107 472
RCN CORPORATION COM COMMON STOCK 749361101 785
REALNETWORKS INC COM COMMON STOCK 75605L104 13,514
RED ROOF INNS INC COM COMMON STOCK 757005103 1,400
REINSURANCE GROUP AMER INC COMMON STOCK 759351109 357
RESEARCH IN MOTION LTD CAD COMMON STOCK 760975102 9,003
RESMED INC COM COMMON STOCK 761152107 1,059
RESPONSE USA INC COM NEW COMMON STOCK 761235506 603
REYNOLDS METALS CO COMMON STOCK 761763101 11,464
RJR NABISCO HLDGS CORP COM COMMON STOCK 74960K876 24,865
ROCKY MTN INTERNET INC COMMON STOCK 774720106 182
ROSTELECOM SPONSORED ADR ADRS STOCKS 778529107 150
RSL COMMUNICATIONS LTD CL A CO COMMON STOCK G7702U102 2,641
SCHLUMBERGER LTD USD .01 COM COMMON STOCK 806857108 20,885
SCIOS INC COM COMMON STOCK 808905103 5,091
SCM MICROSYSTEMS INC COM COMMON STOCK 784018103 24,573
SCOTTISH ANNUITY AND LIFE HOLD COMMON STOCK G7885T104 1,821
SCRIPPS CO (E.W.) CL A NEW COMMON STOCK 811054204 58,507
SEAGRAM COMPANY LTD CAD COM NP COMMON STOCK 811850106 8,480
SENSORMATIC ELEC COMMON STOCK 817265101 4,969
SFX ENTERTAINMENT CL A COM COMMON STOCK 784178105 8,580
SHARED MEDICAL SYS COMMON STOCK 819486101 13,643
SHONEYS INC COM COMMON STOCK 825039100 565
SKYMALL INC COMMON STOCK 830859104 234
SMART & FINAL INC COM COMMON STOCK 831683107 649
SOFTNET SYSTEMS INC COM COMMON STOCK 833964109 695
SONY CORP AMERN SH NEW ADRS STOCKS 835699307 1,707
SPEEDUS.COM INC COMMON STOCK 847723103 333
SPRINT CORP (PCS GROUP) COMMON STOCK 852061506 9,327
SPRINT CORP USD2.50 COM COMMON STOCK 852061100 14,071
SPX CORP COM COMMON STOCK 784635104 17,940
COLUMN SUB-TOTAL 387,175
<CAPTION>
Item #6
Investment Discretion Item #7
---------------------------------------- ---------
Item # 1 Item #5 (B) Shared-
Shares or as defined (C) Shared
Name of Issuer Prin. Amt. (A) Sole in instruct. Other Manager
- ---------------------------------------------------------------- ----------------------------------------- ---------
<S> <C> <C> <C> <C> <C>
PAIRGAIN TECHNOLOGIES INC 187,300 187,300
PARK PLACE ENTERTAINMENT CORP 566,200 566,200
PASIFIK SATELITNUSAN TARA SPON 380,700 380,700
PATHWAYS GROUP INC COM 167,900 167,900
PAYLESS SHOESOURCE INC 4,600 4,600
PAYMENTECH INC COM STK 540,900 540,900
PEAPOD INC COM 28,000 28,000
PEGASYSTEM INC 81,100 81,100
PHARMACIA & UPJOHN INC COM (CO 51,400 51,400
PHILIP MORRIS CO INC 128,400 128,400
PHILLIPS PETE CO COM 46,900 46,900
PITTSTON BRINK'S GROUP COM 223,600 223,600
PLAYERS INTL INC COM 1,012,400 1,012,400
PREMISYS COMMUNICATIONS INC 574,700 574,700
PRIME HOSPITALITY CORP 922,500 922,500
PRIMEDIA INC COM STK 84,900 84,900
PRIMEX TECHNOLOGIES INC 38,600 38,600
PROGENICS PHARMACEUTICALS INC 1,847,352 1,847,352
PROGRAMMERS PARADISE INC COM 54,500 54,500
PROVANT INC COM 217,900 217,900
PSINET INC COM 634,300 634,300
QLT PHOTOTHERAPEUTIC S INC 21,000 21,000
QWEST COMMUN INTL COM 225,582 225,582
RADICA GAMES LTD 37,400 37,400
RCN CORPORATION COM 23,400 23,400
REALNETWORKS INC COM 110,600 110,600
RED ROOF INNS INC COM 88,900 88,900
REINSURANCE GROUP AMER INC 8,400 8,400
RESEARCH IN MOTION LTD CAD 857,500 857,500
RESMED INC COM 37,500 37,500
RESPONSE USA INC COM NEW 297,000 297,000
REYNOLDS METALS CO 237,300 237,300
RJR NABISCO HLDGS CORP COM 994,629 994,629
ROCKY MTN INTERNET INC 14,000 14,000
ROSTELECOM SPONSORED ADR 32,000 32,000
RSL COMMUNICATIONS LTD CL A CO 73,500 73,500
SCHLUMBERGER LTD USD .01 COM 347,000 347,000
SCIOS INC COM 561,800 561,800
SCM MICROSYSTEMS INC COM 404,500 404,500
SCOTTISH ANNUITY AND LIFE HOLD 186,800 186,800
SCRIPPS CO (E.W.) CL A NEW 1,322,210 1,322,210
SEAGRAM COMPANY LTD CAD COM NP 169,600 169,600
SENSORMATIC ELEC 523,100 523,100
SFX ENTERTAINMENT CL A COM 132,900 132,900
SHARED MEDICAL SYS 245,000 245,000
SHONEYS INC COM 226,100 226,100
SKYMALL INC 18,546 18,546
SMART & FINAL INC COM 69,300 69,300
SOFTNET SYSTEMS INC COM 19,000 19,000
SONY CORP AMERN SH NEW 18,700 18,700
SPEEDUS.COM INC 122,800 122,800
SPRINT CORP (PCS GROUP) 210,500 210,500
SPRINT CORP USD2.50 COM 143,400 143,400
SPX CORP COM 355,700 355,700
<CAPTION>
Item #8
Investment Discretion
Item # 1 ----------------------------------------------------
Name of Issuer (A) Sole (B) Shared Other
- -------------------------------------------------- ----------------------------------------------------
<S> <C> <C> <C>
PAIRGAIN TECHNOLOGIES INC 187,300
PARK PLACE ENTERTAINMENT CORP 566,200
PASIFIK SATELITNUSAN TARA SPON 380,700
PATHWAYS GROUP INC COM 167,900
PAYLESS SHOESOURCE INC 4,600
PAYMENTECH INC COM STK 540,900
PEAPOD INC COM 28,000
PEGASYSTEM INC 81,100
PHARMACIA & UPJOHN INC COM (CO 51,400
PHILIP MORRIS CO INC 128,400
PHILLIPS PETE CO COM 46,900
PITTSTON BRINK'S GROUP COM 223,600
PLAYERS INTL INC COM 1,012,400
PREMISYS COMMUNICATIONS INC 574,700
PRIME HOSPITALITY CORP 922,500
PRIMEDIA INC COM STK 84,900
PRIMEX TECHNOLOGIES INC 38,600
PROGENICS PHARMACEUTICALS INC 1,847,352
PROGRAMMERS PARADISE INC COM 54,500
PROVANT INC COM 217,900
PSINET INC COM 634,300
QLT PHOTOTHERAPEUTIC S INC 21,000
QWEST COMMUN INTL COM 225,582
RADICA GAMES LTD 37,400
RCN CORPORATION COM 23,400
REALNETWORKS INC COM 110,600
RED ROOF INNS INC COM 88,900
REINSURANCE GROUP AMER INC 8,400
RESEARCH IN MOTION LTD CAD 857,500
RESMED INC COM 37,500
RESPONSE USA INC COM NEW 297,000
REYNOLDS METALS CO 237,300
RJR NABISCO HLDGS CORP COM 994,629
ROCKY MTN INTERNET INC 14,000
ROSTELECOM SPONSORED ADR 32,000
RSL COMMUNICATIONS LTD CL A CO 73,500
SCHLUMBERGER LTD USD .01 COM 347,000
SCIOS INC COM 561,800
SCM MICROSYSTEMS INC COM 404,500
SCOTTISH ANNUITY AND LIFE HOLD 186,800
SCRIPPS CO (E.W.) CL A NEW 1,322,210
SEAGRAM COMPANY LTD CAD COM NP 169,600
SENSORMATIC ELEC 523,100
SFX ENTERTAINMENT CL A COM 132,900
SHARED MEDICAL SYS 245,000
SHONEYS INC COM 226,100
SKYMALL INC 18,546
SMART & FINAL INC COM 69,300
SOFTNET SYSTEMS INC COM 19,000
SONY CORP AMERN SH NEW 18,700
SPEEDUS.COM INC 122,800
SPRINT CORP (PCS GROUP) 210,500
SPRINT CORP USD2.50 COM 143,400
SPX CORP COM 355,700
</TABLE>
<PAGE>
TUDOR INVESTMENT CORPORATION
QUARTERLY REPORT DETAILING 13F ELIGIBLE SECURITIES
AS OF MARCH 31, 1999
<TABLE>
<CAPTION>
Item # 1 Item # 2 Item # 3 Item # 4
Cusip Fair Market
Name of Issuer Title of Class Number Value (x1000)
- ------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C>
STATION CASINOS INC COM COMMON STOCK 857689103 3,447
SUNQUEST INFORMATION SYSTEMS I COMMON STOCK 867654105 5,435
SYBASE INC COM COMMON STOCK 871130100 4,952
SYSTEM SOFTWARE ASSOC INC COMMON STOCK 871839106 7,194
TANDY CORP USD1 COM COMMON STOCK 875382103 35,683
TBA ENTERTAINMENT CORP INC COM COMMON STOCK 872173109 103
TELECOM ITALIA SPA ADR (EACH R ADRS STOCKS 87927W106 5,197
TELEGLOBE INC CAD CO M NPV COMMON STOCK 87941V100 5,652
TELEPHONE & DATA SYSTEMS INC COMMON STOCK 879433100 2,813
THEGLOBE COM INC COMMON STOCK 88335R101 4,973
THINK NEW IDEAS INC COMMON STOCK 884094103 289
TIME WARNER INC USD COM COMMON STOCK 887315109 56,621
TITAN CORP COM COMMON STOCK 888266103 4,477
TMP WORLDWIDE COM COMMON STOCK 872941109 10,266
TOSCO CORP COM COMMON STOCK 891490302 2,324
TRANSWITCH CORP COM COMMON STOCK 894065101 6,448
TRAVELERS PROP CASUALTY CL A C COMMON STOCK 893939108 6,377
TRENWICK GROUP INC COM COMMON STOCK 895290104 2,626
TRIATHLON BROADCASTING CO COMMON STOCK 89589P106 492
TRICON GLOBAL RESTAURANTS INC COMMON STOCK 895953107 33,698
TV GUIDE INC CL A COM COMMON STOCK 87307Q109 19,776
TURBODYNE TECHNOLOGIES INC COMMON STOCK 899905103 166
USA DETERGENTS INC COMMON STOCK 902938109 112
UNITED INTERNATIONAL HLDGS IN COMMON STOCK 910734102 870
US FILTER COMMON STOCK 911843209 1,531
US WEST INC COM STK (NEW) COMMON STOCK 91273H101 811
USWEB CORP COMMON STOCK 917327108 1,091
VLSI TECHNOLOGY INC COMMON STOCK 918270109 969
24/7 MEDIA INC COMMON STOCK 901314104 3,348
UST INC COM COMMON STOCK 902911106 5,684
UBID INC COMMON STOCK 903469104 300
UTD COMPANIES FINCL COMMON STOCK 909870107 8
VALUEVISION INTL INC COM COMMON STOCK 92047K107 4,921
VENATOR GROUP INC COM COMMON STOCK 922944103 2,644
VERIO INC COM STK COMMON STOCK 923433106 8,689
VERITAS SOFTWARE CORP COM COMMON STOCK 923436109 12,605
VIATEL INC COMMON STOCK 925529208 268
VITECH AMER INC COMMON STOCK 928489103 1,495
VITRO SA ADS REPRESE NTING 3 S ADRS STOCKS 928502301 336
VIVUS INC COM COMMON STOCK 928551100 2,361
VODAFONE GROUP PLC SPONSORED A ADRS STOCKS 92857T107 12,316
WENDYS INTL INC COM COMMON STOCK 950590109 16,044
WESTERN WIRELESS CORP COMMON STOCK 95988E204 8,685
WESTOWER CORP COM STK COMMON STOCK 96121E101 13,724
WITCO CORP COM COMMON STOCK 977385103 592
WMS INDS INC COM COMMON STOCK 929297109 2,928
WORLD ACCESS INC COM COMMON STOCK 98141A101 697
XOOM.COM INC COMMON STOCK 98413F101 5,291
YAHOO INC COMMON STOCK 984332106 36,504
YPF SOCIEDAD ANONIMA SPONS AD ADRS STOCKS 984245100 1,073
ZOLTEK COS INC COM COMMON STOCK 98975W104 1,130
ZOMAX OPTICAL MEDIA INC COMMON STOCK 989929104 1,123
COLUMN SUB-TOTAL 367,159
GRAND TOTAL: 2,593,306
<CAPTION>
Item #6
Investment Discretion Item #7
------------------------------------- --------
Item # 1 Item #5 (B) Shared-
Shares or as defined (C) Share
Name of Issuer Prin. Amt. (A) Sole in instruct. Other Managers
- ---------------------------------------------------------------- --------------------------------------- --------
<S> <C> <C> <C> <C> <C>
STATION CASINOS INC COM 270,400 270,400
SUNQUEST INFORMATION SYSTEMS I 462,600 462,600
SYBASE INC COM 623,900 623,900
SYSTEM SOFTWARE ASSOC INC 3,197,700 3,197,700
TANDY CORP USD1 COM 559,200 559,200
TBA ENTERTAINMENT CORP INC COM 25,000 25,000
TELECOM ITALIA SPA ADR (EACH R 49,800 49,800
TELEGLOBE INC CAD CO M NPV 186,466 186,466
TELEPHONE & DATA SYSTEMS INC 49,900 49,900
THEGLOBE COM INC 95,400 95,400
THINK NEW IDEAS INC 18,500 18,500
TIME WARNER INC USD COM 799,600 799,600
TITAN CORP COM 873,700 873,700
TMP WORLDWIDE COM 158,400 158,400
TOSCO CORP COM 93,700 93,700
TRANSWITCH CORP COM 142,500 142,500
TRAVELERS PROP CASUALTY CL A C 178,400 178,400
TRENWICK GROUP INC COM 93,400 93,400
TRIATHLON BROADCASTING CO 39,200 39,200
TRICON GLOBAL RESTAURANTS INC 479,700 479,700
TV GUIDE INC CL A COM 536,300 536,300
TURBODYNE TECHNOLOGIES INC 73,900 73,900
USA DETERGENTS INC 18,000 18,000
UNITED INTERNATIONAL HLDGS IN 20,000 20,000
US FILTER 50,000 50,000
US WEST INC COM STK (NEW) 14,735 14,735
USWEB CORP 52,884 52,884
VLSI TECHNOLOGY INC 50,000 50,000
24/7 MEDIA INC 65,000 65,000
UST INC COM 217,600 217,600
UBID INC 4,600 4,600
UTD COMPANIES FINCL 64,600 64,600
VALUEVISION INTL INC COM 399,700 399,700
VENATOR GROUP INC COM 374,500 374,500
VERIO INC COM STK 188,400 188,400
VERITAS SOFTWARE CORP COM 156,100 156,100
VIATEL INC 9,400 9,400
VITECH AMER INC 185,400 185,400
VITRO SA ADS REPRESE NTING 3 S 57,800 57,800
VIVUS INC COM 590,200 590,200
VODAFONE GROUP PLC SPONSORED A 65,600 65,600
WENDYS INTL INC COM 564,200 564,200
WESTERN WIRELESS CORP 239,600 239,600
WESTOWER CORP COM STK 489,080 489,080
WITCO CORP COM 46,700 46,700
WMS INDS INC COM 380,900 380,900
WORLD ACCESS INC COM 85,900 85,900
XOOM.COM INC 78,900 78,900
YAHOO INC 216,800 216,800
YPF SOCIEDAD ANONIMA SPONS AD 34,000 34,000
ZOLTEK COS INC COM 150,700 150,700
ZOMAX OPTICAL MEDIA INC 55,800 55,800
<CAPTION>
Item #8
Investment Discretion
--------------------------------------
Item #1
Name of Issuer (A) Sole (B) Shared Other
- -------------------------------------- ---------------------------------------
<S> <C> <C> <C>
STATION CASINOS INC COM 270,400
SUNQUEST INFORMATION SYSTEMS I 462,600
SYBASE INC COM 623,900
SYSTEM SOFTWARE ASSOC INC 3,197,700
TANDY CORP USD1 COM 559,200
TBA ENTERTAINMENT CORP INC COM 25,000
TELECOM ITALIA SPA ADR (EACH R 49,800
TELEGLOBE INC CAD CO M NPV 186,466
TELEPHONE & DATA SYSTEMS INC 49,900
THEGLOBE COM INC 95,400
THINK NEW IDEAS INC 18,500
TIME WARNER INC USD COM 799,600
TITAN CORP COM 873,700
TMP WORLDWIDE COM 158,400
TOSCO CORP COM 93,700
TRANSWITCH CORP COM 142,500
TRAVELERS PROP CASUALTY CL A C 178,400
TRENWICK GROUP INC COM 93,400
TRIATHLON BROADCASTING CO 39,200
TRICON GLOBAL RESTAURANTS INC 479,700
TV GUIDE INC CL A COM 536,300
TURBODYNE TECHNOLOGIES INC 73,900
USA DETERGENTS INC 18,000
UNITED INTERNATIONAL HLDGS IN 20,000
US FILTER 50,000
US WEST INC COM STK (NEW) 14,735
USWEB CORP 52,884
VLSI TECHNOLOGY INC 50,000
24/7 MEDIA INC 65,000
UST INC COM 217,600
UBID INC 4,600
UTD COMPANIES FINCL 64,600
VALUEVISION INTL INC COM 399,700
VENATOR GROUP INC COM 374,500
VERIO INC COM STK 188,400
VERITAS SOFTWARE CORP COM 156,100
VIATEL INC 9,400
VITECH AMER INC 185,400
VITRO SA ADS REPRESE NTING 3 S 57,800
VIVUS INC COM 590,200
VODAFONE GROUP PLC SPONSORED A 65,600
WENDYS INTL INC COM 564,200
WESTERN WIRELESS CORP 239,600
WESTOWER CORP COM STK 489,080
WITCO CORP COM 46,700
WMS INDS INC COM 380,900
WORLD ACCESS INC COM 85,900
XOOM.COM INC 78,900
YAHOO INC 216,800
YPF SOCIEDAD ANONIMA SPONS AD 34,000
ZOLTEK COS INC COM 150,700
ZOMAX OPTICAL MEDIA INC 55,800
</TABLE>