TUDOR INVESTMENT CORP ET AL
13F-HR, 2000-05-15
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<PAGE>

                                 UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                            Washington, D.C. 20549

                                   Form 13F

                              Form 13F COVER PAGE

Report for the Calendar Year or quarter Ended:  March 31, 2000

Check here if Amendment [    ]; Amendment Number:
  This Amendment (Check only one.):  [   ] is a restatement.
                                     [   ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:          Tudor Investment Corporation
Address:       One Liberty Plaza, 51st Floor
               New York, NY 10006

Form 13F File Number:  28-7762

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:


Name:     Mark Pickard
Title:    Managing Director
Phone:    (212) 602-6700

Signature, Place, and Date of Signing:

   /s/ Mark Pickard                New York, NY 10006            May 12, 2000
   ----------------                ------------------            ------------
    [Signature]                      [City, State]                  [Date]

Report Type (Check only one.):

[X]  13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
     are reported in this report.)

[_]  13 NOTICE. (Check here if no holdings reported are in this report, and all
     holdings are reported by other reporting manager(s).)

[_]  13F COMBINATION REPORT. (Check here if a portion of the holdings for this
     reporting manager are reported in this report and a portion are reported by
     other reporting manager(s).)



List of Other Included Managers:

  Form 13F File Number                       Name
  28-5175                                    Tudor Proprietary Trading, L.L.C.
<PAGE>

                             Form 13F SUMMARY PAGE

  Report Summary:


  Number of Other Included Managers          1.

  Form 13F Information Table Entry Total     235

  Form 13F Information Table Value Total     $3,744,910
                                             (Thousands)

  List of Other Included Managers:

  No.     Form 13F File Number     Name
  1.      28-5175                  Tudor Proprietary Trading, L.L.C.
<PAGE>

                         TUDOR INVESTMENT CORPORATION
              QUARTERLY REPORT DETAILING 13F ELIGIBLE SECURITIES
                             AS OF MARCH 31, 2000

<TABLE>
<CAPTION>
                                                                                                         Investment Discretion
                                                                                                         ---------------------

                                                             Cusip       Fair Market     Shares or         Shared       Shared
             Name of Issuer               Title of Class    Number      Value (x1000)    Prin. Amt.      as defined      Other
- ------------------------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>          <C>              <C>             <C>           <C>
4Kids Entertainment Incorporated         COMMON STOCK      350865101           8,843        374,300         353,706     20,594
Accelr8 Technology Corporation           COMMON STOCK      004304200              26         20,000          19,200        800
ACT Networks, Inc                        COMMON STOCK      000975102           3,377        333,490         313,252     20,238
Actrade International Limited            COMMON STOCK      004931101           1,290         80,000          74,640      5,360
ACTV Incorporated                        COMMON STOCK      00088E104         100,721      2,872,610       2,721,513    151,097
Adelphia Communications - Cl A           COMMON STOCK      006848105          10,726        218,900         207,170     11,730
Advanta Corporation - Cl B               COMMON STOCK      007942204             162         11,200           8,400      2,800
Aetna Incorporated                       COMMON STOCK      008117103          11,310        203,100         187,306     15,794
Agribrands International Incorporated    COMMON STOCK      00849R105           8,906        226,550         213,750     12,800
Agrium inc                               COMMON STOCK      008916108           1,693        210,000         146,000     64,000
AHT Corporation                          COMMON STOCK      00130R103           1,979        586,300         548,060     38,240
AK Steel Holding Corporation             COMMON STOCK      001547108           3,113        300,000         235,716     64,284
Allscripts Inc                           COMMON STOCK      019886100          33,766        561,600         531,543     30,057
Allstate Corporation                     COMMON STOCK      020002101          10,878        456,800         432,323     24,477
Ameritrade Holding Corporation - CL A    COMMON STOCK      03072H109           3,234        154,800         141,600     13,200
Anacomp, Incorporated                    COMMON STOCK      032371106           3,957        254,270         239,860     14,410
Andrew Corporation                       COMMON STOCK      034425108          17,724        774,800         732,445     42,355
Arch Communications Group Incorporated   COMMON STOCK      039381504          36,129      4,661,799       4,412,305    249,494
Arch Communications Group-WTS            COMMON STOCK      039381116             426        378,529         353,985     24,544
Ariel Corporation                        COMMON STOCK      04033M104             690         85,000          80,469      4,531
Art Technology Group Inc                 COMMON STOCK      04289L107         420,172      6,396,524       6,396,524          -
Ask Jeeves Inc.                          COMMON STOCK      045174109           6,112        100,000          94,400      5,600
AT&T Corp Liberty Media Group - A        COMMON STOCK      001957208         135,909      2,293,820       2,170,970    122,850
Auspex Systems Incorporated              COMMON STOCK      052116100          15,613      1,419,340       1,325,997     93,343
Avado Brands Incorporated                COMMON STOCK      05336P108              70         25,000          18,750      6,250
Baxter International Incorporated        COMMON STOCK      071813109          31,344        500,000         473,208     26,792
Beyond.com Corporation                   COMMON STOCK      08860E101              86         20,000          18,600      1,400
Biotime Incorporated                     COMMON STOCK      09066L105             663         57,610          54,512      3,098
Boise Cascade Corp                       COMMON STOCK      097383103           1,390         40,000          29,860     10,140
Borden Chems & Plastics Ltd (DEP COM UNI COMMON STOCK      099541203             998        225,000         167,424     57,576
Boston Scientific Corporation            COMMON STOCK      101137107           2,131        100,000          94,596      5,404
Broadwing Incorporated                   COMMON STOCK      111620100           8,741        235,060         222,270     12,790
Burlington Resources Incorporated        COMMON STOCK      122014103           4,070        110,000          81,400     28,600
Cabletron Systems                        COMMON STOCK      126920107         115,638      3,945,000       3,733,868    211,132
Calico Commerce Inc                      COMMON STOCK      129897104           1,638         50,000          47,300      2,700
Cameron Ashley Building Products Inc     COMMON STOCK      133290106           1,563         90,600          67,950     22,650
Campbell Soup Company                    COMMON STOCK      134429109             615         20,000          14,800      5,200
Caremark Rx, Incorporated                COMMON STOCK      141705103          17,982      4,294,240       4,034,353    259,887
Carlisle Holdings LTD                    COMMON STOCK      P21277101             218         27,850          27,490        360
Cell Pathways Incorporated               COMMON STOCK      15114R101           2,922         85,000          80,631      4,369
Cendant Corporation                      COMMON STOCK      151313103          45,752      2,473,100       2,340,581    132,519
Ceridian Corporation                     COMMON STOCK      15677T106             959         50,000          47,320      2,680

COLUMN SUBTOTAL                                                            1,073,536

<CAPTION>
                                                                   Voting Authority
                                                       ------------------------------------------

             Name of Issuer                Managers          Sole            Shared      None
- -------------------------------------------------------------------------------------------------
<S>                                        <C>         <C>                   <C>         <C>
4Kids Entertainment Incorporated               1.            353,706          20,594
Accelr8 Technology Corporation                 1.             19,200             800
ACT Networks, Inc                              1.            313,252          20,238
Actrade International Limited                  1.             74,640           5,360
ACTV Incorporated                              1.          2,721,513         151,097
Adelphia Communications Cl A                   1.            207,170          11,730
Advanta Corporation Cl B                       1.              8,400           2,800
Aetna Incorporated                             1.            187,306          15,794
Agribrands International Incorporated          1.            213,750          12,800
Agrium inc                                     1.            146,000          64,000
AHT Corporation                                1.            548,060          38,240
AK Steel Holding Corporation                   1.            235,716          64,284
Allscripts Inc                                 1.            531,543          30,057
Allstate Corporation                           1.            432,323          24,477
Ameritrade Holding Corporation CL A            1.            141,600          13,200
Anacomp, Incorporated                          1.            239,860          14,410
Andrew Corporation                             1.            732,445          42,355
Arch Communications Group Incorporated         1.          4,412,305         249,494
Arch Communications GroupWTS                   1.            353,985          24,544
Ariel Corporation                              1.             80,469           4,531
Art Technology Group Inc                       1.          6,396,524               -
Ask Jeeves Inc.                                1.             94,400           5,600
AT&T Corp Liberty Media Group A                1.          2,170,970         122,850
Auspex Systems Incorporated                    1.          1,325,997          93,343
Avado Brands Incorporated                      1.             18,750           6,250
Baxter International Incorporated              1.            473,208          26,792
Beyond.com Corporation                         1.             18,600           1,400
Biotime Incorporated                           1.             54,512           3,098
Boise Cascade Corp                             1.             29,860          10,140
Borden Chems & Plastics Ltd (DEP COM UNI       1.            167,424          57,576
Boston Scientific Corporation                  1.             94,596           5,404
Broadwing Incorporated                         1.            222,270          12,790
Burlington Resources Incorporated              1.             81,400          28,600
Cabletron Systems                              1.          3,733,868         211,132
Calico Commerce Inc                            1.             47,300           2,700
Cameron Ashley Building Products Inc           1.             67,950          22,650
Campbell Soup Company                          1.             14,800           5,200
Caremark Rx, Incorporated                      1.          4,034,353         259,887
Carlisle Holdings LTD                          1.             27,490             360
Cell Pathways Incorporated                     1.             80,631           4,369
Cendant Corporation                            1.          2,340,581         132,519
Ceridian Corporation                           1.             47,320           2,680

COLUMN SUBTOTAL
</TABLE>
<PAGE>

                         TUDOR INVESTMENT CORPORATION
              QUARTERLY REPORT DETAILING 13F ELIGIBLE SECURITIES
                             AS OF MARCH 31, 2000

<TABLE>
<CAPTION>
                                                                                                        Investment Discretion
                                                                                                        ---------------------

                                                             Cusip       Fair Market      Shares or       Shared-      Shared
             Name of Issuer             Title of Class       Number      Value (x1000)    Prin. Amt.    as defined      Other
- -----------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>                <C>           <C>              <C>           <C>           <C>
Children's Place                         COMMON STOCK      168905107              986         69,200        65,510      3,690
China.com Corp.                          COMMON STOCK      G2108N109           12,150        150,000       141,800      8,200
Chordiant Software Incorporated          COMMON STOCK      170404107           17,499      1,405,789     1,405,789          -
Chromatics Color Sciences Intl Inc       COMMON STOCK      171116304              281         50,000        47,000      3,000
Citizens Utilities Class B               COMMON STOCK      177342201            4,839        295,500       279,425     16,075
Closure Medical Corporation              COMMON STOCK      189093107            3,942        150,200       138,720     11,480
Columbia Energy Group                    COMMON STOCK      197648108           11,850        200,000       131,250     68,750
Comdisco Incorporated                    COMMON STOCK      200336105           20,240        458,700       434,122     24,578
Compaq Computer Corporation              COMMON STOCK      204493100           56,791      2,133,000     2,018,802    114,198
Computer Learning Centers                COMMON STOCK      205199102              652        366,000       339,400     26,600
CONDUCTUS STK                            COMMON STOCK      206784100            5,871        181,000       169,668     11,332
Conoco Inc - Cl A                        COMMON STOCK      208251306            2,463        100,000        74,000     26,000
Cooper Industries Incorporated           COMMON STOCK      216669101            1,575         45,000        33,300     11,700
Corecomm Limited                         COMMON STOCK      G2422R109           57,796      1,313,550     1,243,247     70,303
Coulter Pharmaceutical Incorporated      COMMON STOCK      222116105            4,194        137,500       129,580      7,920
Coyote Network Systems Incorporated      COMMON STOCK      22406P108              496         45,045        39,795      5,250
Crestline Capital Corporation            COMMON STOCK      226153104           16,777        962,100       907,750     54,350
Crystal Systems Solutions Limited        COMMON STOCK      M26763108              547         40,000        37,100      2,900
Crystallex International Corporation     COMMON STOCK      22942F101               66         30,000        27,500      2,500
CyberCash Incorporated                   COMMON STOCK      232462101              135         10,000         7,500      2,500
Cytoclonal Pharmaceuticals               COMMON STOCK      23282G105              206         20,000        18,600      1,400
Delphi Automotive Systems                COMMON STOCK      247126105            2,240        140,000       103,600     36,400
Digital Island                           COMMON STOCK      25385N101           57,312        940,523       933,809      6,714
Dime Bancorp Incorporated                COMMON STOCK      25429Q102            1,388         75,000        56,250     18,750
Dualstar Technologies Corporation        COMMON STOCK      263572109            2,363        300,000       175,000    125,000
E.W. Scripps Company                     COMMON STOCK      811054204           43,247        891,700       843,974     47,726
Earthweb Incorporated                    COMMON STOCK      27032C108           20,766        843,300       797,353     45,947
Eastern Enterprises                      COMMON STOCK      27637F100            2,790         46,600        34,950     11,650
Efax.com Inc                             COMMON STOCK      282012103              163         30,000        28,000      2,000
Egghead.com Incorporated                 COMMON STOCK      282329101            1,437        204,398       189,644     14,754
El Paso Electric Company                 COMMON STOCK      283677854              726         70,000             -     70,000
El Paso Energy Corporation               COMMON STOCK      283905107           75,739      1,875,900     1,775,532    100,368
Elite Information Group Incorporated     COMMON STOCK      28659M106            5,272        566,150       534,150     32,000
Engelhard Corporation                    COMMON STOCK      292845104            3,781        250,000       185,830     64,170
Entremed Incorporated                    COMMON STOCK      29382F103            4,918         83,000        76,300      6,700
EOG Resources Inc.                       COMMON STOCK      26875P101            5,827        275,000       100,250    174,750
Epicor Software Corporation              COMMON STOCK      29426L108            4,250        500,000       472,000     28,000
Ethyl Corporation                        COMMON STOCK      297659104              153         50,110        46,110      4,000
Focal Communications Corp.               COMMON STOCK      344155106              633         11,300         6,730      4,570
Focus Enhancements                       COMMON STOCK      344159108            2,734        962,500       962,500          -
Forest Oil Corporation                   COMMON STOCK      346091606            1,594        150,000       111,000     39,000
Fort James Corporation                   COMMON STOCK      347471104            1,650         75,000        52,110     22,890

COLUMN SUBTOTAL                                                               458,339

<CAPTION>
                                                                   Voting Authority
                                                       ------------------------------------------

             Name of Issuer                Managers          Sole            Shared      None
- -------------------------------------------------------------------------------------------------
<S>                                        <C>         <C>                   <C>         <C>
Children's Place                              1.             65,510            3,690
China.com Corp.                               1.            141,800            8,200
Chordiant Software Incorporated               1.          1,405,789                -
Chromatics Color Sciences Intl Inc            1.             47,000            3,000
Citizens Utilities Class B                    1.            279,425           16,075
Closure Medical Corporation                   1.            138,720           11,480
Columbia Energy Group                         1.            131,250           68,750
Comdisco Incorporated                         1.            434,122           24,578
Compaq Computer Corporation                   1.          2,018,802          114,198
Computer Learning Centers                     1.            339,400           26,600
CONDUCTUS STK                                 1.            169,668           11,332
Conoco Inc - Cl A                             1.             74,000           26,000
Cooper Industries Incorporated                1.             33,300           11,700
Corecomm Limited                              1.          1,243,247           70,303
Coulter Pharmaceutical Incorporated           1.            129,580            7,920
Coyote Network Systems Incorporated           1.             39,795            5,250
Crestline Capital Corporation                 1.            907,750           54,350
Crystal Systems Solutions Limited             1.             37,100            2,900
Crystallex International Corporation          1.             27,500            2,500
CyberCash Incorporated                        1.              7,500            2,500
Cytoclonal Pharmaceuticals                    1.             18,600            1,400
Delphi Automotive Systems                     1.            103,600           36,400
Digital Island                                1.            933,809            6,714
Dime Bancorp Incorporated                     1.             56,250           18,750
Dualstar Technologies Corporation             1.            175,000          125,000
E.W. Scripps Company                          1.            843,974           47,726
Earthweb Incorporated                         1.            797,353           45,947
Eastern Enterprises                           1.             34,950           11,650
Efax.com Inc                                  1.             28,000            2,000
Egghead.com Incorporated                      1.            189,644           14,754
El Paso Electric Company                      1.                  -           70,000
El Paso Energy Corporation                    1.          1,775,532          100,368
Elite Information Group Incorporated          1.            534,150           32,000
Engelhard Corporation                         1.            185,830           64,170
Entremed Incorporated                         1.             76,300            6,700
EOG Resources Inc.                            1.            100,250          174,750
Epicor Software Corporation                   1.            472,000           28,000
Ethyl Corporation                             1.             46,110            4,000
Focal Communications Corp.                    1.              6,730            4,570
Focus Enhancements                            1.            962,500                -
Forest Oil Corporation                        1.            111,000           39,000
Fort James Corporation                        1.             52,110           22,890

COLUMN SUBTOTAL
</TABLE>
<PAGE>

                          TUDOR INVESTMENT CORPORATION
               QUARTERLY REPORT DETAILING 13F ELIGIBLE SECURITIES
                              AS OF MARCH 31, 2000

<TABLE>
<CAPTION>
                                                                                                            Investment Discretion
                                                                                                            ----------------------
                                                              Cusip       Fair Market     Shares or           Shared     Shared
             Name of Issuer               Title of Class     Number      Value (x1000)    Prin. Amt.        as defined    Other
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>           <C>              <C>               <C>           <C>
Frequency Electronics Incorporated       COMMON STOCK      358010106               2,225      121,900            72,737     49,163
Gardenburger Incorporated                COMMON STOCK      365476100                  83       17,400            15,500      1,900
General Magic                            COMMON STOCK      370253106              11,488    1,285,400         1,216,058     69,342
General Mtrs Corp(CL H)                  COMMON STOCK      370442832             176,659    1,418,950         1,342,994     75,956
Genesis Microchip Incorporated           COMMON STOCK      371933102               5,819      267,500           250,500     17,000
Glenayre Technologies Inc                COMMON STOCK      377899109              30,121    1,715,100         1,623,311     91,789
Global Crossing LTD                      COMMON STOCK      G3921A100                 409       10,000             8,041      1,959
Global Inds Ltd                          COMMON STOCK      379336100                 731       50,000            37,000     13,000
Grand Union Co                           COMMON STOCK      386532402               7,267    2,473,747         2,333,196    140,551
Hannaford Brothers Company               COMMON STOCK      410550107               3,688       50,000            37,500     12,500
Harris Corporation                       COMMON STOCK      413875105              21,239      614,500           581,572     32,928
Healtheon Corp                           COMMON STOCK      422209106               9,583      416,667           416,667          -
HEARTPORT TECH                           COMMON STOCK      421969106                 255       55,140            52,140      3,000
Herbalife Intl Class A                   COMMON STOCK      426908208                 671       47,500            29,375     18,125
Hubbell Incorporated Class A             COMMON STOCK      443510102                 644       25,000            18,500      6,500
Hubbell Incorporated Class B             COMMON STOCK      443510201               1,369       50,000            37,000     13,000
Hyperion Solutions                       COMMON STOCK      44914M104              32,104      987,800           934,936     52,864
IBP Incorporated                         COMMON STOCK      449223106               1,575      100,000            74,780     25,220
Informix Corporation                     COMMON STOCK      456779107             143,856    8,493,370         8,038,713    454,657
Intelect Communications Incorporated     COMMON STOCK      458144102                 289       50,000            37,500     12,500
IntelliCorp Incorporated                 COMMON STOCK      458153103               2,224      555,900           518,523     37,377
International Home Foods Incorporated    COMMON STOCK      459655106              60,695    3,793,440         3,590,410    203,030
Internet America Incorporated            COMMON STOCK      46058Y109                 591       70,000            65,200      4,800
Intraware Incorporated                   COMMON STOCK      46118M103              10,093      244,300           231,101     13,199
IRI International Corporation            COMMON STOCK      45004F107                 944      100,000            75,000     25,000
Ivex Packaging Corporation               COMMON STOCK      465855104                 567       75,000            55,500     19,500
J.D. Edwards & Company                   COMMON STOCK      281667105               2,931       90,000            85,008      4,992
Juno Online Services Inc.                COMMON STOCK      482048105               3,623      230,000           217,600     12,400
KEMET Corporation                        COMMON STOCK      488360108                 949       15,000            11,100      3,900
KeraVision Incorporated                  COMMON STOCK      492061106                 216       35,600            33,590      2,010
KerrMcGee Corporation                    COMMON STOCK      492386107               2,888       50,000            37,332     12,668
Ktel International Incorporated          COMMON STOCK      482724200               1,308      185,100           174,870     10,230
Legato Systems Incorporated              COMMON STOCK      524651106               2,231       50,000            47,320      2,680
Litton Industries Incorporated           COMMON STOCK      538021106               1,105       25,000            18,500      6,500
Local Financial Corp 144A                COMMON STOCK      539553206               6,764      790,000           726,700     63,300
Lockheed Martin Corp                     COMMON STOCK      539830109               1,022       50,000            37,000     13,000
Log On America Incorporated              COMMON STOCK      540473105                 113       10,000             9,400        600
Lycos Incorporated                       COMMON STOCK      550818108               1,405       20,000            20,000          -
Magellan Health Services Incorporated    COMMON STOCK      559079108                 844      175,440           164,540     10,900
Mandalay Resort Group                    COMMON STOCK      562567107                 861       51,000            48,267      2,733
Martek Biosciences Corp                  COMMON STOCK      572901106               5,846      445,400           420,079     25,321
Marvel Enterprises Inc                   COMMON STOCK      57383M108               7,769    1,308,500         1,230,108     78,392

COLUMN SUBTOTAL                                                                  565,064


<CAPTION>

                                                                Voting Authority
                                                      ---------------------------------

             Name of Issuer              Managers        Sole      Shared       None
- ---------------------------------------------------------------------------------------
<S>                                      <C>          <C>          <C>          <C>
Frequency Electronics Incorporated           1.           72,737    49,163
Gardenburger Incorporated                    1.           15,500     1,900
General Magic                                1.        1,216,058    69,342
General Mtrs Corp(CL H)                      1.        1,342,994    75,956
Genesis Microchip Incorporated               1.          250,500    17,000
Glenayre Technologies Inc                    1.        1,623,311    91,789
Global Crossing LTD                          1.            8,041     1,959
Global Inds Ltd                              1.           37,000    13,000
Grand Union Co                               1.        2,333,196   140,551
Hannaford Brothers Company                   1.           37,500    12,500
Harris Corporation                           1.          581,572    32,928
Healtheon Corp                               1.          416,667         -
HEARTPORT TECH                               1.           52,140     3,000
Herbalife Intl Class A                       1.           29,375    18,125
Hubbell Incorporated Class A                 1.           18,500     6,500
Hubbell Incorporated Class B                 1.           37,000    13,000
Hyperion Solutions                           1.          934,936    52,864
IBP Incorporated                             1.           74,780    25,220
Informix Corporation                         1.        8,038,713   454,657
Intelect Communications Incorporated         1.           37,500    12,500
IntelliCorp Incorporated                     1.          518,523    37,377
International Home Foods Incorporated        1.        3,590,410   203,030
Internet America Incorporated                1.           65,200     4,800
Intraware Incorporated                       1.          231,101    13,199
IRI International Corporation                1.           75,000    25,000
Ivex Packaging Corporation                   1.           55,500    19,500
J.D. Edwards & Company                       1.           85,008     4,992
Juno Online Services Inc.                    1.          217,600    12,400
KEMET Corporation                            1.           11,100     3,900
KeraVision Incorporated                      1.           33,590     2,010
KerrMcGee Corporation                        1.           37,332    12,668
Ktel International Incorporated              1.          174,870    10,230
Legato Systems Incorporated                  1.           47,320     2,680
Litton Industries Incorporated               1.           18,500     6,500
Local Financial Corp 144A                    1.          726,700    63,300
Lockheed Martin Corp                         1.           37,000    13,000
Log On America Incorporated                  1.            9,400       600
Lycos Incorporated                           1.           20,000         -
Magellan Health Services Incorporated        1.          164,540    10,900
Mandalay Resort Group                        1.           48,267     2,733
Martek Biosciences Corp                      1.          420,079    25,321
Marvel Enterprises Inc                       1.        1,230,108    78,392
</TABLE>
<PAGE>

                          TUDOR INVESTMENT CORPORATION
               QUARTERLY REPORT DETAILING 13F ELIGIBLE SECURITIES
                              AS OF MARCH 31, 2000

<TABLE>
<CAPTION>
                                                                                                               Investment Discretion
                                                                                                              ----------------------
                                                             Cusip       Fair Market        Shares or           Shared     Shared
             Name of Issuer               Title of Class     Number      Value (x1000)      Prin. Amt.        as defined    Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>          <C>                 <C>               <C>          <C>
MascoTech Incorporated                   COMMON STOCK      574670105               7,178      582,980           549,412     33,568
Mattel Inc                               COMMON STOCK      577081102              89,511    8,575,900         8,115,919    459,981
MediaOne Group Incorporated              COMMON STOCK      58440J104               5,144       63,500            47,625     15,875
Metrocall Incorporated                   COMMON STOCK      591647102              24,371    2,437,120         2,294,403    142,717
MicroStrategy Incorporated               COMMON STOCK      594972101               6,965       80,000            75,630      4,370
MP3.com                                  COMMON STOCK      62473M109               5,160      245,700           233,030     12,670
Nabors Industries Incorporated           COMMON STOCK      629568106               1,941       50,000            37,000     13,000
Navistar International Corporation       COMMON STOCK      63934E108              44,216    1,101,950         1,034,739     67,211
Newbridge Networks Corporation           COMMON STOCK      650901101              11,353      350,000           262,500     87,500
Novoste Corporation                      COMMON STOCK      67010C100              10,224      255,600           181,476     74,124
NTN Communications, Inc.                 COMMON STOCK      629410309               8,262    2,065,400         1,948,720    116,680
Ocean Energy Incorporated                COMMON STOCK      67481E106               4,672      325,000           140,955    184,045
Octel Corporation                        COMMON STOCK      675727101               3,653      374,620           353,440     21,180
OPTi Incorporated                        COMMON STOCK      683960108               1,313      250,000           154,510     95,490
Organogenesis Incorporated               COMMON STOCK      685906109               3,016      250,000           234,300     15,700
Paging Network Incorporated              COMMON STOCK      695542100               3,229    1,245,000         1,163,498     81,502
Panja Inc                                COMMON STOCK      698493103               2,875      125,000            81,467     43,533
Park Place Entertainment                 COMMON STOCK      700690100              32,329    2,796,000         2,646,351    149,649
Parkervision Incorporated                COMMON STOCK      701354102               4,183      141,800           133,356      8,444
Perkinelmer Incorporated                 COMMON STOCK      714046109              46,557      700,100           662,641     37,459
Perle Systems Limited                    COMMON STOCK      714152105                 664      100,000            94,600      5,400
Phelps Dodge Corporation                 COMMON STOCK      717265102               1,425       30,000            22,200      7,800
Pittston Brinks Group                    COMMON STOCK      725701106              17,373    1,021,960           966,320     55,640
Pivotal Corp                             COMMON STOCK      72581R106                 912       28,400            26,814      1,586
Playtex Products Inc.                    COMMON STOCK      72813P100               2,990      230,000           217,675     12,325
PRAXAIR INC                              COMMON STOCK      74005P104               2,081       50,000            37,000     13,000
Progenics Pharmaceuticals Incorporated   COMMON STOCK      743187106             152,552    2,179,313         1,704,501    474,812
Provant Inc                              COMMON STOCK      743724106               3,224      402,990           380,210     22,780
PSInet Incorporated                      COMMON STOCK      74437C101              10,664      313,500           296,701     16,799
Quantum Corp DLT & Storage               COMMON STOCK      747906204              11,698      979,900           925,444     54,456
Racing Champions Corporation             COMMON STOCK      750069106                 191       50,000            25,000     25,000
Radica Games Limited                     COMMON STOCK      G7342H107                 270       40,000            37,400      2,600
Radio Unica Comunications                COMMON STOCK      75040Q106                 295       25,000            23,353      1,647
Rambus Incorporated                      COMMON STOCK      750917106             119,980      407,400           385,342     22,058
Red Hat Inc.                             COMMON STOCK      756577102              21,476      506,800           479,960     26,840
Remec Incorporated                       COMMON STOCK      759543101              26,331      521,400           491,215     30,185
Reynolds & Reynolds Company (CLASS A)    COMMON STOCK      761695105               1,674       62,000            58,650      3,350
RPM Incorporated Ohio                    COMMON STOCK      749685103               2,750      250,000           188,672     61,328
Ryerson Tull Incorporated                COMMON STOCK      78375P107               3,875      250,000           185,830     64,170
Salton Inc                               COMMON STOCK      795757103              16,193      373,300           355,024     18,276
Sanchez Computer Associates Incorporated COMMON STOCK      799702105               8,378      238,520           220,040     18,480
Santa Cruz Operations Incorporated       COMMON STOCK      801833104                 169       18,000            16,383      1,617

COLUMN SUBTOTAL                                                                  721,317


<CAPTION>
                                                              Voting Authority
                                                     -------------------------------
             Name of Issuer            Managers      Sole          Shared      None
- ------------------------------------------------------------------------------------
<S>                                    <C>           <C>        <C>            <C>
MascoTech Incorporated                      1.          549,412    33,568
Mattel Inc                                  1.        8,115,919   459,981
MediaOne Group Incorporated                 1.           47,625    15,875
Metrocall Incorporated                      1.        2,294,403   142,717
MicroStrategy Incorporated                  1.           75,630     4,370
MP3.com                                     1.          233,030    12,670
Nabors Industries Incorporated              1.           37,000    13,000
Navistar International Corporation          1.        1,034,739    67,211
Newbridge Networks Corporation              1.          262,500    87,500
Novoste Corporation                         1.          181,476    74,124
NTN Communications, Inc.                    1.        1,948,720   116,680
Ocean Energy Incorporated                   1.          140,955   184,045
Octel Corporation                           1.          353,440    21,180
OPTi Incorporated                           1.          154,510    95,490
Organogenesis Incorporated                  1.          234,300    15,700
Paging Network Incorporated                 1.        1,163,498    81,502
Panja Inc                                   1.           81,467    43,533
Park Place Entertainment                    1.        2,646,351   149,649
Parkervision Incorporated                   1.          133,356     8,444
Perkinelmer Incorporated                    1.          662,641    37,459
Perle Systems Limited                       1.           94,600     5,400
Phelps Dodge Corporation                    1.           22,200     7,800
Pittston Brinks Group                       1.          966,320    55,640
Pivotal Corp                                1.           26,814     1,586
Playtex Products Inc.                       1.          217,675    12,325
PRAXAIR INC                                 1.           37,000    13,000
Progenics Pharmaceuticals Incorporated      1.        1,704,501   474,812
Provant Inc                                 1.          380,210    22,780
PSInet Incorporated                         1.          296,701    16,799
Quantum Corp DLT & Storage                  1.          925,444    54,456
Racing Champions Corporation                1.           25,000    25,000
Radica Games Limited                        1.           37,400     2,600
Radio Unica Comunications                   1.           23,353     1,647
Rambus Incorporated                         1.          385,342    22,058
Red Hat Inc.                                1.          479,960    26,840
Remec Incorporated                          1.          491,215    30,185
Reynolds & Reynolds Company (CLASS A)       1.           58,650     3,350
RPM Incorporated Ohio                       1.          188,672    61,328
Ryerson Tull Incorporated                   1.          185,830    64,170
Salton Inc                                  1.          355,024    18,276
Sanchez Computer Associates Incorporated    1.          220,040    18,480
Santa Cruz Operations Incorporated          1.           16,383     1,617
</TABLE>
<PAGE>

                         TUDOR INVESTMENT CORPORATION
              QUARTERLY REPORT DETAILING 13F ELIGIBLE SECURITIES
                             AS OF MARCH 31, 2000

<TABLE>
<CAPTION>
                                                                                                            Investment Discretion
                                                                                                         ---------------------------
                                                            Cusip           Fair Market    Shares or          Shared     Shared
             Name of Issuer              Title of Class     Number         Value (x1000)   Prin. Amt.     as defined      Other
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                      <C>               <C>             <C>             <C>            <C>           <C>
SCM Microsystems Incorporated            COMMON STOCK      784018103               9,458       97,500         91,036      6,464
Seachange International Incorporated     COMMON STOCK      811699107                 616       10,000          5,956      4,044
Seagate Technology Incorporated          COMMON STOCK      811804103             168,436    2,738,800      2,592,124    146,676
Sensormatic Electronics Corporation      COMMON STOCK      817265101              22,465    1,001,230        946,710     54,520
Shaw Communications Incorporated  B      COMMON STOCK      82028K200                 673       25,000         23,649      1,351
Sigma Aldrich Corporation                COMMON STOCK      826552101               1,344       50,000         37,000     13,000
Smithfield Foods Incorporated            COMMON STOCK      832248108               2,500      125,000         91,325     33,675
Snyder Communications Incorporated       COMMON STOCK      832914105               4,500      200,000        150,000     50,000
Southwest Gas Corporation                COMMON STOCK      844895102               1,906      100,000         62,150     37,850
Splash Technology Holdings Incorporated  COMMON STOCK      848623104               8,473      677,800        639,470     38,330
SPX Corporation                          COMMON STOCK      784635104              86,529      759,440        718,801     40,639
Sterling Software Inc                    COMMON STOCK      859547101              11,969      359,000        269,251     89,749
Sunoco Incorporated                      COMMON STOCK      86764P109               2,738      100,000         74,440     25,560
Sunquest Information Systems Inc.        COMMON STOCK      867654105               6,018      534,900        504,680     30,220
Symbol Technologies Inc.                 COMMON STOCK      871508107               7,029       85,400         80,572      4,828
Tektronix Incorporated                   COMMON STOCK      879131100              42,584      760,420        719,720     40,700
Telxon Corp.                             COMMON STOCK      879700102               2,652      151,000        142,486      8,514
Tenet Healthcare Corporation             COMMON STOCK      88033G100              54,291    2,360,490      2,234,139    126,351
The Mead Corporation                     COMMON STOCK      582834107                 873       25,000         18,690      6,310
Thermo Electron Corporation              COMMON STOCK      883556102              13,211      648,400        558,628     89,772
Thermo Instrument Systems Inc.           COMMON STOCK      883559106               7,871      373,700        353,674     20,026
TNP Enterprises Inc.                     COMMON STOCK      872594106               2,191       50,000         37,500     12,500
Todd AO Corp  Cl A                       COMMON STOCK      888896107                 335        9,700          5,600      4,100
Travelers Property Casualty Corporation  COMMON STOCK      893939108               2,063       50,000         37,500     12,500
TRW Incorporated                         COMMON STOCK      872649108              23,400      400,000        378,566     21,434
TSI INC MINN                             COMMON STOCK      872876107                 239       16,200          8,100      8,100
TV Guide Incorporated                    COMMON STOCK      87307Q109              18,819      391,560        369,972     21,588
Tyco International Limited               COMMON STOCK      902124106              20,050      400,000        378,566     21,434
U S WEST Inc                             COMMON STOCK      91273H101               9,078      125,000         93,750     31,250
Ucar International Inc.                  COMMON STOCK      90262K109               2,242      170,000        126,058     43,942
Union Pacific Resources Group            COMMON STOCK      907834105               1,450      100,000         74,000     26,000
United Globalcom Inc Class A             COMMON STOCK      913247508              57,859      770,800        736,429     34,371
UnumProvident Corp.                      COMMON STOCK      91529Y106                 340       20,000         18,929      1,071
US Foodservice                           COMMON STOCK      90331R101               2,575      100,000         75,000     25,000
USG Corp.                                COMMON STOCK      903293405               1,678       40,000         26,000     14,000
USX US STEEL GROUP                       COMMON STOCK      90337T101               1,000       40,000         29,600     10,400
USXMarathon Group                        COMMON STOCK      902905827               5,213      200,000        149,050     50,950
VA Linux Systems Inc                     COMMON STOCK      91819B105               5,193       86,000         81,380      4,620
Valero Energy Corporation                COMMON STOCK      91913Y100               1,531       50,000         37,027     12,973
Veeco Instruments Inc.                   COMMON STOCK      922417100              12,861      173,800        164,485      9,315
Verisign Inc.                            COMMON STOCK      92343E102               3,738       25,000         23,659      1,341
Veritas Software Corp.                   COMMON STOCK      923436109              39,300      300,000        223,800     76,200

COLUMN SUBTOTAL                                                                  667,291

<CAPTION>
                                                          Voting Authority
                                                  ----------------------------------

             Name of Issuer             Managers      Sole      Shared     None
- ------------------------------------------------------------------------------------
<S>                                     <C>         <C>         <C>        <C>
SCM Microsystems Incorporated             1.           91,036     6,464
Seachange International Incorporated      1.            5,956     4,044
Seagate Technology Incorporated           1.        2,592,124   146,676
Sensormatic Electronics Corporation       1.          946,710    54,520
Shaw Communications Incorporated  B       1.           23,649     1,351
Sigma Aldrich Corporation                 1.           37,000    13,000
Smithfield Foods Incorporated             1.           91,325    33,675
Snyder Communications Incorporated        1.          150,000    50,000
Southwest Gas Corporation                 1.           62,150    37,850
Splash Technology Holdings Incorporated   1.          639,470    38,330
SPX Corporation                           1.          718,801    40,639
Sterling Software Inc                     1.          269,251    89,749
Sunoco Incorporated                       1.           74,440    25,560
Sunquest Information Systems Inc.         1.          504,680    30,220
Symbol Technologies Inc.                  1.           80,572     4,828
Tektronix Incorporated                    1.          719,720    40,700
Telxon Corp.                              1.          142,486     8,514
Tenet Healthcare Corporation              1.        2,234,139   126,351
The Mead Corporation                      1.           18,690     6,310
Thermo Electron Corporation               1.          558,628    89,772
Thermo Instrument Systems Inc.            1.          353,674    20,026
TNP Enterprises Inc.                      1.           37,500    12,500
Todd AO Corp  Cl A                        1.            5,600     4,100
Travelers Property Casualty Corporation   1.           37,500    12,500
TRW Incorporated                          1.          378,566    21,434
TSI INC MINN                              1.            8,100     8,100
TV Guide Incorporated                     1.          369,972    21,588
Tyco International Limited                1.          378,566    21,434
U S WEST Inc                              1.           93,750    31,250
Ucar International Inc.                   1.          126,058    43,942
Union Pacific Resources Group             1.           74,000    26,000
United Globalcom Inc Class A              1.          736,429    34,371
UnumProvident Corp.                       1.           18,929     1,071
US Foodservice                            1.           75,000    25,000
USG Corp.                                 1.           26,000    14,000
USX US STEEL GROUP                        1.           29,600    10,400
USXMarathon Group                         1.          149,050    50,950
VA Linux Systems Inc                      1.           81,380     4,620
Valero Energy Corporation                 1.           37,027    12,973
Veeco Instruments Inc.                    1.          164,485     9,315
Verisign Inc.                             1.           23,659     1,341
Veritas Software Corp.                    1.          223,800    76,200
</TABLE>
<PAGE>

                         TUDOR INVESTMENT CORPORATION
              QUARTERLY REPORT DETAILING 13F ELIGIBLE SECURITIES
                             AS OF MARCH 31, 2000

<TABLE>
<CAPTION>
                                                                                                 Investment Discretion
                                                                                                -----------------------
                                                       Cusip       Fair Market      Shares or      Shared     Shared
             Name of Issuer          Title of Class    Number      Value (x1000)    Prin. Amt.   as defined    Other    Managers
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>            <C>           <C>              <C>          <C>          <C>       <C>
Via Net.Works IncOrd. Shares          COMMON STOCK   925912107           892           30,000       23,080      6,920       1.
VIVUS Incorporated                    COMMON STOCK   928551100         5,098          615,700      588,300     27,400       1.
VoiceStream Wireless Corporation      COMMON STOCK   928615103        96,603          749,950      709,795     40,155       1.
W.R. Grace & Company (NEW)            COMMON STOCK   38388F108         1,030           80,000       59,200     20,800       1.
Wave Systems Corp                     COMMON STOCK   943526103         1,997           50,000       47,000      3,000       1.
Western Wireless Corporation          COMMON STOCK   95988E204        69,006        1,506,270    1,425,636     80,634       1.
WICOR Incorporated                    COMMON STOCK   929253102           264            8,500        6,375      2,125       1.
Williams Cos Inc                      COMMON STOCK   969457100         4,394          100,000       74,000     26,000       1.
WMS Industries Incorporated           COMMON STOCK   929297109         2,624          265,750      250,730     15,020       1.
Young and Rubicam Incorporated        COMMON STOCK   987425105        16,450          350,000      331,245     18,755       1.
ZD Net Group                          COMMON STOCK   989511209         1,488           70,000       66,270      3,730       1.
Zoltek Companies Incorporated         COMMON STOCK   98975W104         1,463          158,800      150,700      8,100       1.
Zonagen Incorporated                  COMMON STOCK   98975L108         2,506          292,700      269,500     23,200       1.
Chaparral Resources Inc.              COMMON STOCK   159420306           211           22,222       21,089      1,133       1.
Crossroads Systems Inc                COMMON STOCK   22765D100         9,293          100,002      100,002          -       1.
Healthaxis Inc.                       COMMON STOCK   42219D100         8,000          550,000      550,000          -       1.
Information Resources Engineering     COMMON STOCK   45675F303         1,813           50,000       50,000          -       1.
Softlock.Com Inc.                     COMMON STOCK   83402W109         3,000        1,875,000    1,875,000          -       1.
United Shipping & Tech                COMMON STOCK   911498103         9,037          895,522      895,522          -       1.
Vixel Corporation                     COMMON STOCK   928552108         4,777          296,296      262,050     34,246       1.
CTX 20000421 20.000 P E NYSE          PUT OPTION     152312904         1,847           75,000       25,100     49,900       1.
CTX 20000421 30.000 C E NYSE          CALL OPTION    152312954           862           35,000       11,000     24,000       1.
HCR 20000519 12.500 C E NONE          CALL OPTION    564055951           181           25,000        6,200     18,800       1.
DD 20000721 45.000 P E NYSE           PUT OPTION     263534959         1,281           25,000        6,500     18,500       1.
RLM 20000818 50.000 P E NYSE          PUT OPTION     761763951         1,694           25,000        6,500     18,500       1.
CA 20000519 80.000 C E NONE           CALL OPTION    204915909         2,791           54,200       13,400     40,800       1.
HRD 20000722 60.000 C A NYSE          CALL OPTION    410550907           440            6,000        1,500      4,500       1.
FJ 20000616 25.000 P E NYSE           PUT OPTION     347471954           611           25,000        8,400     16,600       1.
FSCO 20000422 10.000 C A NYSE         CALL OPTION    336294903         1,444          100,000       24,900     75,100       1.
USW 20000722 70.000 C A NYSE          CALL OPTION    91273H901         3,716           50,000       12,500     37,500       1.
CG 20010119 60.000 C A NYSE           CALL OPTION    197648908         4,550           70,000       17,500     52,500       1.

COLUMN SUBTOTAL                                                      259,363

GRAND TOTAL                                                        3,744,910

<CAPTION>
                                                Voting Authority
                                       ---------------------------------
             Name of Issuer                 Sole      Shared     None
- ------------------------------------------------------------------------
<S>                                     <C>          <C>        <C>
Via Net.Works IncOrd. Shares               23,080     6,920
VIVUS Incorporated                        588,300    27,400
VoiceStream Wireless Corporation          709,795    40,155
W.R. Grace & Company (NEW)                 59,200    20,800
Wave Systems Corp                          47,000     3,000
Western Wireless Corporation            1,425,636    80,634
WICOR Incorporated                          6,375     2,125
Williams Cos Inc                           74,000    26,000
WMS Industries Incorporated               250,730    15,020
Young and Rubicam Incorporated            331,245    18,755
ZD Net Group                               66,270     3,730
Zoltek Companies Incorporated             150,700     8,100
Zonagen Incorporated                      269,500    23,200
Chaparral Resources Inc.                   21,089     1,133
Crossroads Systems Inc                    100,002         -
Healthaxis Inc.                           550,000         -
Information Resources Engineering          50,000         -
Softlock.Com Inc.                       1,875,000         -
United Shipping & Tech                    895,522         -
Vixel Corporation                         262,050    34,246
CTX 20000421 20.000 P E NYSE               25,100    49,900
CTX 20000421 30.000 C E NYSE               11,000    24,000
HCR 20000519 12.500 C E NONE                6,200    18,800
DD 20000721 45.000 P E NYSE                 6,500    18,500
RLM 20000818 50.000 P E NYSE                6,500    18,500
CA 20000519 80.000 C E NONE                13,400    40,800
HRD 20000722 60.000 C A NYSE                1,500     4,500
FJ 20000616 25.000 P E NYSE                 8,400    16,600
FSCO 20000422 10.000 C A NYSE              24,900    75,100
USW 20000722 70.000 C A NYSE               12,500    37,500
CG 20010119 60.000 C A NYSE                17,500    52,500
</TABLE>


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