Point72 Asset Management increased its position in Kindred Healthcare, Inc. (KND). The fund bought 85,989 shares of the auto parts company’s stock, valued at approximately $6,267,000. Stock Company Name % of Portfolio Shares Value % Change Change Point72 Asset Management is based out of Stamford. Other institutional investors and hedge funds also recently bought and sold shares of the company. Point72 Asset Management L.P. owned […] There are 8 companies in the POINT72 UK LIMITED corporate family. Point72 Asset Management L.P. lessened its holdings in shares of Enerplus Co. (NYSE:ERF) (TSE:ERF) by 37.0% during the third quarter, according to the company in its most recent filing with the Securities and Exchange Commission. A 13G filing in January noted that the fund owns 5,729,399 shares of the company. Point72 Asset Management L.P. purchased a new stake in shares of Canadian Solar Inc. (NASDAQ:CSIQ) during the 3rd quarter, according to the company in its most recent filing with the Securities & Exchange Commission. Point72 complies with applicable, local, state and federal laws on the subject of equal employment opportunity. LTD. Point72 Hong Kong Limited; POINT72 FRANCE; CUBIST SYSTEMATIC STRATEGIES, LLC; Relationship Details Business Entity Relationship Active. POINT72 UK LIMITED is located in LONDON, United Kingdom and is part of the Mutual Fund Management Industry. In 2018, the firm reopened to external investors after a two-year ban and began accepting outside capital. Current Assets for Point72 Asset Management is $11,000,000,000 and SWFI has 1 periods of historical assets, 5 subsidiaries, 13 transactions, 6 personal contacts available for CSV Export. Point72 Asset Management L.P. acquired a new stake in shares of The Walt Disney Company (NYSE:DIS) during the third quarter, HoldingsChannel.com reports. Portfolio Manager at Point72 Asset Management. Point72 | 79,274 followers on LinkedIn. Point72 Asset Management is a global firm led by Steven Cohen that invests in multiple asset classes and strategies worldwide. Stamford, CT. Jon Thompson. Point72 Asset Management L.P. owned 0.10% of […] POINT72 UK LIMITED has 3 employees at this location and generates $108.58 million in sales (USD). Capital and Analyst at Citi Investment Banking. The institutional investor owned 4,820,900 shares of the oil and natural gas company’s stock after selling 2,834,175 shares during the […] The institutional investor acquired 160,365 shares of the entertainment giant’s stock, valued at approximately $19,898,000. On the second spot was AQR Capital Management which amassed $30.1 million worth of shares. Jon Thompson Portfolio Manager at Point72 Asset Management. The fund bought 8,600 shares of the specialty chemicals company’s stock, valued at approximately $497,000. The institutional investor owned 114,476 shares of the company’s stock after selling 41,263 shares during the period. SAC Capital Advisors was founded in 1992 and converted its investment operations to the Point72 Asset Management family office in 2014. Top 50 Point72 Asset Management Holdings . Point72 Asset Management Holdings Heatmap . The fund owned 81,844 shares of the asset manager’s stock after acquiring an additional 78,700 shares during the period. Point72 Asset Management and Qihoo 360 Technology Point72 exited its position in Qihoo 360 Technology (QIHU) during 4Q14. Point72 Asset Management is a hedge fund with 17 clients and discretionary assets under management (AUM) of $91,332,002,764 (Form ADV from 2020-10-09). Point72 Asset Management, L.P. (Point72 Asset Management) is a Family Office located in Stamford, Connecticut United States, North America. Point72 Asset Management L.P. Info: Size ($ in 1000's) At 03/31/2020: $12,310,683 At 12/31/2019: $19,018,144 Point72 Asset Management L.P. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Point72 Asset Management L.P. 13F filings. Point72 Asset Management reflects at least two things of significance. Subsidiaries. Point72 Asset Management L.P.’s holdings […] The fund held 930,400 shares of Qihoo 360 at the end of 3Q14. New York, NY. Point72 Asset Management does not seek, solicit or accept investors that are not eligible family clients, as defined in the rules promulgated under the U.S. Investment Advisers Act of 1940, as amended. Point72 Asset Management is a hedge fund in Stamford with $91.33B assets under management. The firm owned 1,500,499 shares of the oil and gas producer’s stock after purchasing an additional 1,272,633 shares during the quarter. POINT72 AUSTRALIA PTY LIMITED; POINT72 ASIA (SINGAPORE) PTE. Point72 Asset Management L.P. boosted its stake in State Street Co. (NYSE:STT) by 2,503.2% during the 3rd quarter, according to its most recent Form 13F filing with the Securities and Exchange Commission (SEC). Point72 Asset Management L.P. grew its holdings in shares of Brinker International, Inc. (NYSE:EAT) by 23.7% during the third quarter, according to the company in its most recent disclosure with the SEC. The fund purchased 160,365 shares of the entertainment giant’s stock, valued at approximately $19,898,000. Under Haynes, Point72 Asset Management beefed up oversight, adding a 50-person compliance team housed on the trading floor that monitors emails and phone calls. Point72 Asset Management L.P. bought a new stake in Autoliv, Inc. (NYSE:ALV) during the third quarter, according to the company in its most recent Form 13F filing with the Securities & Exchange Commission. Point72 is an Equal Opportunity Employer. The firm purchased 15,374 shares of the business services provider’s stock, valued at approximately $761,000. Point72 Asset Management L.P. Info: Size ($ in 1000's) At 09/30/2020: $19,532,023 At 06/30/2020: $15,331,618 Combined Holding Report Includes: Point72 Asset Management L.P. Cubist Systematic Strategies LLC Point72 Hong Kong Ltd Point72 Europe London LLP Point72 Asset Management, L.P. is a family office and as such is not required to register as an investment adviser with the U.S. Securities and Exchange Commission. In terms of the portfolio weights assigned to each position Parsifal Capital Management allocated the biggest weight to Renewable Energy Group Inc (NASDAQ:REGI), around 5.25% of its 13F portfolio. Point72 Asset Management L.P. boosted its position in Occidental Petroleum Co. (NYSE:OXY) by 558.5% in the 3rd quarter, according to its most recent filing with the Securities and Exchange Commission (SEC). Several other hedge funds and other institutional investors also recently bought and sold shares of the business. Point72 Asset Management L.P. purchased a new position in The Walt Disney Company (NYSE:DIS) in the 3rd quarter, HoldingsChannel reports. The institutional investor purchased 1,346,202 shares of the basic materials company’s stock, valued at approximately $17,837,000. Among these funds, Point72 Asset Management held the most valuable stake in Avery Dennison Corporation (NYSE:AVY), which was worth $38.1 million at the end of the third quarter. Steve Fedorko, CFA, CPA. Tweet. The fund purchased 161,265 shares of the solar energy provider’s stock, valued at approximately $5,660,000. Point72 Asset Management increased its position in RCS Capital Corp .A 13G filing in January noted that the fund owns 4,486,326 shares of the company. Point72 Asset Management, L.P., is an American hedge fund. 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