Hudson Bay Capital Management Lp (1393825) Portfolio


Number of Companies: 149
Inflow: $455,484 K
Outflow: $-161,628 K
Net Flow: $293,856 K
2016-06-30: Recent SEC Filing
2016-03-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
2 1 Yahoo Inc (YHOO) Internet Media 7,385,446 Added More 4,819,753 $37.56 $181,029 $277,397
242 6 Medivation Inc (MDVN) Biotech 450,000 New Holding 450,000 $60.30 $27,135 $27,135
2889 12 Cbs Corp-Class B Non Voting (CBS) Entertainment Content 280,000 New Holding 280,000 $54.44 $15,243 $15,243
2971 79 Occidental Petroleum Corp (OXY) Exploration And Production 195,800 New Holding 195,800 $75.56 $14,794 $14,794
2468 108 Rouse Properties Inc (RSE) Reit 701,706 New Holding 701,706 $18.25 $12,806 $12,806
2791 27 St Jude Medical Inc (STJ) Medical Devices 115,068 New Holding 115,068 $78.00 $8,975 $8,975
46 2 Sarepta Therapeutics Inc (SRPT) Biotech 455,000 New Holding 455,000 $19.07 $8,676 $8,676
2153 238 Comerica Inc (CMA) Banks 200,000 New Holding 200,000 $41.13 $8,226 $8,226
2990 40 Mondelez International Inc-A (MDLZ) Packaged Food 173,967 New Holding 173,967 $45.51 $7,917 $7,917
8 1 Herbalife Ltd (HLF) Packaged Food 164,711 Added More 134,711 $58.53 $7,884 $9,640
2633 17 Emc Corpma (EMC) Computer Hardware And Storage 267,808 New Holding 267,808 $27.17 $7,276 $7,276
2761 11 Viacom Inc-Class B (VIAB) Entertainment Content 150,000 New Holding 150,000 $41.47 $6,220 $6,220
2857 53 Biomarin Pharmaceutical Inc (BMRN) Biotech 168,000 Added More 78,000 $77.80 $6,068 $13,070
2710 51 F5 Networks Inc (FFIV) Communications Equipment 50,000 New Holding 50,000 $113.84 $5,692 $5,692
3020 26 United Technologies Corp (UTX) Aircraft And Parts 54,286 New Holding 54,286 $102.55 $5,567 $5,567
2984 25 Netflix Inc (NFLX) Internet Media 52,144 New Holding 52,144 $91.48 $4,770 $4,770
2835 32 Kla-Tencor Corp (KLAC) Semiconductor Mfg 60,776 New Holding 60,776 $73.25 $4,451 $4,451
2771 26 Fidelity National Info Serv (FIS) Consumer Finance 59,714 New Holding 59,714 $73.68 $4,399 $4,399
2832 19 Williams Cos Inc (WMB) Midstream Oil And Gas 225,000 Added More 199,745 $21.63 $4,320 $4,866
3002 31 Dow Chemical Cothe (DOW) Basic And Diversified Chemicals 86,750 New Holding 86,750 $49.71 $4,312 $4,312
3079 54 Apple Inc (AAPL) Communications Equipment 44,673 New Holding 44,673 $95.60 $4,270 $4,270
2347 21 Total System Services Inc (TSS) Consumer Finance 75,278 New Holding 75,278 $53.11 $3,998 $3,998
2979 53 Cisco Systems Inc (CSCO) Communications Equipment 133,049 New Holding 133,049 $28.69 $3,817 $3,817
2974 36 Chipotle Mexican Grill Inc (CMG) Restaurants 9,306 New Holding 9,306 $402.76 $3,748 $3,748
2921 14 Delta Air Lines Inc (DAL) Airlines 95,611 New Holding 95,611 $36.43 $3,483 $3,483
11 1 Western Digital Corp (WDC) Computer Hardware And Storage 73,300 New Holding 73,300 $47.26 $3,464 $3,464
629 7 Baidu Inc (BIDU) Internet Media 20,321 New Holding 20,321 $165.15 $3,356 $3,356
3019 8 Union Pacific Corp (UNP) Rail Freight 36,928 New Holding 36,928 $87.25 $3,221 $3,221
2935 78 Anadarko Petroleum Corp (APC) Exploration And Production 60,000 New Holding 60,000 $53.25 $3,195 $3,195
2467 20 Valspar Corpthe (VAL) Specialty Chemicals 27,000 New Holding 27,000 $108.03 $2,916 $2,916
2883 24 Linkedin Corp - A (LNKD) Internet Media 14,000 New Holding 14,000 $189.25 $2,649 $2,649
3080 12 Amazoncom Inc (AMZN) Ecommerce Discretionary 3,655 New Holding 3,655 $715.62 $2,615 $2,615
2726 27 Lululemon Athletica Inc (LULU) Specialty Apparel Stores 35,056 New Holding 35,056 $73.86 $2,589 $2,589
75 2 Keycorp (KEY) Banks 221,607 New Holding 221,607 $11.05 $2,448 $2,448
3050 14 Wells Fargo And Co (WFC) Diversified Banks 51,392 New Holding 51,392 $47.33 $2,432 $2,432
3074 26 Facebook Inc-A (FB) Internet Media 20,860 New Holding 20,860 $114.28 $2,383 $2,383
2811 75 Range Resources Corp (RRC) Exploration And Production 52,575 New Holding 52,575 $43.14 $2,268 $2,268
3017 8 Wal-Mart Stores Inc (WMT) Mass Merchants 31,028 New Holding 31,028 $73.02 $2,265 $2,265
111 1 Johnson Controls Inc (JCI) Auto Parts 47,500 New Holding 47,500 $44.26 $2,102 $2,102
243 2 Allison Transmission Holding (ALSN) Commercial Vehicles 73,004 New Holding 73,004 $28.23 $2,060 $2,060
2605 14 Air Lease Corp (AL) Commercial Finance 68,712 New Holding 68,712 $26.78 $1,840 $1,840
3051 57 Gilead Sciences Inc (GILD) Biotech 21,450 New Holding 21,450 $83.42 $1,789 $1,789
3056 27 Boeing Cothe (BA) Aircraft And Parts 13,309 New Holding 13,309 $129.87 $1,728 $1,728
3054 25 Intuitive Surgical Inc (ISRG) Medical Equipment 2,556 New Holding 2,556 $661.41 $1,690 $1,690
76 1 Canadian Pacific Railway Ltd (CP) Rail Freight 12,596 New Holding 12,596 $128.79 $1,622 $1,622
553 14 Cree Inc (CREE) Semiconductor Devices 60,325 New Holding 60,325 $24.44 $1,474 $1,474
2731 4 Genesee And Wyoming Inc-Cl A (GWR) Rail Freight 24,015 New Holding 24,015 $58.95 $1,415 $1,415
454 3 Builders Firstsource Inc (BLDR) Home Products Stores 114,736 New Holding 114,736 $11.25 $1,290 $1,290
2860 15 Marathon Petroleum Corp (MPC) Refining And Marketing 33,507 New Holding 33,507 $37.96 $1,271 $1,271
622 5 Wr Grace And Co (GRA) Specialty Chemicals 27,366 Added More 17,222 $73.21 $1,260 $2,003
3078 18 Priceline Group Incthe (PCLN) Internet Based Services 990 New Holding 990 $1248.41 $1,235 $1,235
2688 6 Realogy Holdings Corp (RLGY) Real Estate Services 40,000 New Holding 40,000 $29.02 $1,160 $1,160
2983 10 Humana Inc (HUM) Managed Care 5,979 New Holding 5,979 $179.88 $1,075 $1,075
2283 17 Avery Dennison Corp (AVY) Specialty Chemicals 14,312 New Holding 14,312 $74.75 $1,069 $1,069
2762 29 American Eagle Outfitters (AEO) Specialty Apparel Stores 66,500 New Holding 66,500 $15.93 $1,059 $1,059
3011 13 Citigroup Inc (C) Diversified Banks 24,051 New Holding 24,051 $42.39 $1,019 $1,019
533 1 Allegiant Travel Co (ALGT) Airlines 6,700 New Holding 6,700 $151.50 $1,015 $1,015
2592 79 Adobe Systems Inc (ADBE) Application Software 10,500 New Holding 10,500 $95.79 $1,005 $1,005
3009 8 General Dynamics Corp (GD) Defense Primes 7,000 New Holding 7,000 $139.24 $974 $974
3046 32 Air Products And Chemicals Inc (APD) Basic And Diversified Chemicals 6,839 New Holding 6,839 $142.04 $971 $971
2854 6 Vulcan Materials Co (VMC) Cement And Aggregates 7,801 New Holding 7,801 $120.36 $938 $938
769 6 On Assignment Inc (ASGN) Professional Services 24,800 New Holding 24,800 $36.95 $916 $916
1037 22 Loral Space And Communications (LORL) Communications Equipment 88,643 Added More 24,874 $35.27 $877 $3,126
1112 3 Big Lots Inc (BIG) Mass Merchants 17,000 New Holding 17,000 $50.11 $851 $851
2894 15 Morgan Stanley (MS) Institutional Brokerage 32,100 New Holding 32,100 $25.98 $833 $833
2445 21 Yelp Inc (YELP) Internet Media 24,511 New Holding 24,511 $30.36 $744 $744
2212 16 Ferro Corp (FOE) Specialty Chemicals 118,011 Added More 54,933 $13.38 $735 $1,578
2818 5 Dollar General Corp (DG) Mass Merchants 7,600 New Holding 7,600 $94.00 $714 $714
38 3 Continental Resources Incok (CLR) Exploration And Production 15,454 New Holding 15,454 $45.27 $699 $699
2626 34 Buffalo Wild Wings Inc (BWLD) Restaurants 5,000 New Holding 5,000 $138.95 $694 $694
71 3 Fairchild Semiconductor Inte (FCS) Semiconductor Devices 571,954 Added More 33,797 $19.85 $670 $11,353
2684 27 Visteon Corp (VC) Auto Parts 17,370 Added More 9,813 $65.81 $645 $1,143
3030 69 Intel Corp (INTC) Semiconductor Devices 19,414 New Holding 19,414 $32.80 $636 $636
2847 21 Aflac Inc (AFL) Life Insurance 8,600 New Holding 8,600 $72.16 $620 $620
2380 15 Whole Foods Market Inc (WFM) Food And Drug Stores 19,203 New Holding 19,203 $32.02 $614 $614
2634 3 Tiffany And Co (TIF) Jewelry And Watch Stores 10,000 New Holding 10,000 $60.64 $606 $606
3072 34 Microsoft Corp (MSFT) Infrastructure Software 11,750 New Holding 11,750 $51.17 $601 $601
63 1 Childrens Place Incthe (PLCE) Specialty Apparel Stores 7,000 New Holding 7,000 $80.18 $561 $561
3042 9 Northrop Grumman Corp (NOC) Defense Primes 2,500 New Holding 2,500 $222.28 $555 $555
2553 27 Interxion Holding Nv (INXN) Infrastructure Software 15,000 New Holding 15,000 $36.88 $553 $553
1049 2 Diebold Inc (DBD) Transaction Mgmt Systems 22,000 New Holding 22,000 $24.83 $546 $546
3004 37 Yum Brands Inc (YUM) Restaurants 6,563 New Holding 6,563 $82.92 $544 $544
41 3 Whitewave Foods Co (WWAV) Packaged Food 11,400 New Holding 11,400 $46.94 $535 $535
2643 17 First Solar Inc (FSLR) Renewable Energy Equipment 10,820 New Holding 10,820 $48.48 $524 $524
3034 27 Sherwin-Williams Cothe (SHW) Specialty Chemicals 1,750 New Holding 1,750 $293.67 $513 $513
54 1 Ingersoll-Rand Plc (IR) Comml And Res Bldg Equip And Sys 16,308 Added More 7,908 $63.68 $503 $1,038
2082 27 New York Times Co-A (NYT) Publishing And Broadcasting 41,300 New Holding 41,300 $12.10 $499 $499
626 3 Lithia Motors Inc-Cl A (LAD) Automotive Retailers 7,000 New Holding 7,000 $71.07 $497 $497
2671 19 Sealed Air Corp (SEE) Containers And Packaging 10,270 New Holding 10,270 $45.97 $472 $472
35 1 Lions Gate Entertainment Cor (LGF) Entertainment Content 23,000 New Holding 23,000 $20.23 $465 $465
2290 9 Gamestop Corp-Class A (GME) Other Spec Retail Discr 17,119 New Holding 17,119 $26.58 $455 $455
1913 20 Bloomin Brands Inc (BLMN) Restaurants 24,000 New Holding 24,000 $17.87 $428 $428
2946 21 Hca Holdings Inc (HCA) Health Care Facilities 5,310 New Holding 5,310 $77.01 $408 $408
1974 8 Vitamin Shoppe Inc (VSI) Other Spec Retail Discr 13,000 New Holding 13,000 $30.57 $397 $397
2638 3 Nasdaq Inc (NDAQ) Security And Cmdty Exchanges 6,000 New Holding 6,000 $64.67 $388 $388
607 2 Dish Network Corp-A (DISH) Cable And Satellite 37,800 Added More 6,800 $52.40 $356 $1,980
2896 7 Stericycle Inc (SRCL) Waste Management 3,220 New Holding 3,220 $104.12 $335 $335
1133 39 Mgt Capital Investments Inc (MGT) Application Software 80,296 New Holding 80,296 $3.82 $306 $306
2488 23 Magna International Inc (MGA) Auto Parts 8,375 New Holding 8,375 $35.07 $293 $293
154 2 Nexstar Broadcasting Group-A (NXST) Publishing And Broadcasting 39,952 Added More 6,100 $47.58 $290 $1,900
2623 14 Restoration Hardware Holding (RH) Home Products Stores 10,000 New Holding 10,000 $28.68 $286 $286
450 2 Mdc Partners Inc-A (MDCA) Advertising And Marketing 14,600 New Holding 14,600 $18.29 $267 $267
45 2 Tempur Sealy International I (TPX) Home And Office Furnishings 4,500 New Holding 4,500 $55.32 $248 $248
89 1 Wynn Resorts Ltd (WYNN) Casinos And Gaming 2,693 New Holding 2,693 $90.64 $244 $244
2869 51 Baker Hughes Inc (BHI) Oil And Gas Services And Equip 4,500 New Holding 4,500 $45.13 $203 $203
2778 11 Bank Of America Corp (BAC) Diversified Banks 14,076 New Holding 14,076 $13.27 $186 $186
3052 34 Visa Inc-Class A Shares (V) Consumer Finance 17,600 Added More 2,031 $74.17 $150 $1,305
1411 32 Quicklogic Corp (QUIK) Semiconductor Devices 47,077 Added More 26,400 $0.97 $25 $45
1313 13 Isoray Inc (ISR) Medical Equipment 10,200 New Holding 10,200 $0.87 $8 $8
2558 14 Sba Communications Corp-Cl A (SBAC) Infrastructure Construction 37,600 No Change 0 $107.94 $0 $4,058
2546 26 Red Hat Inc (RHT) Infrastructure Software 130,800 Sold Some -100 $72.60 $-7 $9,496
2427 34 Infosys Ltd (INFY) It Services 23,200 Sold Some -800 $17.85 $-14 $414
2550 65 Chesapeake Energy Corp (CHK) Exploration And Production 0 Sold All -12,763 $4.28 $-54 $0
2764 31 Harman International (HAR) Auto Parts 4,000 Sold Some -1,839 $71.82 $-132 $287
2056 40 Phh Corp (PHH) Mortgage Finance 0 Sold All -14,420 $13.32 $-192 $0
2774 60 Level 3 Communications Inc (LVLT) Telecom Carriers 0 Sold All -4,000 $51.49 $-205 $0
2964 15 United Continental Holdings (UAL) Airlines 6,602 Sold Some -5,338 $41.04 $-219 $270
2566 57 Cogent Communications Holdin (CCOI) Telecom Carriers 0 Sold All -5,500 $40.06 $-220 $0
2916 53 National Oilwell Varco Inc (NOV) Oil And Gas Services And Equip 0 Sold All -11,428 $33.65 $-384 $0
2122 25 Jack In The Box Inc (JACK) Restaurants 0 Sold All -5,350 $85.92 $-459 $0
473 12 Oceaneering Intl Inc (OII) Oil And Gas Services And Equip 0 Sold All -15,410 $29.86 $-460 $0
2993 54 Schlumberger Ltd (SLB) Oil And Gas Services And Equip 0 Sold All -5,965 $79.08 $-471 $0
1601 40 Medicinova Inc (MNOV) Specialty Pharma 0 Sold All -100,000 $7.55 $-755 $0
2871 31 Ross Stores Inc (ROST) Specialty Apparel Stores 0 Sold All -14,000 $56.69 $-793 $0
3069 19 Autozone Inc (AZO) Automotive Retailers 0 Sold All -1,000 $793.84 $-793 $0
2595 9 Spirit Airlines Inc (SAVE) Airlines 10,935 Sold Some -19,965 $44.87 $-895 $490
720 16 Newmont Mining Corp (NEM) Precious Metal Mining 0 Sold All -24,459 $39.12 $-956 $0
3013 9 Mckesson Corp (MCK) Health Care Supply Chain 0 Sold All -6,000 $186.65 $-1,119 $0
2699 49 Core Laboratories Nv (CLB) Oil And Gas Services And Equip 0 Sold All -10,771 $123.89 $-1,334 $0
1550 38 Pharmathene Inc (PIP) Specialty Pharma 2,501,040 Sold Some -632,354 $2.44 $-1,542 $6,102
2407 45 Mrc Global Inc (MRC) Oil And Gas Services And Equip 0 Sold All -113,659 $14.21 $-1,615 $0
2146 40 Dril-Quip Inc (DRQ) Oil And Gas Services And Equip 0 Sold All -31,451 $58.43 $-1,837 $0
2406 44 Oil States International Inc (OIS) Oil And Gas Services And Equip 0 Sold All -56,054 $32.88 $-1,843 $0
98 1 Fmc Technologies Inc (FTI) Oil And Gas Services And Equip 0 Sold All -73,610 $26.67 $-1,963 $0
2408 46 Nabors Industries Ltd (NBR) Oil And Gas Services And Equip 0 Sold All -209,062 $10.05 $-2,101 $0
186 4 Forum Energy Technologies In (FET) Oil And Gas Services And Equip 0 Sold All -142,709 $17.31 $-2,470 $0
2786 9 Ingram Micro Inc-Cl A (IM) Consumer Elec And Applc Whslrs 63,915 Sold Some -87,279 $34.78 $-3,035 $2,222
3010 11 Aetna Inc (AET) Managed Care 0 Sold All -25,100 $122.13 $-3,065 $0
379 7 Superior Energy Services Inc (SPN) Oil And Gas Services And Equip 0 Sold All -169,721 $18.41 $-3,124 $0
139 1 Us Silica Holdings Inc (SLCA) Other Mined Minerals 0 Sold All -93,623 $34.47 $-3,227 $0
556 9 Axiall Corp (AXLL) Basic And Diversified Chemicals 0 Sold All -107,568 $32.61 $-3,507 $0
2162 4 Macys Inc (M) Department Stores 0 Sold All -125,100 $33.61 $-4,204 $0
2404 31 Agl Resources Inc (GAS) Utility Networks 0 Sold All -65,928 $65.97 $-4,349 $0
2714 11 Staples Inc (SPLS) Other Spec Retail Discr 0 Sold All -682,286 $8.62 $-5,881 $0
2893 52 Halliburton Co (HAL) Oil And Gas Services And Equip 0 Sold All -150,062 $45.29 $-6,796 $0
152 1 Office Depot Inc (ODP) Other Spec Retail Discr 1,582,016 Sold Some -2,428,744 $3.31 $-8,039 $5,236
2902 23 Metlife Inc (MET) Life Insurance 0 Sold All -250,000 $39.83 $-9,957 $0
218 3 Starz - A (STRZA) Entertainment Content 0 Sold All -392,374 $29.92 $-11,739 $0
2938 11 Starwood Hotels And Resorts (HOT) Lodging 30,000 Sold Some -971,681 $73.95 $-71,855 $2,218