Stock Ideas
Hedge Fund Trade Spotlight
High Conviction IPO Stocks
Biotech Stocks that Hedge Funds are Buying
Top Undervalued Stock Picks
50 Stocks that Matter Most to Hedge Funds
Stocks
Validate Your Stock
Consensus Stock Picks
Real-Time Insights
Hedge Funds
Hedge Fund Portfolios
Hedge Fund Managers
Find Your Hedge Fund Match
HM Pro
Pro Stock Screener
Institutional Portfolios
Institutional Investors
Sign In
Subscribe Now
2-Weeks Free Trial
HedgeMind.com
>
Institutional Portfolios
>
ETON PARK CAPITAL MANAGEMENT LP
> 2017-03-31
Find Institutional Investor
Institutional Investor
Browse Institutional Investors
Time Period
2017-03-31
2016-12-31
2016-09-30
2016-06-30
2016-03-31
2015-12-31
2015-09-30
2015-06-30
2015-03-31
Activity
All
New
Increased
Unchanged
Decreased
Sold Out
Security Type
All
Stock
Options (PUT, CALL)
Fixed Income
Top Percentile
?
Use this filter to see holdings within a selected percentile portfolio.
For example, click
10
to show only holdings in the top 10 percentile.
100
90
80
70
60
50
40
30
20
10
%
Sectors
?
Use the pull down list to add one or more sectors to the space below and click Apply to filter out the holdings that belong to your selected sector(s).
Apply
Clear
< select a sector >
Basic Industries
Capital Goods
Consumer Durables
Consumer Non-Durables
Consumer Services
Energy
Finance
Health Care
Miscellaneous
Public Utilities
Technology
Transportation
n/a
unidentified
Stock Style
?
Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
Reset
Style
Market Cap
Large
Value
Mid
Blend
Small
Growth
4
0
1
0
0
0
4
1
2
ETON PARK CAPITAL MANAGEMENT LP
(
Eric Mindich
)
Time Period
2017-03-31
Total Holdings
25
Total Value
($x1000)
2,281,117
Activities
New
7
Increased
2
Unchanged
1
Decreased
15
Sold Out
30
Top 10 Stock Holdings
total 51.07%
NXPI
9.18
CMCSA
7.61
MSFT
6.89
RAI
6.15
FANG
5.65
 
V
4.82
SYT
3.16
CDK
2.83
KMI
2.51
BAC
2.27
-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
Portfolio Weight (%)
Growth or Value
Position Value
Change Rate
Sector
A-Z
Graph
GLD
24.72%
CALL
NXPI
9.18%
COM
CMCSA
7.61%
CL A
MSFT
6.89%
COM
RAI
6.15%
COM
FANG
5.65%
COM
V
4.82%
COM CL A
VXX
4.15%
CALL
VXX
3.29%
PUT
SYT
3.16%
SPONSORED ADR
CDK
2.83%
COM
KMI
2.51%
COM
CMCSA
2.39%
CALL
BAC
2.27%
COM
WR
2.06%
COM
MJN
1.95%
CALL
MSFT
1.88%
CALL
FANG
1.73%
CALL
RSPP
1.63%
CALL
BIIB
1.33%
COM
MS
1.31%
COM NEW
WFC
0.98%
CALL
EA
0.78%
COM
DVMT
0.41%
COM CL V
PNC
0.31%
CALL
WWAV
6.47%
COM CL A
STJ
5.05%
COM
CMA
2.8%
COM
KMI
2.67%
CALL
BIIB
2.25%
CALL
JPM
2.23%
CALL
BABA
2%
CALL
AWI
1.92%
COM
BAC
1.76%
CALL
MHK
1.65%
COM
PXD
1.54%
COM
RSPP
1.48%
COM
CI
1.32%
CALL
FITB
1.23%
COM
MA
0.94%
CALL
MS
0.8%
PUT
HYG
0.78%
IBOXX HI YD ETF
NBR
0.65%
PUT
GOOGL
0.63%
CALL
CHTR
0.61%
CL A
MOMO
0.51%
ADR
IMPV
0.5%
COM
ALXN
0.49%
COM
ALXN
0.49%
CALL
GOOGL
0.48%
CAP STK CL A
IOC
0.45%
COM
UVXY
0.19%
PUT
CIE
0.05%
COM
ALR
< 0.01%
COM
UVXY
< 0.01%
II ULTRA VIX SHORT