Company profile

Employees
Location
Fiscal year end
Industry
Former names
Two Sigma Investments LLC
SEC CIK
IRS number
134181471
SEC advisor number
801-70476
FINRA CRD number
137137
AUM ?
$66.14B (as of 22 May 20)
Accounts
17 (as of 22 May 20)
Employees
1,421 (604 investment advisory or research)
Address
Two Sigma Investments
100 AVENUE OF THE AMERICAS
16TH FLOOR
NEW YORK
NY 10013
Phone
(212) 625-5700
Fund structure AUM Fund type
Two Sigma Investments, LP $66.14B
Hamilton Investments, LP $98.94M Other Private Fund
Two Sigma Compass Master Fund, LTD. $2.43B Hedge Fund Master
Two Sigma Compass Cayman Fund, LTD. $891.44M Hedge Fund Feeder
Two Sigma Compass U.S. Fund, LP $284.76M Hedge Fund Feeder
Two Sigma Compass Enhanced U.S. Fund, LP $1.38B Hedge Fund Feeder
Two Sigma Compass Enhanced Cayman Fund, LTD. $455.89M Hedge Fund Feeder
Two Sigma Eclipse Fund, LTD. $256.37M Hedge Fund Master
Two Sigma Eclipse Cayman Fund, LTD. $204.42M Hedge Fund Feeder
Two Sigma Eclipse U.S. Fund, LP $44.46M Hedge Fund Feeder
Two Sigma Equity Portfolio, LLC $11.99B Hedge Fund
Two Sigma Equity Spectrum Portfolio, LLC $8.74B Hedge Fund
Two Sigma Fund, LP $135.04M Hedge Fund Master
Two Sigma Cayman Fund, LTD. $9.11M Hedge Fund Feeder
Two Sigma U.S. Fund, LP $120.98M Hedge Fund Feeder
Two Sigma Futures Portfolio, LLC $6.64B Hedge Fund
Two Sigma Galileo Portfolio, LLC $698.39K Hedge Fund
Two Sigma Hamilton Fund, LLC $1.79B Hedge Fund
Two Sigma Horizon Portfolio, LLC $5.97B Hedge Fund
Two Sigma Mercury Master Fund, LLC $1.55B Hedge Fund Master
Two Sigma Mercury Fund, LP $735.9M Hedge Fund Feeder
Two Sigma Mercury Cayman Fund, LTD. $782.72M Hedge Fund Feeder
Two Sigma Options Portfolio, LLC $1.76B Hedge Fund
Two Sigma Pioneer Portfolio, LLC $22.68M Hedge Fund
Two Sigma Spectrum Fund, LTD. $8.15B Hedge Fund Master
Two Sigma Spectrum Cayman Fund, LTD. $5.1B Hedge Fund Feeder
Two Sigma Spectrum U.S. Fund, LP $2.91B Hedge Fund Feeder
Two Sigma Spectrum Portfolio, LLC $13.37B Hedge Fund
Two Sigma Strategies Fund, LLC $9.34B Hedge Fund

Investment data

Data from SEC filings
Regulatory AUM / Assets Under Management
Number of accounts
Number of employees
Top 50 of 1823 long holdings
End of quarter 30 Sep 20
Value
 
#Shares
 
$287.63M 1.04M
$283.97M 1.8M
$267.1M 3.22M
$264.62M 1.6M
$261.19M 1.9M
$254.5M 716.89K
$251.6M 6.86M
$250.42M 2.86M
$240.68M 6.11M
$240.1M 4.04M
$239.17M 1.21M
$235.5M 1.07M
$226.25M 1.62M
$222.39M 1.6M
$220.85M 3.07M
$218.54M 1.04M
$207.98M 3.48M
$207.83M 714.18K
$196.96M 8.38M
$195.87M 584.89K
$194.27M 1.75M
$193.35M 411.29K
$187.79M 1.51M
$186.85M 867.74K
$185.03M 880.37K
$178.16M 1.24M
$176.45M 1.19M
$176.12M 1.45M
$173.83M 377.01K
$171.97M 2.68M
$171.93M 619.55K
$170.37M 1.16M
$169.48M 1.22M
$159.37M 593.35K
Aon PLC
$158.18M 766.73K
$153.44M 12.44M
$148.49M 2.85M
$146.05M 730.34K
$126.95M 107.8K
Raytheon Technologies Corp
$126.87M 2.2M
$126.29M 3.85M
$125.4M 294.86K
$121.18M 639.42K
$120.02M 3.11M
$119.49M 1.94M
$118.43M 1.14M
$117.01M 358.7K
$116.37M 715.88K
$116.06M 1.82M
$113.56M 4.71M
Holdings list only includes long positions. Only includes long positions.

Calendar

27 Nov 20
31 Dec 20

News

Financial reports

No filings

Current reports

No filings

Registration and prospectus

No filings

Proxies

No filings

Other

No filings