DJ CFA SOURCE: SEC 13F-HR 
FILER: Two Sigma Investments LLC 
QUARTER ENDED: 09/30/2013 
SEC RECEIVED: 11/14/2013 
 

Up to 200 of the largest sales of Two Sigma Investments LLC are listed below, ordered by the number of shares sold during the three months ended Sep. 30.

 
Company Name                             Value      Holdings          Change 
 
 
EMC CORP/MA  COM                   $56,230,901     2,199,957     (6,926,300) 
FREEPORT MCMORAN COPPER  CL B         $576,320        17,422     (4,905,868) 
PULTEGROUP INC  COM                 $5,965,658       361,555     (4,313,679) 
BANCO SANTANDER SA  ADR             $1,687,897       206,597     (4,127,468) 
MARVELL TECHNOLOGY GROUP LTD       $11,559,271     1,005,154     (3,615,506) 
VODAFONE GROUP PLC  ADR            $48,378,375     1,375,167     (3,463,522) 
T MOBILE US INC  COM                  $797,928        30,725     (2,905,417) 
ALCOA INC  COM                        $178,323        21,961     (2,866,000) 
BANCO BRADESCO SA  ADR PFD            $180,260        12,987     (2,622,070) 
LIBERTY GLOBAL PLC  CL A           $95,303,159     1,201,048     (2,617,567) 
ZOETIS INC  CL A                   $19,865,857       638,363     (2,382,701) 
EBAY INC  COM                       $2,254,006        40,398     (2,225,316) 
CARNIVAL CORP  PAIRED CTF          $18,171,341       556,720     (2,203,510) 
BROADCOM CORP  CL A                 $7,649,490       293,985     (2,176,264) 
ITAU UNIBANCO HOLDING SA  ADR       $7,724,035       547,028     (2,112,778) 
STATOIL (STATOILHYDRO) ASA  AD     $27,597,228     1,216,809     (2,070,099) 
MGM RESORTS INTERNATIONAL  COM    $166,908,339     8,165,770     (1,997,299) 
TYCO INTERNATIONAL LTD  COM        $22,147,482       633,147     (1,938,863) 
CSX CORP  COM                         $463,552        18,009     (1,930,325) 
NEWFIELD EXPLORATION CO  COM       $22,177,884       810,299     (1,876,134) 
DEAN FOODS CO  COM                  $6,494,585       336,507     (1,782,677) 
ROYAL DUTCH SHELL PLC  ADR A       $46,577,957       709,165     (1,566,537) 
MACYS INC  COM                     $60,191,209     1,391,061     (1,517,429) 
APOLLO GROUP  CL A NON-VTG            $223,624        10,746     (1,397,673) 
FIRST SOLAR INC  COM                  $340,538         8,469     (1,370,373) 
AT&T INC  COM                      $29,295,155       866,208     (1,225,924) 
CITRIX SYSTEMS INC  COM            $25,230,295       357,319     (1,202,378) 
AGILENT TECHNOLOGIES INC  COM      $29,337,243       572,434     (1,190,415) 
IAMGOLD CORP  COM                   $2,814,470       592,520     (1,178,026) 
DOLLAR TREE INC  COM               $30,971,403       541,837     (1,170,138) 
UNITED MICROELECTRONICS  ADR          $402,878       195,572     (1,163,066) 
LSI CORP  COM                      $21,768,915     2,781,970     (1,151,491) 
CALPINE CORP  COM NEW               $7,799,571       401,419     (1,136,868) 
KEY ENERGY SERVICES INC  COM          $156,531        21,472     (1,106,258) 
HILLSHIRE BRANDS CO  COM           $19,422,301       631,825     (1,105,288) 
EXPEDITORS INTERNATIONAL (WA)         $203,381         4,616     (1,101,949) 
COGNIZANT TECHNOLOGY SOLUTIONS     $17,485,155       212,922     (1,080,132) 
SKYWORKS SOLUTIONS INC  COM         $3,288,170       132,374     (1,066,956) 
APARTMENT INVT & MGMT  CL A         $5,919,815       211,876     (1,038,987) 
MONDELEZ INTERNATIONAL INC  CL      $1,435,814        45,696     (1,014,472) 
SCHLUMBERGER NV  COM                $1,408,017        15,935       (995,052) 
OCWEN FINANCIAL CORP  COM           $8,506,152       152,522       (978,677) 
HCP INC  COM                        $1,715,846        41,901       (955,937) 
COEUR MINING INC  COM               $1,414,272       117,367       (936,476) 
SPIRIT AEROSYSTEMS HOLDINGS  C     $28,103,638     1,159,391       (923,077) 
WINDSTREAM HOLDINGS INC  COM        $1,189,631       148,890       (899,200) 
INTERNATIONAL BUSINESS MACHINE      $4,477,467        24,179       (878,010) 
AVIS BUDGET GROUP INC  COM         $36,740,087     1,274,370       (847,611) 
TEXTRON INC  COM                      $206,882         7,493       (842,251) 
SEAGATE TECHNOLOGY PLC  COM        $25,709,394       587,509       (842,046) 
MOSAIC CO  COM                        $762,443        17,723       (832,253) 
ADVANCED MICRO DEVICES INC  CO        $360,056        94,503       (831,808) 
ON SEMICONDUCTOR CORP  COM            $572,704        78,356       (804,689) 
MBIA INC  COM                         $384,096        37,546       (800,807) 
JABIL CIRCUIT INC  COM             $26,312,756     1,213,688       (790,146) 
NORTHSTAR REALTY FINANCE CORP       $4,930,102       531,261       (781,573) 
CAMERON INTERNATIONAL CORP  CO        $384,425         6,586       (769,846) 
DR PEPPER SNAPPLE GROUP INC  C      $4,748,545       105,947       (761,371) 
SPDR S&P 500 ETF TRUST  UNIT S     $89,608,134       533,350       (750,265) 
ELECTRONIC ARTS INC  COM            $7,897,122       309,085       (747,289) 
CA INC  COM                         $7,707,910       259,788       (742,748) 
LORILLARD INC  COM                    $449,054        10,028       (733,091) 
ROSETTA RESOURCES INC  COM         $45,804,640       840,915       (732,391) 
LYONDELLBASELL INDUSTRIES  ORD    $116,427,645     1,589,890       (716,277) 
AMERICAN ELECTRIC POWER INC  C     $26,692,329       615,740       (715,180) 
MID-AMERICA APARTMENT CMNTYS       $60,221,750       963,548       (712,706) 
TEVA PHARMACEUTICAL INDUSTRIES     $11,408,691       301,977       (706,399) 
REPUBLIC SERVICES INC  COM         $19,354,738       580,178       (694,037) 
STRATEGIC HOTELS & RESORTS INC      $3,332,261       383,901       (690,887) 
PRUDENTIAL FINANCIAL INC  COM         $577,052         7,400       (689,180) 
EQUINIX INC  COM                   $25,552,510       139,137       (680,651) 
MARATHON PETROLEUM CORP  COM      $214,881,928     3,340,826       (673,464) 
TELEFONICA BRASIL SA  ADR PFD       $2,154,240        96,000       (666,847) 
YAMANA GOLD INC  COM               $16,738,030     1,609,426       (656,546) 
KIMBERLY CLARK CORP  COM            $1,643,574        17,444       (655,701) 
LIONS GATE ENTERTAINMENT CORP       $1,180,554        33,682       (653,245) 
FRANKLIN RESOURCES INC  COM         $6,829,760       135,109       (650,342) 
CHECK POINT SOFTWARE TECHNOLOG     $13,182,439       233,070       (644,173) 
IRON MOUNTAIN INC/PA  COM           $3,999,203       148,009       (641,007) 
TWO HARBORS INVESTMENT CORP  C      $5,451,845       561,467       (639,893) 
AU OPTRONICS CORP  ADR                $498,338       136,531       (635,516) 
DCT INDUSTRIAL TRUST INC  COM         $233,740        32,509       (626,638) 
BORGWARNER INC  COM                 $7,762,824        76,564       (620,661) 
CONSTELLATION BRANDS INC  CL A     $35,928,899       625,939       (612,716) 
QUANTA SERVICES INC  COM           $61,262,322     2,226,911       (608,736) 
FOOT LOCKER INC  COM               $37,092,211     1,092,876       (607,322) 
HARMONY GOLD MINING CO LTD  AD      $6,300,435     1,864,034       (592,893) 
CROWN CASTLE INTERNATIONAL COR     $75,639,289     1,035,729       (585,367) 
PACIFIC SUNWEAR CALIFORNIA INC        $204,289        67,870       (580,775) 
AMERICAN WATER WORKS CO INC  C     $10,031,494       243,011       (567,688) 
SALIX PHARMACEUTICALS LTD  COM      $2,947,067        44,065       (556,585) 
CENOVUS ENERGY INC  ORD             $1,796,851        60,196       (556,274) 
CAPITOL FEDERAL FINANCIAL  COM        $785,452        63,190       (550,381) 
MYLAN (MYLAN LABS) INC  COM        $21,166,181       554,524       (547,061) 
ANWORTH MORTGAGE ASSET CORP  C      $1,275,241       264,025       (542,762) 
SIGNET JEWELERS LTD  COM            $4,892,190        68,279       (537,781) 
BALL CORP  COM                      $5,531,640       123,254       (532,926) 
DTE ENERGY CO  COM                    $900,363        13,646       (532,191) 
HEALTHSOUTH CORP  COM               $8,701,856       252,374       (523,878) 
TESLA MOTORS INC  COM               $5,267,012        27,238       (523,619) 
ULTRA PETROLEUM CORP  COM          $37,874,451     1,841,247       (514,245) 
SALLY BEAUTY HOLDINGS INC  COM      $1,090,349        41,680       (513,919) 
PACKAGING CORP OF AMERICA  COM      $4,414,656        77,328       (501,601) 
BE AEROSPACE INC  COM                 $756,729        10,251       (499,679) 
VOLCANO CORP INC  COM               $4,540,800       189,595       (497,029) 
TRIQUINT SEMICONDUCTOR INC  CO      $2,271,180       279,702       (493,575) 
HUDSON CITY BANCORP INC  COM       $22,376,538     2,475,007       (490,523) 
MOODYS CORP  COM                   $17,235,070       245,060       (490,218) 
KIMCO REALTY CORP  COM              $1,923,174        95,301       (483,738) 
NABORS INDUSTRIES LTD  ORD         $13,295,978       827,894       (478,429) 
FOREST CITY ENTERPRISES INC  C     $19,663,224     1,038,185       (475,227) 
CABELAS INC  CL A VTG              $12,716,933       201,760       (472,619) 
MICROCHIP TECHNOLOGY INC  COM         $360,313         8,943       (455,381) 
SBA COMMUNICATIONS CORP  COM       $80,511,816     1,000,644       (454,325) 
MADDEN STEVEN LTD  COM                $239,436         6,672       (451,560) 
HANESBRANDS INC  COM                $7,849,191       125,970       (449,421) 
TRUSTCO BANK CORP (NY)  COM           $628,528       105,635       (445,928) 
ROVI CORP  COM                      $5,320,902       277,564       (445,720) 
SIMON PROPERTY GROUP INC  COM      $60,409,061       407,536       (440,857) 
SIX FLAGS ENTERTAINMENT CORP        $1,674,463        49,555       (439,986) 
HCA HOLDINGS INC  COM             $192,406,763     4,500,743       (438,814) 
APOLLO GLOBAL MANAGEMENT LLC       $22,230,814       786,653       (434,712) 
AMERICAN FINANCIAL GROUP INC        $1,231,703        22,784       (426,723) 
AECOM TECHNOLOGY CORP  COM          $5,113,458       163,526       (419,364) 
VERISIGN INC  COM                  $86,345,368     1,696,706       (418,129) 
OIL STATES INTERNATIONAL INC        $8,404,263        81,232       (417,085) 
GENERAL CABLE CORP  COM         BGC             (83,681) 
MEDNAX INC  COM                 MD              (83,326) 
KAISER ALUMINUM CORP  COM       KALU            (83,115) 
BT GROUP PLC  ADR               BT              (82,888) 
MANHATTAN ASSOCIATES INC  COM   MANH            (82,355) 
LEIDOS HOLDINGS INC  COM        LDOS            (82,007) 
CR BARD INC  COM                BCR             (79,010) 
NEW GOLD INC  COM               NGD             (78,720) 
UNITED STATES NATURAL GAS FUND  UNG             (78,640) 
IPATH S&P 500 VIX SHORT TERM F  VXX             (78,459) 
PHH CORP  COM                   PHH             (77,810) 
AZZ INC  COM                    AZZ             (76,828) 
WALTER ENERGY INC  COM          WLT             (76,816) 
TEMPUR SEALY INTERNATIONAL INC  TPX             (76,715) 
PETROBRAS ARGENTINA (ENERGIA)   PZE             (75,939) 
LAKELAND BANCORP INC  COM       LBAI            (74,564) 
AMKOR TECHNOLOGY INC  COM       AMKR            (73,842) 
SAFEGUARD SCIENTIFICS INC  COM  SFE             (72,907) 
ITT EDUCATIONAL SERVICES INC    ESI             (71,472) 
OFG BANCORP  COM                OFG             (70,535) 
NETSUITE INC  COM               N               (69,022) 
ANNIES INC  COM                 BNNY            (68,562) 
TELECOMMUNICATION SYSTEMS INC   TSYS            (68,239) 
ZUMIEZ INC  COM                 ZUMZ            (66,515) 
COTT CORP (QUE)  COM            COT             (64,175) 
HITTITE MICROWAVE CORP  COM     HITT            (63,666) 
WESTAMERICA BANCORPORATION  CO  WABC            (62,496) 
CELL THERAPEUTICS INC  COM      CTIC            (62,227) 
BRINKS CO  COM                  BCO             (61,866) 
BANCOLOMBIA SA  ADR PFD         CIB             (61,618) 
WIPRO LTD  ADR                  WIT             (61,487) 
CBEYOND INC  COM                CBEY            (61,324) 

13F data provided by: FactSet Research Systems Inc.; Please send questions to lionsharesinfo@factset.com. Copyright, FactSet Research Systems, 2013. All Rights Reserved.

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