HoldingsChannel.com
Cowen Inc. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
RED HAT INC      $89,450
     RHT468,827+99,037$88,027
     Call67,500+30,000$1,513
     Put427,000+197,400$90
MELLANOX TECHNOLOGIES LTD 784,841 +297,331 $86,858
     MLNX784,841+347,331$86,858
TABLEAU SOFTWARE INC 382,632 +382,632 $63,525
     DATA382,632+382,632$63,525
CELGENE CORP      $62,490
     CELG678,108+635,958$62,684
     Put422,400-232,300$200
     Call25,000-250,600$6
BANCO SANTANDER SA 13,452,179 +13,452,179 $61,611
     SAN13,452,179+13,452,179$61,611
WABCO HLDGS INC 433,588 +367,256 $57,494
     WBC433,588+367,256$57,494
ZAYO GROUP HLDGS INC      $49,351
     ZAYO1,499,493+1,499,493$49,348
     Call140,200+24,500$28
     Put106,300+106,300$25
BANK N S HALIFAX      $48,539
     BNS1,000,000+999,972$54,350
     Put1,000,000+1,000,000$5,811
ANADARKO PETE CORP      $42,534
     APC605,955+605,955$42,756
     Put605,700+605,700$222
ORCHARD THERAPEUTICS PLC 3,035,364 +127,737 $42,465
     ORTX3,035,364+127,737$42,465
CYPRESS SEMICONDUCTOR CORP      $40,948
     CY1,841,078+1,841,078$40,946
     Call100,000+100,000$3
     Put7,500+7,500$1
CENTENE CORP DEL      $24,993
     CNC483,963+483,963$25,379
     Put700,900+670,900$1,121
     Call416,500+386,500$735
SUMITOMO MITSUI FINL GROUP I 3,402,000 +3,402,000 $24,018
     SMFG3,402,000+3,402,000$24,018
LLOYDS BANKING GROUP PLC 8,374,111 -709,702 $23,782
     LYG8,374,111-709,702$23,782
MEDIDATA SOLUTIONS INC      $23,287
     MDSO257,314+257,314$23,289
     Put1,800+1,800$2
VERSUM MATLS INC      $21,788
     VSM423,162+423,162$21,827
     Put85,000-11,600$39
SENTINEL ENERGY SVCS INC 1,813,245 +1,813,245 $18,404
     STNL1,813,245+1,813,245$18,404
WORLDPAY INC 129,972 -300,953 $15,928
     WP129,972-300,953$15,928
MIZUHO FINL GROUP INC 5,485,850 +4,492,850 $15,799
     MFG5,485,850+4,492,850$15,799
PRECISION BIOSCIENCES INC 1,083,926 +75,361 $14,362
     DTIL1,083,926+75,361$14,362
VODAFONE GROUP PLC NEW 788,794 +788,794 $12,881
     VOD788,794+788,794$12,881
CAESARS ENTMT CORP      $12,051
     CZR1,019,605+662,903$12,052
     Put110,000+62,400$1
UNILEVER N V 196,791 +96,791 $11,949
     UN196,791+96,791$11,949
SOCIAL CAP HEDOSOPHIA HLDGS      $11,922
     IPOA1,100,777+99,577$11,487
     IPOA.WT324,256+307,367$435
CHURCHILL CAP CORP II      $11,246
     CCX.U1,107,985+1,107,985$11,246
TRIDENT ACQUISITIONS CORP 994,449 +883,643 $10,283
     TDAC994,449+883,643$10,283
ARRAY BIOPHARMA INC      $10,009
     ARRY217,408+217,408$10,073
     Put787,100+787,100$64
PURE ACQUISITION CORP 925,000 +242,679 $9,380
     PACQ925,000+242,679$9,380
LEGACY ACQUISITION CORP      $9,330
     LGC.U600,000-164,450$6,270
     LGC299,969+149,969$3,030
     LGC.WT92,481-139,440$30
TESLA INC      $8,790
     TSLA50,000+50,000$11,173
     Put50,000+50,000$2,383
TOTAL SYS SVCS INC 67,888 +67,888 $8,708
     TSS67,888+67,888$8,708
CONSTELLATION ALPHA CAP CORP 759,312 +12,262 $7,897
     CNAC759,312+12,262$7,897
BP PLC 187,696 +187,696 $7,827
     BP187,696+187,696$7,827
SPARTAN ENERGY ACQUISITON CO      $7,591
     SPAQ.U534,500+34,500$5,399
     SPAQ200,000+200,000$2,000
     SPAQ.WT215,180+71,529$192
TRIDENT ACQUISITIONS CORP 688,805 +23,205 $7,232
     TDACU688,805+23,205$7,232
BLACK RIDGE ACQUISITION CORP 670,100 +670,100 $6,895
     BRAC670,100+670,100$6,895
EL PASO ELEC CO 105,258 +105,258 $6,884
     EE105,258+105,258$6,884
SOUTH MTN MERGER CORP 668,892 +668,892 $6,689
     SMMCU668,892+668,892$6,689
PIVOTAL ACQUISITION CORP      $6,261
     PVT.U299,100+271,800$3,470
     PVT260,280+260,280$2,642
     PVT.WT110,539+110,539$149
OPES ACQUISITION CORP 576,372 +436,397 $5,937
     OPES576,372+436,397$5,937
TPG PACE HLDGS CORP      $5,925
     TPGH563,094+357,007$5,856
     TPGH.WT43,819-5,397$69
LEISURE ACQUISITION CORP 559,303 +459,303 $5,828
     LACQU559,303+459,303$5,828
TRINE ACQUISITION CORP      $5,678
     TRNE.U559,977+145,646$5,654
     TRNE.WT32,500+32,500$24
GORES METROPOULOS INC 557,478 +557,478 $5,614
     GMHI557,478+557,478$5,614
OAKTREE CAP GROUP LLC 112,859 +77,128 $5,591
     OAK112,859+77,128$5,591
CAPITOL INVT CORP IV      $5,460
     CIC300,580-384,408$3,075
     CIC.U190,839+140,839$2,042
     CIC.WT246,748+178,298$343
REGALWOOD GLOBAL ENERGY LTD      $5,445
     RWGE450,100+450,100$4,591
     RWGE.U49,908+49,908$523
     RWGE.WT368,284+305,984$331
SUNTRUST BKS INC 86,581 -14,736 $5,442
     STI86,581-14,736$5,442
UNDER ARMOUR INC 241,102 +28,608 $5,352
     UA241,102+28,608$5,352
TAKEDA PHARMACEUTICAL CO LTD 299,914 -61,000 $5,308
     TAK299,914+5,000$5,308

See Full List: All Stocks Held By Cowen Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Cowen Inc.

Size ($ in 1000's)
At 06/30/2019: $1,390,508
At 03/31/2019: $930,743

Combined Holding Report Includes:
COWEN INC.
COWEN & COMPANY LLC
COWEN EXECUTION SERVICES LLC
Cowen Investment Management LLC
RAMIUS ADVISORS LLC

Cowen Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Cowen Inc. 13F filings. Link to 13F filings: SEC filings

Cowen Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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