HoldingsChannel.com
TIG Advisors LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
ALLERGAN PLC 2,259,519 +36,364 $400,161
     AGN2,259,519+36,364$400,161
MELLANOX TECHNOLOGIES LTD      $215,105
     MLNX1,688,239+1,026,216$204,817
     Call84,800+84,800$10,288
CYPRESS SEMICONDUCTOR CORP 9,020,522 +2,275,616 $210,359
     CY9,020,522+2,275,616$210,359
TIFFANY & CO NEW      $171,539
     TIF1,295,925+1,295,925$167,822
     Call28,700+28,700$3,717
TECH DATA CORP 1,000,873 +1,000,873 $130,964
     TECD1,000,873+1,000,873$130,964
WRIGHT MED GROUP N V 3,911,108 +3,911,108 $112,053
     WMGI3,911,108+3,911,108$112,053
SPRINT CORPOTATION 11,528,794 +12,041,198 $99,378
     S11,528,794+11,511,498$99,378
ACACIA COMMUNICATIONS INC 1,469,218 +937,319 $98,702
     ACIA1,469,218+937,319$98,702
FORTY SEVEN INC 920,353 +920,353 $87,820
     FTSV920,353+920,353$87,820
TALLGRASS ENERGY LP 5,060,760 +5,060,760 $83,300
     TGE5,060,760+5,060,760$83,300
LOGMEIN INC 836,775 +652,570 $69,687
     LOGM836,775+652,570$69,687
CAESARS ENTMT CORP 8,331,194 +8,331,194 $56,319
     CZR8,331,194+8,331,194$56,319
LEGG MASON INC 1,122,428 +1,122,428 $54,831
     LM1,122,428+1,122,428$54,831
TD AMERITRADE HLDG CORP 1,486,916 +1,486,916 $51,537
     AMTD1,486,916+1,486,916$51,537
NAVISTAR INTL CORP NEW 2,882,737 +2,882,737 $47,536
     NAV2,882,737+2,882,737$47,536
GENWORTH FINL INC      $46,577
     GNW14,941,525+6,907,971$49,606
     Put912,500-580,000$3,029
WABCO HLDGS INC 322,495 +13,395 $43,553
     WBC322,495+13,395$43,553
BRISTOL MYERS SQUIBB CO      $38,709
     RIGHT 99 99 999910,186,517+10,186,517$38,709
RA PHARMACEUTICALS INC 778,714 +778,714 $37,386
     RARX778,714+778,714$37,386
TAUBMAN CTRS INC 806,515 +806,515 $33,777
     TCO806,515+806,515$33,777
E TRADE FINANCIAL CORP 962,617 +962,617 $33,037
     ETFC962,617+962,617$33,037
STARS GROUP INC 1,613,679 +1,613,679 $32,951
     TSG1,613,679+1,613,679$32,951
HP INC      $30,198
     HPQ2,035,192+784,892$35,331
     Put295,700-16,300$5,133
XEROX HOLDINGS CORP      $29,422
     XRX1,423,117+861,919$26,954
     Call130,300+130,300$2,468
TEGNA INC 2,572,458 +2,572,458 $27,937
     TGNA2,572,458+2,572,458$27,937
ANIXTER INTL INC 293,829 +61,446 $25,819
     AXE293,829+58,846$25,819
AECOM 859,054 +859,054 $25,643
     ACM859,054+859,054$25,643
KEMET CORP 1,034,255 +1,012,119 $24,988
     KEM1,034,255+1,012,119$24,988
FORESCOUT TECHNOLOGIES INC 785,258 +785,258 $24,806
     FSCT785,258+785,258$24,806
ABBVIE INC 226,522 +223,131 $17,259
     ABBV226,522+223,131$17,259
BORGWARNER INC 583,375 +583,375 $14,217
     BWA583,375+583,375$14,217
DELPHI TECHNOLOGIES PL 1,720,738 +1,720,738 $13,852
     DLPH1,720,738+1,720,738$13,852
WESCO INTL INC      $12,958
     WCC448,701+269,228$10,253
     Call118,400+69,200$2,705
UNITED TECHNOLOGIES CORP 97,500 +97,500 $9,197
     UTX97,500+97,500$9,197
IOVANCE BIOTHERAPEUTICS INC 266,979 +266,979 $7,992
     IOVA266,979+266,979$7,992
MORGAN STANLEY 233,613 +233,613 $7,943
     MS233,613+233,613$7,943
CINCINNATI BELL INC NEW 395,864 +395,864 $5,795
     CBB395,864+395,864$5,795
TUTOR PERINI CORP 700,834 +700,834 $4,710
     TPC700,834+700,834$4,710
SCHWAB CHARLES CORP 134,833 +134,833 $4,533
     SCHW134,833+134,833$4,533
OCCIDENTAL PETE CORP 390,000 -410,065 $4,516
     OXY390,000+208,435$4,516
FITBIT INC 559,291 +559,291 $3,725
     FIT559,291+559,291$3,725
FGL HLDGS 302,963 +302,963 $2,969
     FG302,963+302,963$2,969
FIDELITY NATIONAL FINANCIAL 107,171 +107,171 $2,666
     FNF107,171+107,171$2,666
AXALTA COATING SYS LTD 129,059 -59,448 $2,229
     AXTA129,059-59,448$2,229
NEXSTAR MEDIA GROUP INC 32,558 +32,558 $1,880
     NXST32,558+32,558$1,880
T MOBILE US INC 17,477 -235,392 $1,466
     TMUS17,477-235,392$1,466
MEET GROUP INC THE 225,351 +225,351 $1,323
     MEET225,351+225,351$1,323
CUMMINS INC 9,655 +9,655 $1,307
     CMI9,655+9,655$1,307
UNIQURE NV 20,000 +20,000 $949
     QURE20,000+20,000$949
ELDORADO RESORTS INC 33,273 +33,273 $479
     ERI33,273+33,273$479

See Full List: All Stocks Held By TIG Advisors LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By TIG Advisors LLC

Size ($ in 1000's)
At 03/31/2020: $2,482,676
At 12/31/2019: $1,747,543

Combined Holding Report Includes:
TIG Advisors LLC
TIG Arbitrage Enhanced Master Fund L.P.
TIG ARBITRAGE ASSOCIATES MASTER FUND L.P.

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

TIG Advisors LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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