TWO SIGMA INVESTMENTS, LP Campbell Soup Company Transaction History

TWO SIGMA INVESTMENTS, LP portfolio value:

$41.28M
portfolio value

TWO SIGMA INVESTMENTS, LP quarter portfolio value change:

-1.94%
quarter

Campbell Soup Company 13F transactions

Quarter Transaction type Change Relative change Absolute change Change value Avg. price Shares
Q3 2022 share Increase +158.41% 537.04K shares 24.99M $47.12 876.05K
Q2 2022 share Increase 0.00% 339.01K shares 16.29M $48.05 339.01K
Q1 2022 call Decrease -100.00% -58.2K shares -2.52M $44.57 0
Q1 2022 put Decrease -100.00% -96.8K shares -4.20M $44.57 0
Q4 2021 call Increase +119.62% 31.7K shares 1.42M $43.15 58.2K
Q4 2021 share Decrease -100.00% -424.78K shares -17.76M $43.15 0
Q4 2021 put Increase +249.46% 69.1K shares 3.04M $43.15 96.8K
Q3 2021 put Increase +106.72% 14.3K shares 547K $41.45 27.7K
Q3 2021 call Increase +219.28% 18.2K shares 730K $41.45 26.5K
Q3 2021 share Increase 0.00% 424.78K shares 17.76M $41.45 424.78K
Q2 2021 call Decrease -7.78% -700 shares -74K $44.83 8.3K
Q2 2021 put Decrease -13.55% -2.1K shares -168K $44.83 13.4K
Q1 2021 call Increase +50.00% 3K shares 162K $49.06 9K
Q1 2021 share Decrease -100.00% -32.96K shares -1.59M $49.06 0
Q1 2021 put Increase +158.33% 9.5K shares 489K $49.06 15.5K
Q4 2020 call Decrease -14.29% -1K shares -49K $46.82 6K
Q4 2020 share Increase 0.00% 32.96K shares 1.59M $46.82 32.96K
Q4 2020 put Decrease -50.00% -6K shares -290K $46.82 6K
Q3 2020 put Decrease -14.29% -2K shares -115K $46.5 12K
Q3 2020 call Decrease -57.58% -9.5K shares -480K $46.5 7K
Q3 2020 share Decrease -100.00% -23.66K shares -1.17M $46.5 0
Q2 2020 put Increase 0.00% 14K shares 695K $47.38 14K
Q2 2020 call Increase 0.00% 16.5K shares 819K $47.38 16.5K
Q2 2020 share Decrease -74.29% -68.39K shares -3.07M $47.38 23.66K
Q1 2020 call Decrease -100.00% -99.1K shares -4.89M $43.74 0
Q1 2020 share Increase +450.39% 75.33K shares 3.42M $43.74 92.05K
Q1 2020 put Decrease -100.00% -27.6K shares -1.36M $43.74 0
Q4 2019 put Decrease -30.48% -12.1K shares -499K $46.49 27.6K
Q4 2019 share Decrease -87.68% -119.05K shares -5.54M $46.49 16.72K
Q4 2019 call Increase +208.72% 67K shares 3.39M $46.49 99.1K
Q3 2019 call Increase +40.79% 9.3K shares 592K $43.81 32.1K
Q3 2019 put Decrease -8.74% -3.8K shares 120K $43.81 39.7K
Q3 2019 share Decrease -48.28% -126.74K shares -4.14M $43.81 135.78K
Q2 2019 share Increase 0.00% 262.52K shares 10.51M $37.1 262.52K
Q2 2019 call Increase 0.00% 22.8K shares 914K $37.1 22.8K
Q2 2019 put Increase +417.86% 35.1K shares 1.42M $37.1 43.5K
Q1 2019 call Decrease -100.00% -24K shares -792K $34.99 0
Q1 2019 put Decrease -57.79% -11.5K shares -337K $34.99 8.4K
Q4 2018 put Decrease -73.25% -54.5K shares -2.06M $29.96 19.9K
Q4 2018 call Decrease -76.12% -76.5K shares -2.88M $29.96 24K
Q3 2018 call Increase 0.00% 100.5K shares 3.68M $32.95 100.5K
Q3 2018 put Increase 0.00% 74.4K shares 2.72M $32.95 74.4K
Q2 2018 put Decrease -100.00% -64.3K shares -2.78M $36.16 0
Q2 2018 call Decrease -100.00% -49.9K shares -2.16M $36.16 0
Q2 2018 share Decrease -100.00% -24.91K shares -1.07M $36.16 0
Q1 2018 call Increase 0.00% 49.9K shares 2.16M $38.32 49.9K
Q1 2018 put Increase +435.83% 52.3K shares 2.20M $38.32 64.3K
Q1 2018 share Increase +131.14% 14.13K shares 560K $38.32 24.91K
Q4 2017 put Increase 0.00% 12K shares 577K $42.26 12K
Q4 2017 share Decrease -99.01% -1.08M shares -50.59M $42.26 10.78K
Q3 2017 share Increase +89.65% 516.04K shares 21.09M $40.81 1.09M
Q2 2017 share Increase 0.00% 575.62K shares 30.01M $45.15 575.62K
Q1 2017 call Decrease -100.00% -11K shares -665K $49.25 0
Q4 2016 share Decrease -100.00% -200.17K shares -10.95M $51.73 0
Q4 2016 put Decrease -100.00% -6K shares -328K $51.73 0
Q4 2016 call Increase +175.00% 7K shares 446K $51.73 11K
Q3 2016 call Decrease -64.91% -7.4K shares -539K $46.49 4K
Q3 2016 share Increase +5067.17% 196.30K shares 10.69M $46.49 200.17K
Q3 2016 put Decrease -67.57% -12.5K shares -903K $46.49 6K
Q2 2016 call Increase 0.00% 11.4K shares 758K $56.28 11.4K
Q2 2016 put Increase 0.00% 18.5K shares 1.23M $56.28 18.5K
Q2 2016 share Decrease -88.93% -31.13K shares -1.97M $56.28 3.87K
Q1 2016 share Increase 0.00% 35.01K shares 2.23M $53.7 35.01K