Instuitional Investor - Twin Tree Management, Lp

Fund Profile
Filing Period:
Fund Name: Twin Tree Management, Lp
Portfolio Value $55,847,700,030
Filing Period:
No. Security Ticker Shares Value % Port
1. SPY 13,504,900 $7,914,952,023 14.17%
2. GLD 9,306,300 $2,253,334,464 4.03%
3.
Invesco Capital Management LCALLCALL
3,672,600 $1,877,543,338 3.36%
4. IAU 22,468,500 $1,112,415,397 1.99%
5. SPY 1,584,900 $928,878,219 1.66%