Millennium Management LLC’s Take-Two Interactive (TTWO) position
Reported position history, portfolio importance and verified filing changes from public SEC disclosures.
At a glance
The full verified relationship, including prior ownership episodes and exits where supported.
Millennium Management LLC first reported Take-Two Interactive in Q3 2021. The reported position was increased and reduced across later filings. Millennium Management LLC currently reports 554.80K shares. The latest verified filing showed: Bought 5.8% more.
Position over time
See the same verified relationship through reported shares, portfolio weight or reported value.
Gaps indicate periods that cannot be safely connected or where a verified corporate action changes the raw share scale. Stock price, when available, is market context and not a transaction price.
What changed
Latest filing plus the most meaningful reported changes. Unchanged quarters are collapsed by default.
Filing context
Quarter-end price $249.98
Filing context
Quarter-end price $197.50
Filing context
Quarter-end price $258.36
Filing context
Quarter-end price $207.25
Filing context
Quarter-end price $155.49
Filing context
Quarter-end price $148.49
Filing context
Quarter-end price $160.95
Filing context
Quarter-end price $140.39
Filing context
Quarter-end price $147.16
Filing context
Quarter-end price $0.10
Filing context
Quarter-end price $109.00
Filing context
Quarter-end price $122.53
Filing context
Quarter-end price $153.74
Filing context
Quarter-end price $177.72
Filing context
Quarter-end price $154.07
How important is Take-Two Interactive in Millennium Management LLC’s reported portfolio?
Relative importance is measured only within the verified primary non-option reported portfolio for each quarter.
Connected research on Take-Two Interactive
Only published MIL research mapped to the exact stock identity is shown here.
SEC filing evidence
Market context and filing-derived values are kept separate from actual transaction prices, which 13F filings do not disclose.
Market context only; not an investor transaction price.
Derived from validated reported value and shares where supported.
View Take-Two Interactive stock page →
This is a bounded selection from a 13F combination report. A portion is reported separately by another manager. The profile does not represent all investments, trades or performance. Quarters are reporting observations, not transaction dates.