Back to TWO SIGMA INVESTMENTS, LP TWO SIGMA INVESTMENTS, LP

CXWCXW
30 quarters

Position history for TWO SIGMA INVESTMENTS, LPTWO SIGMA INVESTMENTS, LP's holdings in CORECIVIC INC

TWO SIGMA INVESTMENTS, LP holds 494,641 shares of CXW (CORECIVIC INC), worth $15M as of 2026-Q2. The position was decreased (-33.0% shares). CXW represents 0.0% of TWO SIGMA INVESTMENTS, LP's portfolio.

Current Value

$15M

Current Shares

494,641

Total Value Change

+$6.5M

Total Shares Change

+14,007

Quarter-by-Quarter History
QuarterActionSharesChangeValueWeightPriceConviction
2026-Q2
Latest
Decreased
494,641
-33.0%
$15M0.0%$30.38
0
2026-Q1
Increased
737,872
+228.2%
$14M0.0%$18.91
45
2025-Q4
Increased
224,809
+71.3%
$4.3M0.0%$19.11
40
2025-Q3
Decreased
131,211
-6.6%
$2.7M0.0%$20.35
0
2025-Q2
Decreased
140,518
-59.0%
$3M0.0%$21.07
0
2025-Q1
Decreased
343,172
-28.6%
$7M0.0%$20.29
0
2024-Q4
Increased
480,275
+1428.2%
$10.4M0.0%$21.74
45
2024-Q3
New
31,427
-
$397,5520.0%$12.65
33
2024-Q2
Exited
0
-100.0%
$00.0%$12.98
0
2024-Q1
Decreased
73,840
-28.5%
$1.2M0.0%$15.61
0
2023-Q4
New
103,323
-
$1.5M0.0%$14.53
35
2023-Q3
Exited
0
-100.0%
$00.0%$11.25
0
2023-Q2
New
145,427
-
$1.4M0.0%$9.41
35
2023-Q1
Exited
0
-100.0%
$00.0%$9.20
0
2022-Q4
New
78,696
-
$909,7260.0%$11.56
34
2022-Q3
Exited
0
-100.0%
$00.0%$8.84
0
2022-Q2
Decreased
146,372
-76.7%
$1.6M0.0%$11.11
0
2022-Q1
Decreased
628,065
-11.3%
$7M0.0%$11.17
0
2021-Q4
Decreased
708,452
-8.8%
$7.1M0.0%$9.97
0
2021-Q3
Decreased
776,955
-23.4%
$6.9M0.0%$8.90
0
2021-Q2
Decreased
1M
-7.5%
$10.6M0.0%$10.47
0
2021-Q1
Increased
1.1M
+83.5%
$9.9M0.0%$9.05
43
2020-Q4
Increased
597,607
+164.1%
$3.9M0.0%$6.55
43
2020-Q3
New
226,316
-
$1.8M0.0%$8.00
36
2020-Q1
Exited
0
-100.0%
$00.0%$11.17
0
2019-Q4
Increased
854,172
+219.0%
$14.8M0.0%$16.31
45
2019-Q3
Decreased
267,784
-0.4%
$4.6M0.0%$16.22
0
2019-Q2
Decreased
268,852
-35.1%
$5.6M0.0%$19.00
0
2019-Q1
Decreased
414,107
-13.8%
$8.1M0.0%$17.43
0
2018-Q4
New
480,634
-
$8.6M0.0%$15.62
38

Other major holders of CXW: BNP PARIBAS FINANCIAL MARKETS, BlackRock, Inc.

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