TradeAgents

13F Institutional Holdings

Latest quarterly 13F-HR filings from SEC EDGAR · Top 50 equity positions per fund

Data as of Sep 10, 2026 00:01  ·  next refresh Sep 11, 2026 00:01

Top Consensus Positions

Stocks held by the most funds — reflects institutional conviction
# Ticker Funds Total Value ($M) Held By
1 GOOGL 29 funds $1,200,505,970M BlackRock, Berkshire Hathaway, State Street +26
2 AMZN 29 funds $752,353,048M BlackRock, State Street, Fidelity (FMR) +26
3 AMD 23 funds $228,279,037M BlackRock, State Street, Fidelity (FMR) +20
4 META 22 funds $451,423,541M BlackRock, State Street, Fidelity (FMR) +19
5 NVDA 21 funds $1,561,420,170M BlackRock, State Street, Fidelity (FMR) +18
6 MSFT 21 funds $1,084,487,853M BlackRock, State Street, Fidelity (FMR) +18
7 AAPL 19 funds $1,441,997,541M BlackRock, Berkshire Hathaway, State Street +16
8 AVGO 19 funds $553,555,985M BlackRock, State Street, Fidelity (FMR) +16
9 TSM 18 funds $45,133,492M Fidelity (FMR), Capital Group, Wellington Management +15
10 TSLA 17 funds $335,095,920M BlackRock, State Street, Fidelity (FMR) +14
11 MU 16 funds $271,318,988M BlackRock, State Street, Fidelity (FMR) +13
12 V 16 funds $199,029,773M BlackRock, State Street, Fidelity (FMR) +13
13 MA 14 funds $159,418,032M BlackRock, State Street, Fidelity (FMR) +11
14 BRK-B 13 funds $330,981,290M BlackRock, State Street, Fidelity (FMR) +10
15 LLY 13 funds $342,465,560M BlackRock, State Street, Fidelity (FMR) +10
16 RTX 13 funds $188,584,396M BlackRock, State Street, Vanguard Group +10
17 HD 13 funds $123,373,012M BlackRock, State Street, Fidelity (FMR) +10
18 INTC 12 funds $114,674,547M BlackRock, State Street, Fidelity (FMR) +9
19 GEV 12 funds $206,825,632M BlackRock, State Street, Fidelity (FMR) +9
20 KO 12 funds $202,059,323M BlackRock, Berkshire Hathaway, State Street +9

Top Net Buys This Quarter

Stocks the most funds added to or newly opened this quarter — aggregated across every tracked 13F filer
# Ticker Funds Buying New New Value ($M) Increased Combined Value ($M) Held By
1 GOOGL 24 2 $240M 22 $1,196,174,464M BlackRock, Berkshire Hathaway, State Street +21
2 AMZN 17 2 $2,587,085M 15 $515,157,535M BlackRock, State Street, Fidelity (FMR) +14
3 AMD 15 3 $392,040M 12 $179,889,926M BlackRock, Fidelity (FMR), Vanguard Group +12
4 META 12 2 $2,230,686M 10 $374,807,483M BlackRock, State Street, Vanguard Group +9
5 RTX 12 12 $182,372,936M BlackRock, State Street, Vanguard Group +9
6 MSFT 11 2 $4,408,204M 9 $951,768,275M BlackRock, State Street, Vanguard Group +8
7 TSLA 11 11 $329,751,194M BlackRock, State Street, Fidelity (FMR) +8
8 NVDA 10 10 $1,234,571,448M BlackRock, State Street, Fidelity (FMR) +7
9 AVGO 10 1 $56,662M 9 $487,047,329M BlackRock, State Street, Fidelity (FMR) +7
10 V 10 2 $1,396,091M 8 $170,411,337M BlackRock, State Street, Vanguard Group +7
11 AAPL 9 9 $1,224,911,125M BlackRock, State Street, Fidelity (FMR) +6
12 LLY 9 9 $317,977,537M BlackRock, State Street, Fidelity (FMR) +6
13 NFLX 9 1 $934,017M 8 $144,510,730M BlackRock, State Street, Fidelity (FMR) +6
14 HD 9 1 $918,093M 8 $113,864,842M BlackRock, State Street, Fidelity (FMR) +6
15 GEV 8 8 $166,904,712M BlackRock, State Street, Vanguard Group +5
16 KO 8 8 $129,807,892M BlackRock, State Street, Fidelity (FMR) +5
17 BRK-B 7 7 $183,052,518M State Street, Fidelity (FMR), Vanguard Group +4
18 AMAT 7 1 $873,194M 6 $138,031,426M BlackRock, State Street, Fidelity (FMR) +4
19 MA 7 1 $1,091,218M 6 $99,209,445M State Street, Vanguard Group, Citadel Advisors +4
20 UNH 7 7 $98,240,636M BlackRock, State Street, Fidelity (FMR) +4
CIK: 0001067983 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $299,253,556M Holdings shown: 26 / 26 · Shown value: $299,253,556M (100.0% of AUM)

AUM by Quarter

Sector Concentration

New Positions This Quarter

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 AAPL APPLE INC
227,917,808 $65,950,296.9 22.04%
2 AXP AMERICAN EXPRESS CO
151,610,700 $51,282,319.3 17.14%
3 GOOGL ALPHABET INC
105,979,600 $37,764,088.4 12.62% ▲ Added +45.2%
4 KO COCA COLA CO
400,000,000 $32,508,000.0 10.86%
5 BAC BANK OF AMER CORP
483,394,015 $27,543,791.0 9.20% ▼ Reduced -5.9%
-30.2M shares
6 CVX CHEVRON CORPORATION
84,375,856 $13,986,141.9 4.67%
7 OXY OCCIDENTAL PETE CORP
264,941,431 $12,868,205.3 4.30%
8 CB CHUBB LIMITED
34,249,183 $11,670,066.6 3.90%
9 MCO MOODYS CORP
24,669,778 $11,173,435.9 3.73%
10 KR KRAFT HEINZ CO
364,634,818 $9,857,164.4 3.29% ▼ Reduced -22.0%
11 DVA DAVITA INC
28,880,209 $6,425,268.9 2.15% ▼ Reduced -4.1%
-1.2M shares
12 DAL DELTA AIR LINES INC
57,320,000 $5,368,591.2 1.79% ▲ Added +44.0%
+17.5M shares
13 SIRI SIRIUSXM HOLDINGS INC
124,807,117 $3,686,802.2 1.23%
14 VRSN VERISIGN INC
8,989,880 $2,261,494.2 0.76%
15 ALLY ALLY FINL INC
27,000,000 $1,240,650.0 0.41% ▼ Reduced -6.9%
-2.0M shares
16 LEN LENNAR CORP
13,409,858 $1,212,927.4 0.41% ▲ Added +29.8%
+3.0M shares
17 LLYVK LIBERTY LIVE HOLDINGS INC
10,587,143 $1,118,425.8 0.37%
18 NYT NEW YORK TIMES CO MTN BE
15,700,000 $1,098,686.0 0.37% ▲ Added +3.7%
+553K shares
19 COF CAPITAL ONE FINL CORP
3,000,000 $601,860.0 0.20% ▼ Reduced -58.0%
-4.2M shares
20 LLYVA LIBERTY LIVE HOLDINGS INC
4,986,588 $504,941.9 0.17%
21 LPX LOUISIANA PAC CORP
5,664,793 $445,592.6 0.15%
22 NUE NUCOR CORP
1,857,752 $413,814.3 0.14% ▼ Reduced -52.5%
-2.0M shares
23 M MACYS INC
7,347,426 $173,031.9 0.06% ▲ Added +141.8%
+4.3M shares
24 NVR NVR INC
11,112 $75,710.5 0.03%
25 JEF JEFFERIES FINANCIAL GROUP IN
433,558 $21,669.2 0.01%
26 DHI D R HORTON INC
3,564 $580.5 0.00% New
Total (shown) $299,253,556.3 100.00%
CIK: 0000102909 Filing date: 2026-01-29 Period: 2025-12-31 Reported AUM: $6,897,676,081M Holdings shown: 50 / 4311 · Shown value: $3,593,091,353M (52.1% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 NVDA NVIDIA CORPORATION
2,266,683,275 $422,736,430.8 6.13% ▲ Added +1.9%
+43.1M shares
2 AAPL APPLE INC
1,426,283,914 $387,749,544.9 5.62% ▲ Added +1.9%
+26.9M shares
3 MSFT MICROSOFT CORP
717,942,580 $347,211,390.6 5.03% ▲ Added +2.3%
+16.0M shares
4 GOOGL ALPHABET INC
949,983,104 $297,681,522.6 4.32% ▲ Added +2.0%
+8.1M shares
5 AMZN AMAZON COM INC
845,400,528 $195,135,349.9 2.83% ▼ Reduced -0.6%
-4.9M shares
6 AVGO BROADCOM INC
482,707,302 $167,064,997.2 2.42% ▲ Added +0.8%
+3.9M shares
7 META META PLATFORMS INC
199,995,630 $132,015,115.4 1.91% ▲ Added +3.8%
+7.3M shares
8 TSLA TESLA INC
258,925,024 $116,443,761.8 1.69% ▲ Added +2.6%
+6.5M shares
9 BRK-B BERKSHIRE HATHAWAY INC DEL
320,347,008 $100,949,541.2 1.46% ▲ Added +1.8%
+2.8M shares
10 LLY FLOOR & DECOR HLDGS INC
92,006,118 $88,698,537.3 1.29% ▲ Added +1.2%
+-58,916 shares
11 JPM JPMORGAN CHASE & CO.
265,758,185 $85,632,602.4 1.24% ▼ Reduced -0.1%
-136K shares
12 RTX PROCTER AND GAMBLE CO
362,445,927 $56,952,821.4 0.83% ▲ Added +1.2%
+2.8M shares
13 V VISA INC
160,975,832 $56,455,834.0 0.82% ▲ Added +0.7%
+1.1M shares
14 XOM EXXON MOBIL CORP
429,761,518 $51,717,501.1 0.75% ▲ Added +0.1%
+288K shares
15 NFLX NEWMONT CORP
524,122,274 $49,958,417.8 0.72% ▲ Added +0.5%
+638K shares
16 JCI JOHNSON & JOHNSON
240,349,660 $49,740,362.2 0.72% ▲ Added +1.6%
+3.7M shares
17 WMT WALMART INC
439,957,146 $49,015,625.6 0.71% ▲ Added +1.0%
+4.3M shares
18 MA MASTERCARD INCORPORATED
79,897,854 $45,612,086.9 0.66% ▲ Added +0.6%
+467K shares
19 GEV GE VERNOVA INC
117,755,166 $44,918,787.2 0.65% ▲ Added +0.8%
+208K shares
20 ABBV ABBVIE INC
180,779,699 $41,306,353.4 0.60% ▲ Added +1.7%
+3.0M shares
21 PLTR PALANTIR TECHNOLOGIES INC
215,444,098 $38,295,188.4 0.56% ▲ Added +0.7%
+1.6M shares
22 COST COSTCO WHSL CORP NEW
43,620,717 $37,615,889.1 0.55% ▲ Added +0.4%
+165K shares
23 BAC BANK AMERICA CORP
651,076,825 $35,809,225.4 0.52% ▲ Added +3.7%
+23.4M shares
24 KO DUKE ENERGY CORP NEW
453,030,269 $35,372,985.3 0.51% ▲ Added +2.6%
+2.0M shares
25 HD HOME DEPOT INC
99,635,779 $34,284,671.6 0.50% ▲ Added +1.3%
+1.3M shares
26 ORCL ORACLE CORP
174,802,084 $34,070,674.2 0.49% ▲ Added +3.5%
+5.8M shares
27 AMD ADVANCED MICRO DEVICES INC
158,522,860 $33,949,255.7 0.49% ▲ Added +1.6%
+2.5M shares
28 CSCO CISCO SYS INC
398,943,293 $30,730,601.9 0.45% ▲ Added +1.0%
+4.0M shares
29 MU MICRON TECHNOLOGY INC
106,608,094 $30,427,016.1 0.44% ▲ Added +1.9%
+2.0M shares
30 UNH UNITEDHEALTH GROUP INC
91,600,260 $30,238,161.8 0.44% ▲ Added +1.1%
+995K shares
31 IBM INTERNATIONAL BUSINESS MACHS
97,216,131 $28,796,390.2 0.42% ▲ Added +1.5%
+1.4M shares
32 CVX CHEVRON CORP NEW
182,961,533 $27,885,167.2 0.40% ▼ Reduced -0.5%
-828K shares
33 WFC WELLS FARGO CO NEW
296,419,877 $27,626,332.5 0.40% ▼ Reduced -0.7%
-2.1M shares
34 MRK MERCK & CO INC
254,322,763 $26,770,014.0 0.39% ▲ Added +0.9%
+2.2M shares
35 CAT CATERPILLAR INC
46,385,185 $26,572,680.9 0.39% ▲ Added +1.0%
+442K shares
36 GS GOLDMAN SACHS GROUP INC
29,014,431 $25,503,684.8 0.37% ▲ Added +1.5%
+419K shares
37 922908363 VANGUARD INDEX FDS 39,068,508 $24,501,033.0 0.36% ▲ Added +3.0%
+1.1M shares
38 CRM SALESFORCE INC
89,843,166 $23,800,353.1 0.35% ▲ Added +0.3%
+271K shares
39 PM PHILIP MORRIS INTL INC
145,262,397 $23,300,088.5 0.34% ▲ Added +1.3%
+1.8M shares
40 BKNG SNOWFLAKE INC
33,093,636 $22,656,796.1 0.33% ▲ Added +5.1%
+1.4M shares
41 LRCX LAM RESEARCH CORP
131,185,330 $22,456,304.8 0.33% ▲ Added +0.2%
+211K shares
42 MS MOSAIC CO NEW
158,841,271 $22,196,031.5 0.32% ▲ Added +1.2%
+462K shares
43 MCD MCDONALDS CORP
72,351,127 $22,112,674.9 0.32% ▲ Added +1.0%
+703K shares
44 ABT ABBOTT LABS
175,556,716 $21,995,500.9 0.32% ▲ Added +1.4%
+2.4M shares
45 922908769 VANGUARD INDEX FDS 62,622,049 $20,995,293.2 0.30% ▲ Added +3.8%
+2.3M shares
46 PEP PEPSICO INC
138,483,870 $19,875,205.0 0.29% ▲ Added +1.2%
+1.6M shares
47 TMO THERMO FISHER SCIENTIFIC INC
34,133,702 $19,778,773.6 0.29% ▲ Added +0.9%
+288K shares
48 AMAT APPLIED MATLS INC
76,779,340 $19,731,522.6 0.29% ▲ Added +0.4%
+330K shares
49 QCOM QUALCOMM INC
114,144,068 $19,524,349.9 0.28% ▲ Added +0.6%
+647K shares
50 INTU INFOSYS LTD
32,664,307 $19,222,903.1 0.28% ▲ Added +1.0%
+-185,066 shares
Total (shown) $3,593,091,353.0 52.12%
CIK: 0002012383 Filing date: 2026-08-07 Period: 2026-06-30 Reported AUM: $6,712,575,665M Holdings shown: 50 / 5629 · Shown value: $3,497,225,584M (52.1% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 NVDA NVIDIA CORPORATION
1,941,918,386 $388,558,449.9 5.79% ▲ Added +0.9%
+16.4M shares
2 AAPL APPLE INC
1,162,996,939 $336,524,794.4 5.01% ▲ Added +1.6%
+18.3M shares
3 GOOGL ALPHABET INC
830,895,305 $295,442,568.1 4.40% ▲ Added +1.4%
+5.2M shares
4 MSFT MICROSOFT CORP
607,367,113 $226,560,080.5 3.38% ▲ Added +2.4%
+14.0M shares
5 AMZN AMAZON COM INC
748,403,539 $178,374,499.4 2.66% ▲ Added +1.7%
+12.8M shares
6 AVGO BROADCOM INC
398,213,826 $150,425,272.9 2.24% ▲ Added +3.2%
+12.3M shares
7 MU MICRON TECHNOLOGY INC
104,827,219 $121,001,011.0 1.80% ▲ Added +1.6%
+1.7M shares
8 META META PLATFORMS INC
173,396,976 $97,672,782.4 1.46% ▲ Added +2.7%
+4.6M shares
9 TSLA TESLA INC
214,123,129 $90,060,187.9 1.34% ▲ Added +2.9%
+6.0M shares
10 AMD ADVANCED MICRO DEVICES INC
150,301,510 $87,311,650.3 1.30% ▲ Added +3.2%
+4.7M shares
11 BRK-B BERKSHIRE HATHAWAY INC DEL
270,692,748 $81,898,688.8 1.22% ▼ Reduced -4.3%
-20 shares
12 LLY ELI LILLY & CO
77,892,984 $81,624,509.9 1.22% ▲ Added +1.7%
+1.2M shares
13 JPM JPMORGAN CHASE & CO
206,290,537 $67,525,081.3 1.01% ▼ Reduced -0.9%
-1.9M shares
14 IVV ISHARES TR
87,920,842 $65,843,039.2 0.98% ▲ Added +2.3%
+2.0M shares
15 INTC INTEL CORP
426,478,962 $59,549,257.5 0.89% ▼ Reduced -4.7%
-21.1M shares
16 GEV GE AEROSPACE
110,922,606 $58,890,883.1 0.88% ▲ Added +5.0%
+-1,586,292 shares
17 AMAT APPLIED MATLS INC
80,212,518 $57,993,650.2 0.86% ▲ Added +1.6%
+1.2M shares
18 LRCX LAM RESEARCH CORP
132,727,776 $57,514,927.0 0.86% ▼ Reduced -0.1%
-125K shares
19 JCI JOHNSON & JOHNSON
212,098,264 $53,866,596.3 0.80% ▼ Reduced -0.6%
-1.3M shares
20 RTX PROCTER & GAMBLE CO
300,531,936 $48,832,675.8 0.73% ▲ Added +1.6%
+3.0M shares
21 V VISA INC
137,669,061 $47,232,878.1 0.70% ▲ Added +1.1%
+1.5M shares
22 XOM EXXON MOBIL CORP
334,746,496 $45,766,540.9 0.68% ▲ Added +3.7%
+12.0M shares
23 CSCO CISCO SYS INC
358,672,289 $42,129,647.1 0.63% ▼ Reduced -1.7%
-6.4M shares
24 CAT CATERPILLAR INC
37,991,505 $40,457,153.2 0.60% ▲ Added +2.2%
+822K shares
25 WMT WALMART INC
354,196,208 $40,116,262.5 0.60% ▲ Added +0.3%
+1.1M shares
26 KLAC KLA CORP
126,198,653 $38,075,395.5 0.57%
27 ABBV ABBVIE INC
149,488,412 $37,617,264.0 0.56% ▼ Reduced -0.8%
-1.2M shares
28 NFLX NETFLIX INC.
469,645,898 $36,191,973.6 0.54% ▲ Added +0.7%
+2.5M shares
29 KO COCA COLA CO
393,284,459 $35,158,576.1 0.52% ▲ Added +1.8%
+-10,856,310 shares
30 MA MASTERCARD INCORPORATED
66,393,565 $34,099,734.7 0.51% ▼ Reduced -0.9%
-618K shares
31 COST COSTCO WHOLESALE CORPORATION
34,202,834 $31,995,724.8 0.48% ▼ Reduced -2.1%
-744K shares
32 UNH UNITEDHEALTH GROUP INC
76,863,061 $31,946,594.4 0.48% ▲ Added +4.6%
+3.4M shares
33 BAC BANK OF AMER CORP
545,683,702 $31,093,057.3 0.46% ▲ Added +1.2%
+6.4M shares
34 MRK MERCK & CO INC
226,999,837 $29,169,479.1 0.43% ▲ Added +0.5%
+1.2M shares
35 HD HOME DEPOT INC
81,578,902 $28,771,247.1 0.43% ▲ Added +3.7%
+2.9M shares
36 46432F834 ISHARES TR 274,117,987 $26,161,820.7 0.39% ▼ Reduced -1.6%
-4.3M shares
37 697435105 PALO ALTO NETWORKS INC 75,753,509 $25,833,461.7 0.38% ▲ Added +4.6%
+3.3M shares
38 CVX CHEVRON CORPORATION
154,824,622 $25,663,729.2 0.38% ▲ Added +7.0%
+10.1M shares
39 MRVL MARVELL TECHNOLOGY INC
85,641,174 $25,511,649.1 0.38% ▲ Added +34.1%
+21.8M shares
40 TXN TEXAS INSTRS INC
82,555,483 $24,607,312.7 0.37% ▲ Added +1.3%
+1.0M shares
41 GS GOLDMAN SACHS GROUP INC
26,380,506 $24,407,959.0 0.36% ▼ Reduced -0.4%
-89K shares
42 SNDK SANDISK CORP
10,295,300 $23,408,732.5 0.35% ▼ Reduced -1.0%
-108K shares
43 PLTR PALANTIR TECHNOLOGIES INC
189,817,693 $22,146,030.2 0.33% ▲ Added +0.4%
+827K shares
44 IBM INTERNATIONAL BUSINESS MACHS
76,763,481 $21,586,658.6 0.32% ▼ Reduced -1.0%
-802K shares
45 ORCL ORACLE CORP
145,353,687 $21,301,582.8 0.32% ▲ Added +1.4%
+2.0M shares
46 WDC WESTERN DIGITAL CORP
32,953,613 $21,048,132.2 0.31% ▼ Reduced -7.9%
-2.8M shares
47 WFC WELLS FARGO & CO
250,601,039 $20,709,669.8 0.31% ▼ Reduced -3.9%
-10.2M shares
48 MS MORGAN STANLEY
119,651,101 $20,362,300.5 0.30% ▲ Added +4.7%
+-1,497,269 shares
49 BKNG BOOKING HOLDINGS INC
96,745,982 $19,638,981.0 0.29% ▲ Added +12.3%
50 PM PHILIP MORRIS INTL INC
108,039,522 $19,545,430.0 0.29% ▲ Added +0.5%
+507K shares
Total (shown) $3,497,225,584.3 52.10%
CIK: 0000093751 Filing date: 2026-08-07 Period: 2026-06-30 Reported AUM: $3,371,239,854M Holdings shown: 50 / 4155 · Shown value: $1,883,945,443M (55.9% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 NVDA NVIDIA CORPORATION
1,009,783,437 $202,047,567.9 5.99% ▲ Added +1.6%
+15.9M shares
2 AAPL APPLE INC
615,129,929 $177,993,996.3 5.28% ▲ Added +2.1%
+12.8M shares
3 GOOGL ALPHABET INC
429,900,701 $152,862,282.8 4.53% ▲ Added +5.6%
+12.7M shares
4 MSFT MICROSOFT CORP
315,653,206 $117,744,958.9 3.49% ▲ Added +2.9%
+8.9M shares
5 AMZN AMAZON COM INC
397,186,958 $94,665,539.6 2.81% ▲ Added +1.7%
+6.7M shares
6 AVGO BROADCOM INC
196,900,541 $74,379,179.4 2.21% ▲ Added +2.9%
+5.5M shares
7 MU MICRON TECHNOLOGY INC
50,075,870 $57,802,076.0 1.71% ▼ Reduced -4.1%
-2.2M shares
8 META META PLATFORMS INC
92,033,963 $51,841,811.0 1.54% ▲ Added +4.0%
+3.5M shares
9 TSLA TESLA INC
117,456,756 $49,402,311.6 1.47% ▲ Added +2.4%
+2.8M shares
10 BRK-B BERKSHIRE HATHAWAY INC DEL
153,656,475 $49,008,189.8 1.45% ▲ Added +2.2%
+-16 shares
11 LLY ELI LILLY & CO
39,623,501 $43,640,520.0 1.29% ▲ Added +1.7%
+606K shares
12 AMD ADVANCED MICRO DEVICES INC
74,361,687 $43,197,447.6 1.28% ▼ Reduced -0.5%
-410K shares
13 JPM JPMORGAN CHASE & CO
125,209,293 $40,984,757.9 1.22% ▲ Added +0.8%
+933K shares
14 CAT CATERPILLAR INC
34,392,316 $36,624,377.3 1.09% ▼ Reduced -1.4%
-488K shares
15 JCI JOHNSON & JOHNSON
133,776,025 $33,975,097.1 1.01% ▲ Added +0.2%
+300K shares
16 RTX PROCTER & GAMBLE CO
197,633,626 $33,092,527.1 0.98% ▲ Added +1.0%
+965K shares
17 GEV GE AEROSPACE
58,262,968 $31,205,938.6 0.93% ▲ Added +2.6%
+1.2M shares
18 INTC INTEL CORP
216,849,675 $30,278,720.1 0.90% ▲ Added +1.2%
+2.5M shares
19 V VISA INC
82,872,209 $28,432,626.2 0.84% ▲ Added +0.7%
+566K shares
20 XOM EXXON MOBIL CORP
206,811,526 $28,275,271.8 0.84% ▼ Reduced -3.3%
-7.1M shares
21 AMAT APPLIED MATLS INC
38,240,019 $27,647,533.7 0.82% ▲ Added +2.0%
+733K shares
22 LRCX LAM RESEARCH CORP
60,704,130 $26,320,467.9 0.78% ▲ Added +2.6%
+1.5M shares
23 CVX CHEVRON CORPORATION
148,447,634 $24,606,679.8 0.73% ▼ Reduced -3.1%
-4.7M shares
24 CSCO CISCO SYS INC
197,153,062 $23,157,598.7 0.69% ▲ Added +1.8%
+3.6M shares
25 WMT WALMART INC
188,036,646 $21,297,030.5 0.63% ▲ Added +1.1%
+2.1M shares
26 MS MORGAN STANLEY
114,599,885 $21,130,870.7 0.63% ▲ Added +12.2%
+-1,779,379 shares
27 ABBV ABBVIE INC
82,596,748 $20,784,645.7 0.62% ▲ Added +1.7%
+1.4M shares
28 KO COCA COLA CO
212,352,967 $19,382,100.0 0.57% ▲ Added +0.1%
+177K shares
29 GS GOLDMAN SACHS GROUP INC
18,845,231 $19,045,970.6 0.56% ▼ Reduced -2.2%
-425K shares
30 MA MASTERCARD INCORPORATED
36,964,305 $18,984,867.0 0.56% ▲ Added +1.3%
+486K shares
31 KLAC KLA CORP
62,892,994 $18,975,445.2 0.56%
32 UNH UNITEDHEALTH GROUP INC
45,633,267 $18,966,554.8 0.56% ▲ Added +0.7%
+301K shares
33 NFLX NETFLIX INC.
232,526,284 $17,755,104.1 0.53% ▲ Added +4.9%
+8.5M shares
34 COST COSTCO WHOLESALE CORPORATION
18,384,951 $17,198,570.1 0.51% ▲ Added +1.3%
+233K shares
35 BAC BANK AMERICA CORP
299,782,707 $17,081,618.6 0.51% ▲ Added +1.7%
+4.9M shares
36 LMT LOCKHEED MARTIN CORP
32,975,170 $16,799,530.1 0.50% ▲ Added +1.3%
+420K shares
37 HD HOME DEPOT INC
47,175,026 $16,637,688.2 0.49% ▲ Added +1.1%
+499K shares
38 IBM INTERNATIONAL BUSINESS MACHS
56,045,055 $15,760,429.9 0.47% ▲ Added +2.7%
+1.5M shares
39 MRK MERCK & CO INC
120,413,256 $15,573,753.5 0.46% ▲ Added +0.9%
+1.1M shares
40 SNDK SANDISK CORP
5,927,453 $13,477,427.7 0.40% ▲ Added +6.3%
+354K shares
41 TXN TEXAS INSTRS INC
44,453,341 $13,250,207.4 0.39% ▲ Added +3.2%
+1.4M shares
42 697435105 PALO ALTO NETWORKS INC 36,979,497 $12,610,748.1 0.37% ▲ Added +4.2%
+1.5M shares
43 MRVL MARVELL TECHNOLOGY INC
41,834,272 $12,462,011.3 0.37% ▲ Added +79.3%
+18.5M shares
44 PLTR PALANTIR TECHNOLOGIES INC
104,490,468 $12,190,902.9 0.36% ▲ Added +2.8%
+2.9M shares
45 ORCL ORACLE CORP
78,645,193 $11,525,453.0 0.34% ▲ Added +3.1%
+2.3M shares
46 WFC WELLS FARGO & CO
135,987,935 $11,238,042.9 0.33% ▲ Added +0.4%
+494K shares
47 AMGN AMGEN INC
30,560,537 $11,066,581.7 0.33% ▲ Added
+12K shares
48 LIN LINDE PLC
20,344,181 $10,558,016.0 0.31% ▲ Added +3.7%
+719K shares
49 APH AMPHENOL CORP
59,492,948 $10,504,081.2 0.31% ▲ Added +3.7%
+2.1M shares
50 GLW CORNING INC
41,108,384 $10,500,314.5 0.31% ▲ Added +13.4%
+4.8M shares
Total (shown) $1,883,945,442.8 55.86%
CIK: 0000315066 Filing date: 2026-08-13 Period: 2026-06-30 Reported AUM: $2,303,851,770M Holdings shown: 50 / 5548 · Shown value: $1,309,418,418M (56.8% of AUM)

AUM by Quarter

Sector Concentration

New Positions This Quarter

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 NVDA NVIDIA CORPORATION
1,026,051,548 $205,302,654.3 8.91% ▲ Added +3.2%
+32.2M shares
2 GOOGL ALPHABET INC
372,672,998 $132,689,435.2 5.76% ▲ Added +12.3%
+13.4M shares
3 AAPL APPLE INC
325,348,754 $94,142,915.4 4.09% ▲ Added +5.8%
+17.9M shares
4 AMZN AMAZON COM INC
365,660,364 $87,151,491.5 3.78% ▲ Added +1.9%
+7.0M shares
5 MSFT MICROSOFT CORP
185,960,066 $69,366,824.2 3.01% ▼ Reduced -2.2%
-4.3M shares
6 AVGO BROADCOM INC
144,359,173 $54,531,677.4 2.37% ▲ Added +16.3%
+20.2M shares
7 META META PLATFORMS INC
95,895,744 $54,017,113.0 2.34% ▼ Reduced -17.8%
-20.7M shares
8 84615Q103 SPACE EXPLORATION TECHN CORP 302,555,831 $51,655,459.7 2.24% New
9 GEV GE AEROSPACE
65,171,899 $37,295,343.7 1.62% ▼ Reduced -5.0%
-2.6M shares
10 LLY ELI LILLY & CO
43,224,453 $35,015,017.0 1.52% ▲ Added +8.1%
+2.1M shares
11 MU MICRON TECHNOLOGY INC
26,718,869 $30,841,323.3 1.34% ▼ Reduced -16.6%
-5.3M shares
12 TSM TAIWAN SEMICONDUCTOR MANUFAC
58,937,551 $28,146,806.4 1.22% ▼ Reduced -2.4%
-1.5M shares
13 BRK-B BERKSHIRE HATHAWAY INC DEL
42,063,146 $20,516,635.6 0.89% ▲ Added +5.6%
+-4,553,691 shares
14 XOM EXXON MOBIL CORP
137,736,841 $18,831,380.8 0.82% ▼ Reduced -1.6%
-2.3M shares
15 SNDK SANDISK CORP
7,861,665 $17,875,301.8 0.78% ▼ Reduced -41.3%
-5.5M shares
16 MRVL MARVELL TECHNOLOGY INC
56,933,063 $16,959,790.3 0.74% ▼ Reduced -56.6%
-74.3M shares
17 TSLA TESLA INC
39,766,224 $16,725,673.8 0.73% ▲ Added +10.4%
+3.7M shares
18 WDC WESTERN DIGITAL CORP
25,983,645 $16,596,273.7 0.72% ▼ Reduced -17.8%
-5.6M shares
19 AMD ADVANCED MICRO DEVICES INC
25,558,552 $14,847,218.6 0.64% ▲ Added +67.2%
+10.3M shares
20 V VISA INC
42,929,995 $14,728,852.0 0.64% ▼ Reduced -4.4%
-2.0M shares
21 LRCX LAM RESEARCH CORP
33,677,858 $14,593,625.9 0.63% ▲ Added +0.3%
+103K shares
22 INTC INTEL CORP
94,431,754 $13,185,505.8 0.57% ▲ Added +64.2%
+36.9M shares
23 KLAC KLA CORP
43,007,912 $12,975,916.9 0.56%
24 BA BOEING CO
58,951,274 $12,761,182.3 0.55% ▲ Added +3.6%
+2.1M shares
25 WFC WELLS FARGO & CO
152,555,290 $12,607,169.1 0.55% ▼ Reduced -5.7%
-9.1M shares
26 APH AMPHENOL CORP
70,569,005 $12,442,727.0 0.54% ▼ Reduced -11.2%
-8.9M shares
27 MA MASTERCARD INCORPORATED
23,843,483 $12,246,012.8 0.53% ▼ Reduced -1.7%
-420K shares
28 ALAB ASTERA LABS INC
24,845,364 $12,000,807.7 0.52% ▼ Reduced -2.7%
-685K shares
29 UNH UNITEDHEALTH GROUP INC
27,992,995 $11,634,728.6 0.51% ▲ Added +132.9%
+16.0M shares
30 NFLX NETFLIX INC.
155,901,551 $11,570,584.9 0.50% ▲ Added +2.4%
+-68,713,615 shares
31 ASML ASML HLDG NV
5,478,341 $10,898,828.8 0.47% ▲ Added +74.0%
+2.3M shares
32 BAC BANK OF AMER CORP
189,182,396 $10,779,613.0 0.47% ▼ Reduced -4.7%
-9.3M shares
33 KO COCA COLA CO
118,863,045 $10,099,653.3 0.44% ▲ Added +1.5%
+1.6M shares
34 316188705 FIDELITY MERRIMACK STR TR 217,976,663 $9,556,096.9 0.41% ▲ Added +5.2%
+10.8M shares
35 CIEN CIENA CORP
19,113,538 $9,376,337.1 0.41% ▼ Reduced -9.9%
-2.1M shares
36 CSCO CISCO SYS INC
76,063,526 $8,934,421.8 0.39% ▲ Added +12.9%
+8.7M shares
37 APP APPLOVIN CORP
17,293,553 $8,910,157.8 0.39% ▲ Added +10.2%
+1.6M shares
38 JPM JPMORGAN CHASE & CO
26,296,276 $8,607,559.9 0.37% ▼ Reduced -16.3%
-5.1M shares
39 GILD GILEAD SCIENCES INC
66,870,816 $8,448,459.0 0.37% ▼ Reduced -7.0%
-5.0M shares
40 PM PHILIP MORRIS INTL INC
46,521,326 $8,416,173.2 0.37% ▲ Added +3.9%
+1.8M shares
41 LOW LOWES COS INC
37,267,356 $8,217,079.4 0.36% ▲ Added +17.0%
+5.4M shares
42 ANET ARISTA NETWORKS INC
47,349,865 $8,043,795.0 0.35% ▼ Reduced -9.5%
-5.0M shares
43 G7997R103 SEAGATE TECHNOLOGY HLDNGS PL 8,153,134 $7,867,773.1 0.34% ▼ Reduced -0.3%
-24K shares
44 609839105 MONOLITHIC PWR SYS INC 5,177,258 $7,156,835.7 0.31% ▲ Added +17.6%
+776K shares
45 NXPI NXP SEMICONDUCTORS N V
25,240,381 $7,093,304.5 0.31% ▲ Added +0.4%
+99K shares
46 TMO THERMO FISHER SCIENTIFIC INC
14,084,488 $7,061,398.7 0.31% ▲ Added +30.7%
+3.3M shares
47 697435105 PALO ALTO NETWORKS INC 20,054,462 $6,838,972.4 0.30% ▲ Added +147.4%
+11.9M shares
48 SHEL SHELL PLC
87,332,346 $6,771,750.2 0.29% ▼ Reduced -10.5%
-10.3M shares
49 AMAT APPLIED MATLS INC
9,274,335 $6,705,343.8 0.29% ▲ Added +45.0%
+2.9M shares
50 HD HOME DEPOT INC
18,088,396 $6,379,415.4 0.28% ▲ Added +31.8%
+4.4M shares
Total (shown) $1,309,418,417.7 56.85%
Failed to fetch: No 13F-HR filings found ↻ Retry
CIK: 0001000275 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $590,755,495M Holdings shown: 50 / 7086 · Shown value: $299,083,910M (50.6% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 GOOGL ALPHABET INC
59,277,553 $21,092,464.0 3.57% ▲ Added +0.9%
+211K shares
2 AAPL APPLE INC
65,402,666 $18,924,916.0 3.20% ▼ Reduced -2.3%
-1.6M shares
3 NVDA NVIDIA CORPORATION
87,111,508 $17,430,142.0 2.95% ▼ Reduced -6.3%
-5.9M shares
4 780087102 ROYAL BK CDA 70,220,631 $14,533,563.0 2.46% ▼ Reduced -1.5%
-1.1M shares
5 MSFT MICROSOFT CORP
35,375,499 $13,195,766.0 2.23% ▼ Reduced -4.6%
-1.7M shares
6 891160509 TORONTO DOMINION BK ONT 106,815,681 $12,970,628.0 2.20% ▼ Reduced -6.7%
-7.7M shares
7 AMZN AMAZON COM INC
52,741,836 $12,570,489.0 2.13% ▲ Added +13.4%
+6.2M shares
8 IVV ISHARES TR
15,507,803 $11,613,640.0 1.97% ▼ Reduced -15.2%
-2.8M shares
9 063671101 BANK MONTREAL MEDIUM 52,167,653 $9,218,025.0 1.56% ▼ Reduced -0.8%
-430K shares
10 AVGO BROADCOM INC
20,519,138 $7,751,104.0 1.31% ▼ Reduced -13.7%
-3.2M shares
11 JPM JPMORGAN CHASE & CO
22,764,634 $7,451,548.0 1.26% ▼ Reduced -4.7%
-1.1M shares
12 136069101 CANADIAN IMPERIAL BANK OF CO 63,563,007 $7,309,745.0 1.24% ▼ Reduced -4.0%
-2.7M shares
13 SPY STATE STR SPDR S&P 500 ETF T
9,162,383 $6,842,191.0 1.16% ▲ Added +43.5%
+2.8M shares
14 BRK-B BERKSHIRE HATHAWAY INC DEL
24,319,936 $6,807,420.0 1.15% ▲ Added +78.6%
+-8 shares
15 29250N105 ENBRIDGE INC 108,387,706 $5,875,697.0 0.99% ▲ Added +5.6%
+5.7M shares
16 922908363 VANGUARD INDEX FDS 8,401,516 $5,770,245.0 0.98% ▲ Added +35.1%
+2.2M shares
17 064149107 BANK NOVA SCOTIA B C 65,848,379 $5,718,274.0 0.97% ▼ Reduced -8.4%
-6.0M shares
18 136385101 CANADIAN NAT RES LTD MED TER 137,606,544 $5,435,458.0 0.92% ▲ Added +10.3%
+12.8M shares
19 87807B107 TC ENERGY CORP 79,403,845 $5,263,680.0 0.89% ▼ Reduced -10.9%
-9.7M shares
20 LLY FLOOR & DECOR HLDGS INC
4,887,730 $5,259,019.0 0.89% ▲ Added +2.2%
+-42,449 shares
21 META META PLATFORMS INC
9,100,645 $5,126,304.0 0.87% ▲ Added +3.0%
+262K shares
22 BN BROOKFIELD CORP
115,757,146 $4,930,098.0 0.83% ▲ Added +1.7%
+2.0M shares
23 13646K108 CANADIAN PACIFIC KANSAS CITY 54,236,633 $4,699,603.0 0.80% ▲ Added +2.4%
+1.3M shares
24 56501R106 MANULIFE FINL CORP 108,016,896 $4,375,764.0 0.74% ▼ Reduced -2.7%
-3.0M shares
25 V VISA INC
12,404,729 $4,255,939.0 0.72% ▼ Reduced -0.9%
-115K shares
26 COST COSTCO WHOLESALE CORPORATION
4,292,111 $4,015,141.0 0.68% ▲ Added +14.2%
+533K shares
27 MU MICRON TECHNOLOGY INC
3,347,057 $3,863,474.0 0.65% ▲ Added +23.6%
+639K shares
28 136375102 CANADIAN NATL RY CO 31,156,081 $3,715,051.0 0.63% ▲ Added +13.3%
+3.6M shares
29 RTX PROCTER & GAMBLE CO
22,356,305 $3,594,128.0 0.61% ▲ Added +6.4%
+907K shares
30 SU SUNCOR ENERGY INC NEW
66,546,344 $3,572,209.0 0.60% ▲ Added +3.9%
+2.5M shares
31 JCI JOHNSON & JOHNSON
13,211,475 $3,355,317.0 0.57% ▼ Reduced -1.3%
-176K shares
32 AMD ADVANCED MICRO DEVICES INC
5,760,799 $3,346,506.0 0.57% ▲ Added +11.2%
+581K shares
33 921943858 VANGUARD TAX-MANAGED FDS 46,391,963 $3,305,426.0 0.56% ▼ Reduced -1.9%
-921K shares
34 866796105 SUN LIFE FINANCIAL INC. 41,552,120 $3,258,516.0 0.55% ▼ Reduced -0.2%
-96K shares
35 KO DUKE ENERGY CORP NEW
34,821,061 $3,160,513.0 0.53% ▼ Reduced -7.6%
-597K shares
36 QQQ INVESCO QQQ TR
4,259,282 $3,136,535.0 0.53% ▲ Added +6.9%
+276K shares
37 WMT WALMART INC
27,048,733 $3,063,540.0 0.52% ▼ Reduced -2.7%
-744K shares
38 TSM TAIWAN SEMICONDUCTOR MANUFAC
6,388,408 $3,050,910.0 0.52% ▲ Added +1.5%
+95K shares
39 GEV GE VERNOVA INC
5,136,642 $2,930,062.0 0.50% ▲ Added +1.3%
+17K shares
40 TSLA TESLA INC
6,658,037 $2,800,370.0 0.47% ▲ Added +0.1%
+8K shares
41 SHOP SHOPIFY INC
23,534,300 $2,687,144.0 0.45% ▲ Added +8.7%
+1.9M shares
42 BAC BANK OF AMER CORP
45,390,319 $2,586,340.0 0.44% ▲ Added +2.4%
+1.1M shares
43 CSCO CISCO SYS INC
21,704,098 $2,549,364.0 0.43% ▲ Added +2.4%
+500K shares
44 HD HOME DEPOT INC
7,102,249 $2,504,822.0 0.42% ▼ Reduced -5.7%
-433K shares
45 XOM EXXON MOBIL CORP
17,999,883 $2,460,944.0 0.42% ▼ Reduced -4.9%
-920K shares
46 008474108 AGNICO EAGLE MINES LTD 15,483,185 $2,401,907.0 0.41% ▲ Added +3.0%
+452K shares
47 CAT CATERPILLAR INC
2,252,264 $2,398,437.0 0.41% ▲ Added +0.1%
+3K shares
48 697435105 PALO ALTO NETWORKS INC 6,959,433 $2,373,306.0 0.40% ▼ Reduced -7.9%
-597K shares
49 MA MASTERCARD INCORPORATED
4,544,017 $2,333,807.0 0.40% ▼ Reduced -7.5%
-367K shares
50 94106B101 WASTE CONNECTIONS INC 13,188,665 $2,198,419.0 0.37% ▲ Added +8.0%
+978K shares
Total (shown) $299,083,910.0 50.63%
CIK: 0000902219 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $580,055,306M Holdings shown: 50 / 1884 · Shown value: $285,535,660M (49.2% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 NVDA NVIDIA CORPORATION
122,084,399 $24,427,867.4 4.21% ▼ Reduced -8.8%
-11.8M shares
2 GOOGL ALPHABET INC
61,613,068 $21,949,135.9 3.78% ▲ Added +24.9%
+3.4M shares
3 AVGO BROADCOM INC
51,580,703 $19,484,610.6 3.36% ▲ Added +3.8%
+1.9M shares
4 MSFT MICROSOFT CORP
47,603,820 $17,757,176.9 3.06% ▼ Reduced -9.7%
-5.1M shares
5 AAPL APPLE INC
59,450,771 $17,202,675.1 2.97% ▼ Reduced -8.6%
-5.6M shares
6 LLY ELI LILLY & CO
10,998,953 $13,192,474.2 2.27% ▼ Reduced -18.1%
-2.4M shares
7 AMZN AMAZON COM INC
55,060,066 $13,123,016.1 2.26% ▼ Reduced -11.8%
-7.3M shares
8 MRK MERCK & CO INC
86,249,283 $11,083,032.9 1.91% ▲ Added +2.3%
+1.9M shares
9 MA MASTERCARD INCORPORATED
12,698,735 $6,522,070.3 1.12% ▼ Reduced -2.3%
-303K shares
10 MU MICRON TECHNOLOGY INC
5,045,141 $5,823,555.8 1.00% ▲ Added +28.7%
+1.1M shares
11 JCI JOHNSON & JOHNSON
22,588,696 $5,736,851.1 0.99% ▲ Added +12.5%
+2.5M shares
12 AMD ADVANCED MICRO DEVICES INC
9,334,396 $5,422,444.0 0.93% ▲ Added +33.9%
+2.4M shares
13 AZN ASTRAZENECA PLC
28,537,243 $5,363,367.8 0.92% ▲ Added +20.2%
+4.8M shares
14 KLAC KLA CORP
14,821,622 $4,471,831.6 0.77%
15 UNH UNITEDHEALTH GROUP INC
10,675,175 $4,436,923.0 0.76% ▲ Added +5.8%
+584K shares
16 09290D101 BLACKROCK INC 4,495,074 $4,322,283.4 0.75% ▲ Added +23.3%
+850K shares
17 TSLA TESLA INC
9,841,129 $4,139,178.9 0.71% ▲ Added +7.5%
+690K shares
18 META META PLATFORMS INC
7,225,624 $4,070,121.7 0.70% ▼ Reduced -38.2%
-4.5M shares
19 816851109 SEMPRA 43,813,771 $4,061,974.7 0.70% ▼ Reduced -5.0%
-2.3M shares
20 TXN TEXAS INSTRS INC
13,121,140 $3,911,018.2 0.67% ▼ Reduced -2.6%
-345K shares
21 87612G101 TARGA RES CORP 14,176,394 $3,801,258.3 0.66% ▼ Reduced -5.8%
-867K shares
22 ELV ELEVANCE HEALTH INC FORMERLY
9,213,513 $3,563,141.9 0.61% ▲ Added +12.0%
+985K shares
23 14149Y108 CARDINAL HEALTH INC 14,860,271 $3,530,206.0 0.61% ▲ Added +247.5%
+10.6M shares
24 126650100 CVS HEALTH CORP 33,801,113 $3,496,725.1 0.60% ▲ Added +49.8%
+11.2M shares
25 95040Q104 WELLTOWER INC 15,179,324 $3,445,251.2 0.59% ▼ Reduced -10.4%
-1.8M shares
26 V VISA INC
9,863,282 $3,383,993.4 0.58% ▼ Reduced -3.7%
-376K shares
27 GLW CORNING INC
13,174,194 $3,365,084.4 0.58% ▲ Added +50.9%
+4.4M shares
28 WFC WELLS FARGO & CO
39,422,141 $3,257,845.7 0.56% ▼ Reduced -40.1%
-26.4M shares
29 PM PHILIP MORRIS INTL INC
17,506,171 $3,167,041.4 0.55% ▲ Added +3.9%
+651K shares
30 KO COCA COLA CO
35,297,558 $3,151,539.4 0.54% ▲ Added +9.2%
+2.4M shares
31 DHR DANAHER CORP DEL
16,316,834 $3,108,030.5 0.54% ▲ Added +10.4%
+1.5M shares
32 DIS DISNEY WALT CO
31,986,559 $3,078,706.3 0.53% ▲ Added +14.7%
+4.1M shares
33 TSM TAIWAN SEMICONDUCTOR MANUFAC
6,383,164 $3,048,407.6 0.53% ▼ Reduced -16.0%
-1.2M shares
34 GEV GE VERNOVA INC
7,181,877 $2,991,670.3 0.52% ▲ Added +97.3%
+-316,757 shares
35 H42097107 UBS GROUP AG 59,553,311 $2,957,547.4 0.51% ▲ Added +19.3%
+9.6M shares
36 APH AMPHENOL CORP
16,579,919 $2,923,371.3 0.50% ▲ Added +10.5%
+1.6M shares
37 Y2573F102 FLEX LTD 17,978,332 $2,913,748.3 0.50% ▼ Reduced -11.2%
-2.3M shares
38 G29183103 EATON CORP PLC 6,827,266 $2,909,234.6 0.50% ▲ Added +19.6%
+1.1M shares
39 25278X109 DIAMONDBACK ENERGY INC 16,420,247 $2,886,351.0 0.50% ▲ Added +31.3%
+3.9M shares
40 MMC MARSH & MCLENNAN COS INC
16,975,238 $2,829,262.9 0.49% ▼ Reduced -2.3%
-395K shares
41 25746U109 DOMINION ENERGY INC 40,867,860 $2,790,866.2 0.48% ▼ Reduced -14.1%
-6.7M shares
42 HD HOME DEPOT INC
7,686,643 $2,710,925.3 0.47% ▼ Reduced -20.2%
-2.0M shares
43 863667101 STRYKER CORPORATION 8,167,185 $2,571,356.5 0.44% ▲ Added +0.6%
+45K shares
44 666807102 NORTHROP GRUMMAN CORP 4,932,780 $2,512,314.2 0.43% ▼ Reduced -0.8%
-38K shares
45 BAC BANK OF AMER CORP
44,077,493 $2,511,535.6 0.43% ▼ Reduced -5.5%
-2.6M shares
46 LIN LINDE PLC
4,815,253 $2,498,827.4 0.43% ▼ Reduced -6.5%
-337K shares
47 969457100 WILLIAMS COS INC 33,097,208 $2,460,446.4 0.42% ▲ Added +43.4%
+10.0M shares
48 SNDK SANDISK CORP
1,066,886 $2,425,810.7 0.42% ▲ Added +71.2%
+444K shares
49 NOC NASDAQ INC
30,332,286 $2,390,790.8 0.41% ▼ Reduced -16.4%
-5.9M shares
50 912008109 US FOODS HLDG CORP 23,009,877 $2,352,759.9 0.41% ▲ Added +46.1%
+7.3M shares
Total (shown) $285,535,659.6 49.18%
CIK: 0000073124 Filing date: 2026-08-13 Period: 2026-06-30 Reported AUM: $859,788,524M Holdings shown: 50 / 4419 · Shown value: $453,343,857M (52.7% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 NVDA NVIDIA CORPORATION
251,042,789 $50,231,151.7 5.84% ▼ Reduced -0.7%
-1.7M shares
2 AAPL APPLE INC
157,785,381 $45,656,777.8 5.31% ▼ Reduced -0.9%
-1.5M shares
3 GOOGL ALPHABET INC
117,825,978 $41,896,172.8 4.87% ▲ Added +0.8%
+-44,061 shares
4 MSFT MICROSOFT CORP
78,663,446 $29,343,038.6 3.41% ▼ Reduced -1.3%
-1.0M shares
5 AMZN AMAZON COM INC
94,581,659 $22,542,592.6 2.62% ▼ Reduced -0.6%
-545K shares
6 AVGO BROADCOM INC
48,192,379 $18,204,671.2 2.12% ▲ Added +1.2%
+567K shares
7 MU MICRON TECHNOLOGY INC
10,808,359 $12,475,980.7 1.45% ▲ Added +3.9%
+409K shares
8 META META PLATFORMS INC
21,901,618 $12,336,962.4 1.43% ▼ Reduced -0.4%
-78K shares
9 TSLA TESLA INC
25,815,785 $10,858,119.2 1.26% ▲ Added +0.6%
+156K shares
10 LLY ELI LILLY & CO
9,680,718 $10,603,690.4 1.23% ▼ Reduced -0.3%
-31K shares
11 BRK-B BERKSHIRE HATHAWAY INC DEL
33,656,948 $10,426,865.2 1.21% ▼ Reduced -0.3%
-50K shares
12 SPY STATE STR SPDR S&P 500 ETF T
13,734,618 $10,256,600.7 1.19% ▼ Reduced -0.8%
-105K shares
13 JPM JPMORGAN CHASE & CO
30,677,237 $10,041,580.0 1.17% ▼ Reduced -1.7%
-544K shares
14 AMD ADVANCED MICRO DEVICES INC
16,689,593 $9,695,151.5 1.13% ▲ Added +1.6%
+262K shares
15 JCI JOHNSON & JOHNSON
28,792,064 $7,312,320.5 0.85% ▼ Reduced -1.8%
-528K shares
16 GEV GE VERNOVA INC
12,952,051 $7,084,707.4 0.82% ▲ Added +0.5%
+14K shares
17 IVV ISHARES TR
9,279,474 $6,949,305.3 0.81% ▼ Reduced
-680 shares
18 AMAT APPLIED MATLS INC
8,867,150 $6,410,949.5 0.75% ▲ Added +0.9%
+79K shares
19 RTX PROCTER & GAMBLE CO
38,822,148 $6,211,459.8 0.72% ▼ Reduced -1.2%
-323K shares
20 LRCX LAM RESEARCH CORP
14,014,491 $6,072,899.4 0.71% ▼ Reduced -1.2%
-175K shares
21 CAT CATERPILLAR INC
5,664,155 $6,031,758.7 0.70% ▼ Reduced -0.3%
-15K shares
22 V VISA INC
17,462,827 $5,991,321.3 0.70% ▼ Reduced -1.1%
-188K shares
23 INTC INTEL CORP
42,819,683 $5,978,912.3 0.70% ▼ Reduced -4.6%
-2.1M shares
24 XOM EXXON MOBIL CORP
41,020,154 $5,608,275.5 0.65% ▼ Reduced -4.1%
-1.8M shares
25 CSCO CISCO SYS INC
46,006,896 $5,403,970.0 0.63% ▼ Reduced -2.9%
-1.4M shares
26 ABBV ABBVIE INC
20,558,447 $5,173,327.6 0.60% ▼ Reduced -3.1%
-653K shares
27 WMT WALMART INC
40,990,221 $4,642,552.4 0.54% ▼ Reduced -1.9%
-775K shares
28 KLAC KLA CORP
15,345,419 $4,629,866.4 0.54%
29 COST COSTCO WHOLESALE CORPORATION
4,835,919 $4,523,857.1 0.53% ▼ Reduced -1.9%
-92K shares
30 MA MASTERCARD INCORPORATED
8,508,557 $4,369,994.9 0.51% ▼ Reduced -2.1%
-180K shares
31 NFLX NETFLIX INC.
54,669,407 $4,186,197.9 0.49% ▼ Reduced -1.9%
-826K shares
32 KO COCA COLA CO
46,102,050 $4,074,918.0 0.47% ▼ Reduced -3.4%
-1.4M shares
33 HD HOME DEPOT INC
11,069,057 $3,903,835.0 0.45% ▼ Reduced -2.4%
-270K shares
34 921943858 VANGUARD TAX-MANAGED FDS 53,763,923 $3,830,679.5 0.45% ▲ Added +0.2%
+93K shares
35 33939L407 FLEXSHARES TR 76,418,004 $3,765,879.2 0.44% ▼ Reduced -0.6%
-460K shares
36 UNH UNITEDHEALTH GROUP INC
8,761,055 $3,641,357.3 0.42% ▼ Reduced -0.2%
-19K shares
37 922908769 VANGUARD INDEX FDS 9,674,144 $3,579,820.2 0.42% ▼ Reduced -0.4%
-41K shares
38 BAC BANK OF AMER CORP
62,473,308 $3,559,729.1 0.41% ▼ Reduced -1.1%
-663K shares
39 MRK MERCK & CO INC
26,275,718 $3,376,429.8 0.39% ▼ Reduced -3.0%
-814K shares
40 GS GOLDMAN SACHS GROUP INC
6,064,848 $3,373,865.5 0.39% ▼ Reduced -3.3%
-103K shares
41 CVX CHEVRON CORPORATION
19,354,494 $3,208,200.9 0.37% ▼ Reduced -4.6%
-923K shares
42 452308109 ILLINOIS TOOL WKS INC 11,061,411 $2,991,779.8 0.35% ▼ Reduced -1.3%
-140K shares
43 697435105 PALO ALTO NETWORKS INC 8,757,797 $2,986,583.9 0.35% ▲ Added +0.9%
+77K shares
44 TSM TAIWAN SEMICONDUCTOR MANUFAC
6,184,369 $2,953,469.1 0.34% ▼ Reduced -5.0%
-325K shares
45 922042858 VANGUARD INTL EQUITY INDEX F 48,574,319 $2,899,401.1 0.34% ▼ Reduced -3.5%
-1.8M shares
46 SNDK SANDISK CORP
1,274,137 $2,897,043.5 0.34% ▲ Added +3.2%
+39K shares
47 IBM INTERNATIONAL BUSINESS MACHS
10,227,731 $2,876,140.2 0.33% ▼ Reduced -0.7%
-77K shares
48 TXN TEXAS INSTRS INC
9,391,487 $2,799,320.5 0.33% ▼ Reduced -1.4%
-130K shares
49 ORCL ORACLE CORP
18,761,305 $2,749,469.2 0.32% ▼ Reduced -0.2%
-46K shares
50 MS MORGAN STANLEY
17,653,117 $2,724,904.5 0.32% ▼ Reduced -2.4%
-304K shares
Total (shown) $453,343,857.1 52.72%
CIK: 0001364742 Filing date: 2024-08-13 Period: 2024-06-30 Reported AUM: $4,411,116,948M Holdings shown: 50 / 5204 · Shown value: $2,120,959,384M (48.1% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 MSFT MICROSOFT CORP
553,976,307 $247,599,710.2 5.61% ▲ Added +1.5%
+8.0M shares
2 NVDA NVIDIA CORPORATION
1,839,270,238 $227,223,445.3 5.15%
3 AAPL APPLE INC
1,050,215,752 $221,196,441.6 5.01% ▲ Added +0.9%
+9.7M shares
4 GOOGL ALPHABET INC
776,413,627 $141,875,011.6 3.22% ▲ Added +1.2%
+-42,079 shares
5 AMZN AMAZON COM INC
648,695,172 $125,360,342.0 2.84% ▲ Added +1.6%
+10.2M shares
6 META META PLATFORMS INC
161,109,659 $81,234,712.2 1.84% ▲ Added +1.4%
+2.2M shares
7 LLY ELI LILLY & CO
81,853,273 $61,215,151.3 1.39% ▲ Added +0.9%
+582K shares
8 AVGO BROADCOM INC
34,200,333 $54,909,661.6 1.24% ▼ Reduced -2.0%
-707K shares
9 BRK-B BERKSHIRE HATHAWAY INC DEL
266,830,619 $54,280,905.3 1.23% ▼ Reduced -2.7%
-24 shares
10 JPM JPMORGAN CHASE & CO.
198,690,032 $40,187,045.9 0.91% ▲ Added +1.3%
+2.6M shares
11 TSLA TESLA INC
190,084,412 $37,613,903.4 0.85% ▲ Added +0.9%
+1.7M shares
12 UNH UNITEDHEALTH GROUP INC
73,428,872 $37,394,387.3 0.85% ▼ Reduced -0.3%
-242K shares
13 IVV ISHARES TR
66,396,707 $36,334,269.7 0.82% ▲ Added +4.3%
+2.8M shares
14 RTX PROCTER AND GAMBLE CO
254,919,399 $35,859,822.8 0.81% ▲ Added +0.9%
+1.4M shares
15 XOM EXXON MOBIL CORP
303,405,051 $34,927,989.5 0.79% ▲ Added +11.3%
+30.7M shares
16 V VISA INC
127,551,096 $33,478,336.3 0.76% ▲ Added +0.2%
+222K shares
17 MA MASTERCARD INCORPORATED
69,818,494 $30,801,127.0 0.70% ▲ Added +1.2%
+810K shares
18 JCI JOHNSON & JOHNSON
198,186,824 $28,966,986.3 0.66% ▲ Added +4.5%
+8.5M shares
19 COST COSTCO WHSL CORP NEW
33,186,596 $28,208,274.8 0.64% ▲ Added +2.6%
+835K shares
20 NFLX NETFLIX INC
150,854,751 $26,321,795.6 0.60% ▲ Added +0.7%
+224K shares
21 MRK MERCK & CO INC
207,295,317 $25,663,160.2 0.58% ▲ Added +0.1%
+280K shares
22 KO COCA COLA CO
368,380,079 $25,586,657.5 0.58% ▲ Added +0.3%
+1.1M shares
23 HD HOME DEPOT INC
71,146,698 $24,491,539.2 0.56% ▲ Added +0.6%
+457K shares
24 ABBV ABBVIE INC
136,431,510 $23,400,732.6 0.53% ▼ Reduced -4.6%
-6.5M shares
25 ADBE ADOBE INC
38,572,803 $21,428,734.9 0.49% ▼ Reduced -0.4%
-165K shares
26 AMD ADVANCED MICRO DEVICES INC
130,377,128 $21,148,473.9 0.48% ▲ Added +4.7%
+5.8M shares
27 WMT WALMART INC
296,914,676 $20,104,092.7 0.46% ▲ Added +1.0%
+3.0M shares
28 CVX CHEVRON CORP NEW
127,834,068 $19,995,804.9 0.45% ▼ Reduced -0.8%
-975K shares
29 CRM SALESFORCE INC
74,577,218 $19,173,802.9 0.43% ▲ Added +2.9%
+2.1M shares
30 QCOM QUALCOMM INC
95,879,184 $19,097,215.9 0.43% ▲ Added +2.3%
+2.1M shares
31 BAC BANK AMERICA CORP
473,118,758 $18,815,933.0 0.43% ▼ Reduced -3.0%
-14.5M shares
32 AMAT APPLIED MATLS INC
79,110,266 $18,669,231.8 0.42% ▲ Added +6.0%
+4.5M shares
33 ORCL ORACLE CORP
128,604,577 $18,158,966.2 0.41% ▲ Added +3.6%
+4.5M shares
34 PEP PEPSICO INC
109,223,019 $18,014,152.7 0.41% ▼ Reduced -0.9%
-942K shares
35 46432F834 ISHARES TR 265,242,407 $17,919,777.0 0.41% ▲ Added +1.2%
+3.2M shares
36 CSCO CISCO SYS INC
354,833,743 $16,858,151.2 0.38% ▲ Added +1.3%
+4.5M shares
37 TMO THERMO FISHER SCIENTIFIC INC
29,529,326 $16,329,717.6 0.37% ▲ Added +1.9%
+549K shares
38 INTU INFOSYS LTD
38,627,426 $16,293,632.5 0.37% ▲ Added +1.3%
+-2,513,427 shares
39 LIN LINDE PLC
35,958,770 $15,779,067.8 0.36% ▲ Added +0.1%
+31K shares
40 GEV GE AEROSPACE
97,809,809 $15,775,432.3 0.36% ▲ Added +13.1%
+9.2M shares
41 TXN TEXAS INSTRS INC
78,747,016 $15,318,656.9 0.35% ▲ Added +0.3%
+208K shares
42 WFC WELLS FARGO CO NEW
253,970,381 $15,083,300.9 0.34% ▼ Reduced -2.1%
-5.4M shares
43 COIN COINBASE GLOBAL INC
332,124,517 $15,016,495.7 0.34% ▲ Added +19.3%
+1.8M shares
44 ACN ACCENTURE PLC IRELAND
48,976,937 $14,860,092.5 0.34% ▲ Added +0.2%
+115K shares
45 VZ VERIZON COMMUNICATIONS INC
348,871,645 $14,387,466.6 0.33% ▲ Added +2.2%
+7.4M shares
46 AMGN AMGEN INC
46,042,729 $14,386,050.8 0.33% ▼ Reduced -4.0%
-1.9M shares
47 512807108 LAM RESEARCH CORP 12,929,760 $13,768,255.0 0.31% ▲ Added +6.2%
+757K shares
48 ABT ABBOTT LABS
131,129,688 $13,625,685.8 0.31% ▼ Reduced -1.5%
-1.9M shares
49 NOW SERVICENOW INC
17,059,121 $13,419,898.5 0.30% ▲ Added +5.7%
+914K shares
50 ISRG INTUITIVE SURGICAL INC
30,122,254 $13,399,884.6 0.30% ▼ Reduced -0.7%
-199K shares
Total (shown) $2,120,959,383.8 48.08%
CIK: 0001350694 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $24,376,086M Holdings shown: 50 / 988 · Shown value: $14,885,371M (61.1% of AUM)

AUM by Quarter

Sector Concentration

New Positions This Quarter

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 SPY STATE STR SPDR S&P 500 ETF T
5,320,308 $3,973,046.4 16.30% ▲ Added +21.9%
+955K shares
2 IVV ISHARES TR
3,002,286 $2,248,382.0 9.22% ▲ Added +12.1%
+323K shares
3 NVDA NVIDIA CORPORATION
3,866,195 $773,587.0 3.17% ▼ Reduced -17.6%
-827K shares
4 GOOGL ALPHABET INC
1,396,383 $498,725.6 2.05% ▼ Reduced -33.8%
-675K shares
5 AVGO BROADCOM INC
1,317,923 $497,845.4 2.04% ▼ Reduced -28.2%
-517K shares
6 AMZN AMAZON COM INC
2,025,481 $482,753.1 1.98% ▼ Reduced -53.8%
-2.4M shares
7 LRCX LAM RESEARCH CORP
938,224 $406,560.6 1.67% ▼ Reduced -40.3%
-633K shares
8 922908363 VANGUARD INDEX FDS 458,381 $314,820.7 1.29% ▲ Added +189.0%
+300K shares
9 AMD ADVANCED MICRO DEVICES INC
538,632 $312,896.7 1.28% ▼ Reduced -58.3%
-754K shares
10 464286772 ISHARES INC 1,384,772 $279,585.5 1.15% ▼ Reduced -21.6%
-381K shares
11 MSFT MICROSOFT CORP
711,896 $265,551.4 1.09% ▼ Reduced -34.4%
-373K shares
12 NFLX NEWMONT CORP
2,695,170 $251,728.9 1.03% ▲ Added +16.3%
+379K shares
13 AMAT APPLIED MATLS INC
291,426 $210,701.0 0.86% ▼ Reduced -48.0%
-268K shares
14 ORCL ORACLE CORP
1,432,967 $210,001.3 0.86% ▼ Reduced -10.0%
-159K shares
15 G7997R103 SEAGATE TECHNOLOGY HLDNGS PL 199,822 $192,828.2 0.79% ▼ Reduced -39.3%
-129K shares
16 GEV GE AEROSPACE
224,337 $182,194.6 0.75% ▼ Reduced -15.8%
-19K shares
17 JCI JOHNSON & JOHNSON
669,135 $169,940.2 0.70% ▼ Reduced -4.0%
-28K shares
18 922042858 VANGUARD INTL EQUITY INDEX F 2,746,819 $163,957.6 0.67% ▲ Added +0.9%
+25K shares
19 UNP UNION PAC CORP
514,266 $139,880.4 0.57% ▼ Reduced -3.5%
-19K shares
20 MU MICRON TECHNOLOGY INC
116,666 $134,666.4 0.55% ▼ Reduced -92.1%
-1.4M shares
21 464288588 ISHARES TR 1,386,800 $131,080.3 0.54% ▲ Added +2.0%
+27K shares
22 02209S103 ALTRIA GROUP INC 1,727,216 $124,273.2 0.51% ▲ Added +1.3%
+22K shares
23 APH AMPHENOL CORP
697,612 $123,002.9 0.50% ▼ Reduced -19.2%
-165K shares
24 ASML ASML HLDG NV
61,675 $122,698.7 0.50% ▼ Reduced -33.1%
-31K shares
25 06849F108 BARRICK MNG CORP 3,304,836 $121,387.2 0.50% ▲ Added +7.3%
+226K shares
26 CLS CELESTICA INC
330,689 $120,635.3 0.49% ▼ Reduced -37.1%
-195K shares
27 VST VISTRA CORP
751,695 $119,241.4 0.49% ▲ Added +115.7%
+403K shares
28 SHEL SHELL PLC
1,526,163 $118,338.7 0.49% ▲ Added +388.9%
+1.2M shares
29 SE SEA LTD
1,204,563 $115,433.3 0.47% ▼ Reduced -10.0%
-134K shares
30 464287242 ISHARES TR 1,050,500 $114,578.0 0.47% ▲ Added +2.8%
+29K shares
31 NUE NUCOR CORP
513,423 $114,365.0 0.47% ▼ Reduced -17.0%
-105K shares
32 693718108 PACCAR INC 946,107 $113,646.4 0.47% ▲ Added +21.8%
+169K shares
33 WDC WESTERN DIGITAL CORP
172,415 $110,124.9 0.45% ▼ Reduced -30.8%
-77K shares
34 46434G103 ISHARES INC 1,328,276 $110,034.4 0.45% ▼ Reduced -1.1%
-15K shares
35 CSX CSX CORP
2,229,965 $105,990.2 0.43% ▼ Reduced -6.1%
-145K shares
36 71654V408 PETROLEO BRASILEIRO S A 6,524,553 $105,436.8 0.43% ▲ Added +466.9%
+5.4M shares
37 AAPL APPLE INC
364,377 $105,436.1 0.43% ▼ Reduced -35.3%
-199K shares
38 LLY ELI LILLY & CO
87,023 $104,378.0 0.43% ▲ Added +22.9%
+16K shares
39 PCG PG&E CORP
5,931,314 $99,764.7 0.41%
40 KLAC KLA CORP
328,070 $98,982.0 0.41% ▲ Added +201.9%
+219K shares
41 FIX COMFORT SYS USA INC
48,506 $96,136.5 0.39% ▼ Reduced -43.9%
-38K shares
42 NXPI NXP SEMICONDUCTORS N V
337,405 $94,820.9 0.39% ▲ Added +28.4%
+75K shares
43 WFC WELLS FARGO & CO
1,145,854 $94,693.4 0.39% ▲ Added +21.6%
+203K shares
44 EIX EDISON INTL
1,234,614 $91,917.0 0.38%
45 46434G764 ISHARES INC 880,516 $90,076.8 0.37% ▼ Reduced -17.9%
-192K shares
46 56585A102 MARATHON PETE CORP 349,224 $89,286.1 0.37% ▲ Added +351.9%
+272K shares
47 858119100 STEEL DYNAMICS INC 378,490 $86,848.3 0.36% ▼ Reduced -13.6%
-60K shares
48 30040W108 EVERSOURCE ENERGY 1,195,140 $86,372.8 0.35% New
49 G87052109 TE CONNECTIVITY PLC 426,718 $86,030.6 0.35% ▲ Added +26.9%
+91K shares
50 032654105 ANALOG DEVICES INC 203,208 $80,708.1 0.33% ▲ Added +269.0%
+148K shares
Total (shown) $14,885,371.0 61.04%
CIK: 0001423053 Filing date: 2026-09-02 Period: 2026-06-30 Reported AUM: $174,136,366M Holdings shown: 50 / 6331 · Shown value: $54,676,347M (31.4% of AUM)

AUM by Quarter

Sector Concentration

New Positions This Quarter

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 IVV ISHARES TR
17,676,489 $13,237,745.8 7.60% ▲ Added +335.3%
+13.6M shares
2 AMZN AMAZON COM INC
10,882,003 $2,593,616.6 1.49% ▲ Added +34.3%
+2.8M shares
3 NVDA NVIDIA CORPORATION
11,815,467 $2,364,156.8 1.36% ▼ Reduced -36.7%
-6.8M shares
4 AAPL APPLE INC
7,296,076 $2,111,192.6 1.21% ▲ Added +39.9%
+2.1M shares
5 GOOGL ALPHABET INC
5,536,114 $1,968,157.1 1.13% ▲ Added +5.9%
+141K shares
6 MSFT MICROSOFT CORP
3,770,405 $1,406,436.5 0.81% ▲ Added +42.9%
+1.1M shares
7 285512109 ELECTRONIC ARTS INC 5,906,884 $1,211,147.5 0.70% ▲ Added +103.0%
+3.0M shares
8 934423104 WARNER BROS DISCOVERY INC 44,587,810 $1,188,711.0 0.68% ▲ Added +51.8%
+15.2M shares
9 LLY ELI LILLY & CO
1,120,737 $1,144,413.0 0.66% ▲ Added +291.1%
+704K shares
10 AVGO BROADCOM INC
2,901,715 $1,096,122.8 0.63% ▼ Reduced -10.9%
-356K shares
11 09290D101 BLACKROCK INC 1,097,186 $1,055,010.2 0.61% ▲ Added +56.0%
+394K shares
12 AMD ADVANCED MICRO DEVICES INC
1,599,430 $929,124.9 0.53% ▲ Added +154.9%
+972K shares
13 KO COCA COLA CO
9,868,189 $893,273.9 0.51% ▲ Added +21.8%
+1.4M shares
14 84615Q103 SPACE EXPLORATION TECHN CORP 5,129,884 $876,492.0 0.50% New
15 NFLX NETFLIX INC.
11,224,832 $853,873.1 0.49% ▲ Added +412.2%
+7.1M shares
16 BRK-B BERKSHIRE HATHAWAY INC DEL
2,772,283 $808,542.4 0.46% ▼ Reduced -9.0%
-108K shares
17 ABBV ABBVIE INC
3,169,783 $797,644.2 0.46%
18 RTX PROCTER & GAMBLE CO
4,813,047 $787,968.8 0.45% ▲ Added +323.9%
+2.2M shares
19 AMAT APPLIED MATLS INC
1,080,951 $781,527.6 0.45% ▼ Reduced -16.2%
-210K shares
20 ABT ABBOTT LABORATORIES
8,597,227 $780,112.4 0.45% ▲ Added +348.7%
+6.7M shares
21 KLAC KLA CORP
2,541,076 $766,668.0 0.44%
22 443201108 HOWMET AEROSPACE INC 2,819,959 $758,174.2 0.44% ▲ Added +177.1%
+1.8M shares
23 MA MASTERCARD INCORPORATED
1,467,770 $753,846.7 0.43% ▲ Added +30.4%
+342K shares
24 G7997R103 SEAGATE TECHNOLOGY HLDNGS PL 755,495 $729,052.7 0.42%
25 JPM JPMORGAN CHASE & CO
2,214,465 $724,860.8 0.42% ▼ Reduced -9.0%
-218K shares
26 ORCL ORACLE CORP
4,756,029 $696,996.1 0.40% ▲ Added +106.5%
+2.5M shares
27 MU MICRON TECHNOLOGY INC
600,523 $693,177.7 0.40% ▼ Reduced -86.9%
-4.0M shares
28 ORLY OREILLY AUTOMOTIVE INC
7,019,578 $646,432.9 0.37% ▲ Added +44.7%
+2.2M shares
29 META META PLATFORMS INC
1,120,322 $631,066.2 0.36% ▼ Reduced -38.8%
-709K shares
30 WMT WALMART INC
5,509,526 $624,008.9 0.36% ▲ Added +352.8%
+4.3M shares
31 BKNG BOOKING HOLDINGS INC
2,638,161 $623,287.9 0.36% ▲ Added +116.2%
32 LRCX LAM RESEARCH CORP
1,420,975 $615,751.1 0.35% ▲ Added +27.5%
+306K shares
33 TXN TEXAS INSTRS INC
2,055,598 $612,712.1 0.35% ▲ Added +459.3%
+1.7M shares
34 UAL UNITED AIRLS HLDGS INC
4,331,239 $589,005.2 0.34% ▲ Added +5.8%
+236K shares
35 INTC INTEL CORP
4,218,311 $589,002.8 0.34% ▼ Reduced -33.3%
-2.1M shares
36 CVX CHEVRON CORPORATION
3,496,126 $579,517.8 0.33% ▲ Added +145.1%
+2.1M shares
37 XOM EXXON MOBIL CORP
4,083,577 $558,306.6 0.32% ▲ Added +212.2%
+2.8M shares
38 WFC WELLS FARGO & CO
6,738,530 $556,872.1 0.32% ▲ Added +198.9%
+4.5M shares
39 49271V100 KEURIG DR PEPPER INC 16,662,968 $545,378.9 0.31%
40 609207105 MONDELEZ INTL INC 9,404,510 $543,956.9 0.31%
41 HD HOME DEPOT INC
1,518,105 $535,405.3 0.31% ▲ Added +3.7%
+53K shares
42 69351T106 PPL CORP 14,356,145 $521,845.9 0.30% ▲ Added +72.4%
+6.0M shares
43 TSLA TESLA INC
1,226,238 $515,755.7 0.30% ▼ Reduced -41.4%
-866K shares
44 697435105 PALO ALTO NETWORKS INC 1,499,125 $511,231.6 0.29% ▼ Reduced -17.8%
-325K shares
45 NSC NORFOLK SOUTHN CORP
1,585,467 $498,772.1 0.29% ▼ Reduced -39.5%
-1.0M shares
46 126650100 CVS HEALTH CORP 4,812,530 $497,856.2 0.29% ▼ Reduced -11.3%
-616K shares
47 94106B101 WASTE CONNECTIONS INC 2,890,779 $481,864.0 0.28% ▼ Reduced -7.2%
-223K shares
48 COST COSTCO WHOLESALE CORPORATION
509,661 $476,772.6 0.27% ▼ Reduced -6.4%
-35K shares
49 ANET ARISTA NETWORKS INC
2,698,477 $458,417.3 0.26% ▲ Added +411.9%
+2.2M shares
50 74762E102 QUANTA SVCS INC 632,022 $455,081.1 0.26%
Total (shown) $54,676,346.6 31.40%
CIK: 0001273087 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $148,070,409M Holdings shown: 50 / 3821 · Shown value: $48,752,696M (32.9% of AUM)

AUM by Quarter

Sector Concentration

New Positions This Quarter

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 IVV ISHARES TR
14,503,932 $10,861,849.6 7.34% ▲ Added +11.7%
+1.5M shares
2 SPY STATE STR SPDR S&P 500 ETF T
4,857,109 $3,627,143.3 2.45%
3 84615Q103 SPACE EXPLORATION TECHN CORP 17,604,863 $2,981,723.4 2.01% New
4 NVDA NVIDIA CORPORATION
12,157,614 $2,432,617.0 1.64% ▲ Added +14.8%
+1.6M shares
5 NSC NORFOLK SOUTHN CORP
5,201,728 $1,636,411.6 1.11% ▲ Added +13.5%
+618K shares
6 MSFT MICROSOFT CORP
4,240,904 $1,581,942.0 1.07% ▲ Added +51.6%
+1.4M shares
7 934423104 WARNER BROS DISCOVERY INC 57,657,575 $1,537,150.9 1.04% ▲ Added +31.2%
+13.7M shares
8 922908363 VANGUARD INDEX FDS 1,825,001 $1,253,428.9 0.85% ▲ Added +79.5%
+808K shares
9 AMZN AMAZON COM INC
4,116,745 $981,185.0 0.66% ▲ Added +46.7%
+1.3M shares
10 958102AT2 WESTERN DIGITAL CORP 58,044,000 $979,974.7 0.66% ▼ Reduced -71.8%
-147.5M shares
11 285512109 ELECTRONIC ARTS INC 4,337,512 $889,363.5 0.60% ▲ Added +1.4%
+62K shares
12 SNDK SANDISK CORP
366,129 $832,478.5 0.56% ▼ Reduced -67.9%
-776K shares
13 BE BLOOM ENERGY CORP
2,522,461 $763,548.9 0.52%
14 TSM TAIWAN SEMICONDUCTOR MANUFAC
1,592,445 $760,504.0 0.51% ▼ Reduced -28.7%
-640K shares
15 META META PLATFORMS INC
1,299,244 $731,851.2 0.49% ▼ Reduced -35.2%
-706K shares
16 FCX FREEPORT MCMORAN INC
11,452,370 $720,239.5 0.49% ▼ Reduced -9.6%
-1.2M shares
17 KVUE KENVUE INC
36,939,026 $705,904.8 0.48% ▲ Added +16.2%
+5.1M shares
18 QQQ INVESCO QQQ TR
933,655 $687,543.5 0.46% ▲ Added +51.1%
+316K shares
19 UNH UNITEDHEALTH GROUP INC
1,617,653 $672,345.1 0.45% ▲ Added +19.2%
+261K shares
20 629377508 NRG ENERGY INC 4,257,712 $621,881.4 0.42% ▲ Added +114.4%
+2.3M shares
21 025537101 AMERICAN ELEC PWR CO INC 4,488,072 $614,013.1 0.41% ▲ Added +8.1%
+337K shares
22 G7997R103 SEAGATE TECHNOLOGY HLDNGS PL 633,069 $610,911.6 0.41% ▲ Added +152.9%
+383K shares
23 MU MICRON TECHNOLOGY INC
517,125 $596,912.2 0.40% ▼ Reduced -67.8%
-1.1M shares
24 BKNG BOOKING HOLDINGS INC
2,763,123 $595,223.9 0.40% ▲ Added +373.7%
25 G25457105 CREDO TECHNOLOGY GROUP HOLDI 1,997,808 $543,303.9 0.37% ▲ Added +178.6%
+1.3M shares
26 45167R104 IDEX CORP 2,369,834 $537,833.8 0.36% ▲ Added +18.7%
+374K shares
27 45866F104 INTERCONTINENTAL EXCHANGE IN 4,166,481 $512,935.5 0.35% ▲ Added +107.4%
+2.2M shares
28 CVX CHEVRON CORPORATION
3,056,388 $506,626.9 0.34% ▲ Added +76.5%
+1.3M shares
29 AMD ADVANCED MICRO DEVICES INC
863,984 $501,896.9 0.34% ▼ Reduced -40.1%
-580K shares
30 16411R208 CHENIERE ENERGY INC 2,069,180 $494,554.7 0.33% ▲ Added +42.6%
+618K shares
31 09290D101 BLACKROCK INC 495,262 $476,224.1 0.32% ▼ Reduced -22.8%
-146K shares
32 12504L109 CBRE GROUP INC 3,360,979 $452,690.3 0.31% ▼ Reduced -21.7%
-933K shares
33 RTX PROCTER & GAMBLE CO
2,716,252 $451,463.3 0.30% ▲ Added +43.3%
+448K shares
34 BRK-B BERKSHIRE HATHAWAY INC DEL
1,547,218 $447,080.3 0.30% ▼ Reduced -10.0%
-65K shares
35 55354G100 MSCI INC 741,928 $415,509.4 0.28% ▲ Added +21.2%
+130K shares
36 G491BT108 INVESCO LTD 15,689,569 $414,047.7 0.28% ▼ Reduced -27.5%
-6.0M shares
37 DHR DANAHER CORP DEL
2,140,587 $407,739.0 0.28%
38 TSLA TESLA INC
962,443 $404,803.5 0.27% ▼ Reduced -38.8%
-610K shares
39 695156109 PACKAGING CORP AMER 1,692,740 $403,346.1 0.27% ▲ Added +51.7%
+577K shares
40 MA MASTERCARD INCORPORATED
776,247 $398,680.5 0.27% ▼ Reduced -5.0%
-41K shares
41 WFC WELLS FARGO & CO
4,748,679 $392,430.8 0.27% ▲ Added +33.8%
+1.2M shares
42 526107107 LENNOX INTL INC 683,440 $391,576.9 0.26% ▲ Added +273.1%
+500K shares
43 ABBV ABBVIE INC
1,516,475 $381,605.8 0.26% ▲ Added +124.4%
+841K shares
44 947890109 WEBSTER FINL CORP 4,969,162 $379,743.4 0.26% ▲ Added +13.0%
+573K shares
45 69351T106 PPL CORP 10,337,308 $375,761.1 0.25% ▲ Added +20.4%
+1.8M shares
46 G4253H101 JAMES HARDIE INDS PLC 14,088,186 $368,828.7 0.25% ▲ Added +317.8%
+10.7M shares
47 03027X100 AMERICAN TOWER CORP 2,190,378 $358,280.1 0.24% ▲ Added +114.5%
+1.2M shares
48 COST COSTCO WHOLESALE CORPORATION
380,749 $356,179.3 0.24% ▲ Added +178.9%
+244K shares
49 INTU INFOSYS LTD
6,423,654 $353,128.4 0.24% ▲ Added +405.9%
+-1,112,304 shares
50 25179M103 DEVON ENERGY CORP NEW 8,477,202 $350,278.0 0.24%
Total (shown) $48,752,696.0 32.91%
CIK: 0001603466 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $65,441,356M Holdings shown: 50 / 1973 · Shown value: $22,649,046M (34.6% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 G25457105 CREDO TECHNOLOGY GROUP HOLDI 6,153,132 $1,673,344.2 2.56% ▼ Reduced -17.7%
-1.3M shares
2 RTX PROCTER & GAMBLE CO
7,621,103 $1,259,674.0 1.92% ▲ Added +105.8%
+2.2M shares
3 ASML ASML HLDG NV
554,661 $1,103,464.8 1.69% ▼ Reduced -1.8%
-10K shares
4 AMZN AMAZON COM INC
4,449,716 $1,060,545.3 1.62% ▼ Reduced -10.3%
-509K shares
5 55306N104 MKS INC. 1,996,843 $888,195.8 1.36% ▲ Added +24.0%
+387K shares
6 ANET ARISTA NETWORKS INC
5,139,737 $873,138.5 1.33% ▼ Reduced -21.5%
-1.4M shares
7 G7997R103 SEAGATE TECHNOLOGY HLDNGS PL 822,914 $794,112.0 1.21% ▲ Added +50.6%
+277K shares
8 AMD ADVANCED MICRO DEVICES INC
1,328,436 $771,701.8 1.18% ▼ Reduced -6.1%
-86K shares
9 TSM TAIWAN SEMICONDUCTOR MANUFAC
1,603,897 $765,973.1 1.17% ▼ Reduced -13.7%
-254K shares
10 BKNG SNOWFLAKE INC
2,813,766 $716,103.4 1.09%
11 COF CAPITAL ONE FINL CORP
2,529,289 $507,426.0 0.78% ▲ Added +53.4%
+881K shares
12 ORCL ORACLE CORP
3,410,580 $499,820.5 0.76% ▲ Added +188.1%
+2.2M shares
13 609207105 MONDELEZ INTL INC 8,216,347 $475,233.5 0.73% ▲ Added +66.8%
+3.3M shares
14 49271V100 KEURIG DR PEPPER INC 13,948,539 $456,535.7 0.70%
15 AMAT APPLIED MATLS INC
599,984 $433,788.4 0.66% ▼ Reduced -65.1%
-1.1M shares
16 TXN TEXAS INSTRS INC
1,377,090 $410,469.2 0.63% New
17 CPNG COUPANG INC
22,407,576 $389,219.6 0.59% ▲ Added +187.5%
+14.6M shares
18 HD HOME DEPOT INC
1,101,813 $388,587.4 0.59% ▼ Reduced -1.7%
-19K shares
19 SPOT SPOTIFY TECHNOLOGY S A
845,042 $387,984.1 0.59% ▼ Reduced -7.8%
-71K shares
20 AVGO BROADCOM INC
1,023,500 $386,627.1 0.59% ▼ Reduced -54.8%
-1.2M shares
21 683344105 ONTO INNOVATION INC 972,161 $367,914.3 0.56% ▼ Reduced -19.2%
-231K shares
22 MU MICRON TECHNOLOGY INC
311,683 $359,772.6 0.55% ▼ Reduced -45.1%
-256K shares
23 FIX COMFORT SYS USA INC
179,727 $356,209.9 0.54% ▼ Reduced -18.0%
-40K shares
24 UNH UNITEDHEALTH GROUP INC
830,855 $345,328.3 0.53% ▲ Added +98.1%
+411K shares
25 STZ CONSTELLATION BRANDS INC
2,463,367 $342,629.7 0.52% ▲ Added +30.2%
+571K shares
26 XYZ BLOCK INC
4,470,306 $339,743.3 0.52% ▼ Reduced -29.0%
-1.8M shares
27 G0260P102 AMER SPORTS INC 9,722,736 $329,017.4 0.50% ▼ Reduced -1.9%
-191K shares
28 EQIX EQUINIX INC
315,371 $328,739.6 0.50% ▼ Reduced -41.0%
-219K shares
29 META META PLATFORMS INC
567,833 $319,854.7 0.49% ▼ Reduced -37.5%
-340K shares
30 00971T101 AKAMAI TECHNOLOGIES INC 2,575,659 $304,468.7 0.47% ▼ Reduced -22.0%
-725K shares
31 69351T106 PPL CORP 8,354,771 $303,695.9 0.46% ▲ Added +47.6%
+2.7M shares
32 SE SEA LTD
3,022,183 $289,615.8 0.44% ▲ Added +61.5%
+1.2M shares
33 INTC INTEL CORP
2,024,595 $282,694.2 0.43% ▼ Reduced -31.3%
-923K shares
34 V VISA INC
812,942 $278,912.3 0.43% ▲ Added +7.1%
+54K shares
35 928298108 VISHAY INTERTECHNOLOGY INC 4,975,625 $267,589.1 0.41% ▲ Added +179.8%
+3.2M shares
36 G2004J103 CARNIVAL CORP LTD 9,253,710 $264,378.5 0.40% New
37 UNP UNION PAC CORP
931,024 $253,238.5 0.39% ▲ Added +237.2%
+655K shares
38 OKTA OKTA INC
1,851,774 $252,674.6 0.39% ▼ Reduced -33.2%
-919K shares
39 OXY OCCIDENTAL PETE CORP
5,193,668 $252,256.5 0.39% ▲ Added +93.8%
+2.5M shares
40 UAL UNITED AIRLS HLDGS INC
1,803,428 $245,248.2 0.37% ▲ Added +10.4%
+170K shares
41 01741R102 ATI INC 1,240,348 $244,472.6 0.37% ▼ Reduced -35.8%
-692K shares
42 AEE AMEREN CORP
2,139,630 $241,863.8 0.37% ▲ Added +207.5%
+1.4M shares
43 MA MASTERCARD INCORPORATED
463,955 $238,287.3 0.36%
44 VST VISTRA CORP
1,478,465 $234,528.9 0.36% ▲ Added +60.9%
+560K shares
45 049560105 ATMOS ENERGY CORP 1,361,162 $234,487.4 0.36% New
46 STM STMICROELECTRONICS N V
3,104,441 $232,491.6 0.36%
47 LSCC LATTICE SEMICONDUCTOR CORP
1,491,909 $228,202.4 0.35%
48 SNBR SOMNIGROUP INTERNATIONAL INC
2,878,441 $225,669.8 0.34% ▲ Added +29.8%
+661K shares
49 TER TERADYNE INC
458,710 $221,942.2 0.34% ▼ Reduced -79.9%
-1.8M shares
50 025537101 AMERICAN ELEC PWR CO INC 1,616,644 $221,173.1 0.34% ▲ Added +155.7%
+984K shares
Total (shown) $22,649,045.6 34.59%
CIK: 0001009207 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $161,834,529M Holdings shown: 50 / 3446 · Shown value: $65,959,328M (40.8% of AUM)

AUM by Quarter

Sector Concentration

New Positions This Quarter

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 SPY STATE STR SPDR S&P 500 ETF T
14,028,230 $10,475,861.3 6.47%
2 GOOGL ALPHABET INC
14,666,941 $5,214,249.8 3.22% ▲ Added +35.4%
+1.8M shares
3 NVDA NVIDIA CORPORATION
20,042,818 $4,010,367.5 2.48% ▲ Added +36.3%
+5.3M shares
4 AMZN AMAZON COM INC
10,945,883 $2,608,841.8 1.61% ▲ Added +131.4%
+6.2M shares
5 META META PLATFORMS INC
3,397,091 $1,913,547.4 1.18% ▲ Added +80.1%
+1.5M shares
6 TSLA TESLA INC
4,349,492 $1,829,396.3 1.13% ▼ Reduced -0.2%
-8K shares
7 AMD ADVANCED MICRO DEVICES INC
3,082,478 $1,790,642.3 1.11% ▼ Reduced -20.0%
-771K shares
8 BRK-B BERKSHIRE HATHAWAY INC DEL
7,536,654 $1,747,047.4 1.08% ▲ Added +310.2%
+1.5M shares
9 22788C105 CROWDSTRIKE HLDGS INC 2,133,301 $1,628,007.3 1.01% ▲ Added +17.6%
+319K shares
10 AAPL APPLE INC
5,603,656 $1,621,473.9 1.00% ▼ Reduced -19.8%
-1.4M shares
11 HD HOME DEPOT INC
4,315,830 $1,522,106.9 0.94% ▲ Added +14.8%
+556K shares
12 MSFT MICROSOFT CORP
3,563,793 $1,329,366.1 0.82% ▼ Reduced -42.2%
-2.6M shares
13 G7997R103 SEAGATE TECHNOLOGY HLDNGS PL 1,354,377 $1,306,973.8 0.81% ▲ Added +5.0%
+65K shares
14 SNDK SANDISK CORP
561,911 $1,277,633.9 0.79% ▼ Reduced -52.1%
-611K shares
15 BE BLOOM ENERGY CORP
4,158,295 $1,258,715.9 0.78% ▼ Reduced -1.2%
-51K shares
16 WDC WESTERN DIGITAL CORP
1,901,787 $1,214,709.4 0.75% ▼ Reduced -29.3%
-786K shares
17 INTC INTEL CORP
8,390,168 $1,171,519.2 0.72% ▼ Reduced -50.5%
-8.6M shares
18 GM GENERAL MTRS CO
15,000,837 $1,156,264.5 0.71% ▲ Added +21.8%
+2.7M shares
19 BSX BOSTON SCIENTIFIC CORP
25,457,409 $1,086,522.2 0.67% ▲ Added +4.7%
+1.1M shares
20 934423104 WARNER BROS DISCOVERY INC 40,750,490 $1,086,408.1 0.67% ▲ Added +173.7%
+25.9M shares
21 AVGO BROADCOM INC
2,722,161 $1,028,296.3 0.64% ▼ Reduced -58.3%
-3.8M shares
22 MA MASTERCARD INCORPORATED
1,987,325 $1,020,690.1 0.63% ▲ Added +74.9%
+851K shares
23 COF CAPITAL ONE FINL CORP
4,579,708 $918,781.0 0.57% ▲ Added +93.8%
+2.2M shares
24 84615Q103 SPACE EXPLORATION TECHN CORP 5,340,000 $912,392.4 0.56% New
25 MU MICRON TECHNOLOGY INC
768,773 $887,387.0 0.55% ▼ Reduced -79.0%
-2.9M shares
26 V VISA INC
2,582,817 $886,138.7 0.55% ▲ Added +12.8%
+293K shares
27 NSC NORFOLK SOUTHN CORP
2,601,202 $818,312.1 0.51% ▲ Added +14.9%
+338K shares
28 COST COSTCO WHOLESALE CORPORATION
873,316 $816,960.9 0.50% ▼ Reduced -1.3%
-12K shares
29 MMM 3M CO
4,871,164 $788,690.2 0.49% ▼ Reduced -7.9%
-421K shares
30 MRVL MARVELL TECHNOLOGY INC
2,504,623 $746,102.1 0.46%
31 34959E109 FORTINET INC 4,849,811 $745,028.0 0.46% ▲ Added +69.1%
+2.0M shares
32 SHW SHERWIN WILLIAMS CO
2,100,884 $723,376.4 0.45% ▲ Added +41.3%
+614K shares
33 WFC WELLS FARGO & CO
8,575,688 $708,694.9 0.44% ▲ Added +282.3%
+6.3M shares
34 CLS CELESTICA INC
1,876,165 $684,276.5 0.42% ▲ Added +88.6%
+881K shares
35 COHR COHERENT CORP
1,642,670 $647,984.0 0.40%
36 RTX PROCTER & GAMBLE CO
3,515,036 $634,385.4 0.39% ▲ Added +115.3%
+-1,684,925 shares
37 45866F104 INTERCONTINENTAL EXCHANGE IN 5,145,207 $633,426.4 0.39% ▲ Added +107.9%
+2.7M shares
38 457669307 INSMED INC 5,877,959 $626,708.0 0.39% ▲ Added +4.5%
+252K shares
39 87612G101 TARGA RES CORP 2,279,804 $611,306.6 0.38% ▼ Reduced -6.1%
-148K shares
40 LLY ELI LILLY & CO
557,307 $599,198.3 0.37% ▼ Reduced -22.1%
-141K shares
41 LITE LUMENTUM HLDGS INC
668,011 $573,193.5 0.35%
42 INTU INFOSYS LTD
2,150,938 $557,529.7 0.34% ▼ Reduced -97.1%
-513K shares
43 AXP AMERICAN EXPRESS CO
1,580,103 $534,469.8 0.33% ▼ Reduced -20.3%
-402K shares
44 SCHW SCHWAB CHARLES CORP
5,779,607 $533,284.3 0.33% ▲ Added +120.9%
+3.2M shares
45 ABBV ABBVIE INC
2,102,316 $529,026.8 0.33% ▲ Added +212.4%
+1.4M shares
46 NET CLOUDFLARE INC
2,257,353 $525,663.0 0.32% ▲ Added +51.3%
+661K shares
47 16411R208 CHENIERE ENERGY INC 2,161,262 $516,563.2 0.32% ▲ Added +21.2%
+378K shares
48 871829107 SYSCO CORP 6,047,049 $505,412.4 0.31% ▲ Added +54.0%
+2.1M shares
49 T AT&T INC
24,079,356 $498,442.7 0.31% ▲ Added +6.9%
+1.6M shares
50 02079K404 ALPHABET INC 9,855,000 $497,952.4 0.31% New
Total (shown) $65,959,328.1 40.75%
Failed to fetch: No 13F-HR filings found ↻ Retry
Failed to fetch: No 13F-HR filings found ↻ Retry
Failed to fetch: No 13F-HR filings found ↻ Retry
CIK: 0001167483 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $23,981,506M Holdings shown: 46 / 46 · Shown value: $23,981,506M (100.0% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 TSM TAIWAN SEMICONDUCTOR MANUFAC
4,881,008 $2,331,023.0 9.72% ▼ Reduced -12.3%
-684K shares
2 AMZN AMAZON COM INC
9,683,558 $2,307,979.2 9.62% ▼ Reduced -3.2%
-316K shares
3 NVDA NVIDIA CORPORATION
11,198,773 $2,240,762.5 9.34% ▼ Reduced -6.8%
-813K shares
4 GOOGL ALPHABET INC
5,805,687 $2,074,778.4 8.65% ▼ Reduced -45.4%
-4.8M shares
5 META META PLATFORMS INC
2,823,180 $1,590,269.1 6.63% ▼ Reduced -8.5%
-264K shares
6 LRCX LAM RESEARCH CORP
3,163,495 $1,370,837.3 5.72% ▼ Reduced -18.9%
-737K shares
7 SE SEA LTD
12,559,152 $1,203,543.5 5.02% ▼ Reduced -18.5%
-2.9M shares
8 AMAT APPLIED MATLS INC
1,632,210 $1,180,087.8 4.92% ▼ Reduced -1.5%
-25K shares
9 GEV GE VERNOVA INC
797,511 $936,963.8 3.91% ▼ Reduced -18.0%
-175K shares
10 MSFT MICROSOFT CORP
2,266,913 $845,603.9 3.53% ▼ Reduced -9.3%
-233K shares
11 CPAY CORPAY INC
2,149,877 $716,489.5 2.99% ▲ Added +22.7%
+398K shares
12 15675D103 CEREBRAS SYSTEMS INC 2,999,000 $662,779.0 2.76% New
13 AVGO BROADCOM INC
1,754,062 $662,596.9 2.76% ▼ Reduced -51.1%
-1.8M shares
14 CPNG COUPANG INC
36,467,972 $633,448.7 2.64% ▲ Added +5.4%
+1.9M shares
15 INTC INTEL CORP
4,252,690 $593,803.1 2.48% ▲ Added +159.5%
+2.6M shares
16 SPOT SPOTIFY TECHNOLOGY S A
1,171,427 $537,837.3 2.24% ▼ Reduced -25.9%
-409K shares
17 TTWO TAKE-TWO INTERACTIVE SOFTWAR
1,809,348 $452,300.8 1.89% ▼ Reduced -9.5%
-191K shares
18 RDDT REDDIT INC
2,528,819 $438,952.4 1.83% ▲ Added +1.2%
+29K shares
19 AMD ADVANCED MICRO DEVICES INC
674,727 $391,955.7 1.63% New
20 XYZ BLOCK INC
4,576,007 $347,776.5 1.45% ▲ Added +14.4%
+576K shares
21 APO APOLLO GLOBAL MGMT INC
2,723,110 $322,171.1 1.34% ▼ Reduced -17.3%
-570K shares
22 G7997R103 SEAGATE TECHNOLOGY HLDNGS PL 285,100 $275,121.5 1.15% New
23 V VISA INC
798,697 $274,025.0 1.14% New
24 MELI MERCADOLIBRE INC
153,126 $259,914.5 1.08% ▲ Added +13.4%
+18K shares
25 FWONA LIBERTY MEDIA CORP DEL
2,278,555 $216,781.7 0.90% ▼ Reduced -15.0%
-403K shares
26 NU NU HLDGS LTD
11,032,555 $147,394.9 0.61%
27 WFNT WEALTHFRONT CORP
15,156,877 $135,502.5 0.57%
28 UNH UNITEDHEALTH GROUP INC
297,452 $123,630.0 0.52% ▼ Reduced -15.1%
-53K shares
29 CHYM CHIME FINL INC
5,284,045 $108,217.2 0.45% ▼ Reduced -52.3%
-5.8M shares
30 29445S100 EQUIPMENTSHARE COM INC 4,579,646 $90,035.8 0.38%
31 SHW SHERWIN WILLIAMS CO
257,083 $88,518.8 0.37%
32 DHR DANAHER CORP DEL
456,000 $86,858.9 0.36% New
33 NOW SERVICENOW INC
873,485 $86,719.6 0.36% ▼ Reduced -41.8%
-627K shares
34 84615Q103 SPACE EXPLORATION TECHN CORP 375,000 $64,072.5 0.27% New
35 BULL WEBULL CORP
6,724,137 $43,841.4 0.18%
36 RERE ATRENEW INC
9,831,218 $38,046.8 0.16%
37 038169207 APPLIED DIGITAL CORP 885,000 $33,010.5 0.14% New
38 17253J106 CIPHER DIGITAL INC 927,000 $22,711.5 0.09% New
39 21874A106 CORE SCIENTIFIC INC NEW 817,000 $20,907.0 0.09% New
40 UBER UBER TECHNOLOGIES INC
151,178 $10,909.0 0.05%
41 JD JD.COM INC
201,500 $5,134.2 0.02% ▼ Reduced -41.5%
-143K shares
42 DASH DOORDASH INC
25,337 $4,675.4 0.02%
43 PONY PONY AI INC
310,287 $2,156.5 0.01% ▼ Reduced -89.3%
-2.6M shares
44 G00894108 ACCELERANT HOLDINGS 75,000 $879.0 0.00%
45 36866J105 GEMINI SPACE STA INC 70,000 $298.2 0.00%
46 55318A108 MNTN INC 20,000 $184.0 0.00%
Total (shown) $23,981,505.9 99.99%
CIK: 0001336528 Filing date: 2026-05-15 Period: 2026-03-31 Reported AUM: $13,714,300M Holdings shown: 10 / 10 · Shown value: $13,714,300M (100.0% of AUM)

AUM by Quarter

Sector Concentration

New Positions This Quarter

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 BN BROOKFIELD CORP
59,697,208 $2,415,946.0 17.62% ▼ Reduced -2.8%
-1.7M shares
2 AMZN AMAZON COM INC
11,451,981 $2,385,104.1 17.39% ▲ Added +19.2%
+1.8M shares
3 UBER UBER TECHNOLOGIES INC
29,958,771 $2,154,934.4 15.71% ▼ Reduced -0.8%
-249K shares
4 MSFT MICROSOFT CORP
5,654,078 $2,092,970.1 15.26% New
5 QSR RESTAURANT BRANDS INTL INC
22,645,483 $1,673,501.2 12.20% ▼ Reduced -1.0%
-221K shares
6 META META PLATFORMS INC
2,660,861 $1,522,358.4 11.10% ▼ Reduced -0.5%
-13K shares
7 HHH HOWARD HUGHES HOLDINGS INC
18,852,064 $1,192,581.6 8.70%
8 SEG SEAPORT ENTMT GROUP INC
5,023,780 $107,910.8 0.79%
9 GOOGL ALPHABET INC
344,102 $98,731.8 0.72% ▼ Reduced -95.2%
-646K shares
10 HTZ HERTZ GLOBAL HLDGS INC
15,241,127 $70,261.6 0.51%
Total (shown) $13,714,300.0 100.00%
CIK: 0001103804 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $35,079,229M Holdings shown: 50 / 90 · Shown value: $31,512,551M (89.8% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 V VISA INC
6,393,604 $2,193,581.6 6.25% ▲ Added +1.0%
+65K shares
2 TSM TAIWAN SEMICONDUCTOR MANUFAC
3,168,097 $1,512,988.1 4.31% ▼ Reduced -29.0%
-1.3M shares
3 ADM AIR PRODUCTS AND CHEMICALS I
4,740,351 $1,389,776.1 3.96% ▲ Added +15.5%
+636K shares
4 SHW SHERWIN WILLIAMS CO
3,875,879 $1,334,542.7 3.80% ▲ Added +24.5%
+763K shares
5 FTV FORTIVE CORP
19,934,762 $1,217,814.6 3.47% ▼ Reduced -11.3%
-2.5M shares
6 META META PLATFORMS INC
1,867,619 $1,052,011.1 3.00% ▲ Added +75.8%
+805K shares
7 SCHW SCHWAB CHARLES CORP
10,638,869 $981,648.4 2.80% ▼ Reduced -27.5%
-4.0M shares
8 TMO THERMO FISHER SCIENTIFIC INC
1,937,415 $971,342.4 2.77% ▲ Added +16.2%
+269K shares
9 JPM JPMORGAN CHASE & CO
2,899,386 $949,056.0 2.71% ▲ Added +7.2%
+195K shares
10 526107107 LENNOX INTL INC 1,590,959 $911,540.0 2.60% ▲ Added +1.2%
+19K shares
11 AMZN AMAZON COM INC
3,700,862 $882,063.4 2.51% ▲ Added +209.6%
+2.5M shares
12 N3167Y103 FERRARI N V 2,204,309 $816,922.0 2.33% New
13 CVNA CARVANA CO
12,322,311 $811,054.5 2.31% ▲ Added +343.2%
+9.5M shares
14 MCD MCDONALDS CORP
2,829,158 $764,749.7 2.18% ▼ Reduced -22.0%
-796K shares
15 10806X102 BRIDGEBIO PHARMA INC 9,949,219 $741,017.8 2.11% ▼ Reduced -16.0%
-1.9M shares
16 BA BOEING CO
3,274,825 $708,901.4 2.02% ▲ Added +2.5%
+79K shares
17 59522J103 MID-AMER APT CMNTYS INC 5,043,318 $700,718.6 2.00% ▲ Added +5.1%
+245K shares
18 DIS DISNEY WALT CO
7,158,406 $688,996.6 1.96% ▼ Reduced -46.2%
-6.1M shares
19 FDX FEDEX CORP
2,151,983 $673,850.4 1.92% ▲ Added +11.4%
+220K shares
20 55354G100 MSCI INC 1,160,687 $650,031.1 1.85% New
21 00650F109 ADAPTIVE BIOTECHNOLOGIES COR 29,993,708 $643,365.0 1.83%
22 941848103 WATERS CORP 1,662,140 $623,369.0 1.78% ▲ Added +32.3%
+406K shares
23 G51502105 JOHNSON CONTROLS INTERNATION 4,202,694 $614,055.6 1.75% ▼ Reduced -4.9%
-217K shares
24 UNP UNION PAC CORP
2,047,332 $556,874.3 1.59% New
25 MSFT MICROSOFT CORP
1,458,618 $544,093.7 1.55% ▼ Reduced -36.8%
-851K shares
26 SE SEA LTD
5,669,877 $543,344.3 1.55% ▲ Added +19.7%
+933K shares
27 CPT CAMDEN PPTY TR
4,513,303 $516,728.1 1.47% ▼ Reduced -4.3%
-202K shares
28 758750103 REGAL REXNORD CORPORATION 2,101,759 $500,618.0 1.43% ▼ Reduced -33.1%
-1.0M shares
29 09061G101 BIOMARIN PHARMACEUTICAL INC 7,616,563 $435,819.7 1.24% ▲ Added +7.9%
+554K shares
30 45841N107 INTERACTIVE BROKERS GROUP IN 4,830,748 $420,468.3 1.20% ▲ Added +246.5%
+3.4M shares
31 253868103 DIGITAL RLTY TR INC 2,310,475 $414,915.1 1.18% New
32 G2004J103 CARNIVAL CORP LTD 14,299,953 $408,549.7 1.16% New
33 GM GENERAL MTRS CO
5,005,833 $385,849.6 1.10% ▼ Reduced -45.5%
-4.2M shares
34 AON AON PLC
1,151,269 $381,864.4 1.09% ▲ Added +5.9%
+64K shares
35 126650100 CVS HEALTH CORP 3,663,361 $378,974.7 1.08% New
36 314352105 FEDEX FGHT HLDG CO INC 2,366,634 $357,361.7 1.02% New
37 45866F104 INTERCONTINENTAL EXCHANGE IN 2,777,138 $341,893.5 0.97% ▼ Reduced -42.6%
-2.1M shares
38 MS MORGAN STANLEY
1,622,593 $339,186.8 0.97% New
39 HD HOME DEPOT INC
920,595 $324,675.4 0.93% ▲ Added +82.6%
+416K shares
40 00510N102 TIC SOLUTIONS INC 35,824,562 $289,820.7 0.83%
41 QCOM QUALCOMM INC
1,514,185 $279,806.2 0.80% New
42 G3265R107 APTIV PLC 4,552,887 $279,456.2 0.80% New
43 RDDT REDDIT INC
1,565,518 $271,742.6 0.77% ▼ Reduced -38.6%
-986K shares
44 418056107 HASBRO INC 3,107,195 $256,623.2 0.73% ▼ Reduced -16.9%
-632K shares
45 053484101 AVALONBAY CMNTYS INC 1,339,782 $252,803.5 0.72% New
46 DKS DICKS SPORTING GOODS INC
1,106,134 $250,882.3 0.72% ▼ Reduced -12.5%
-158K shares
47 BKNG SNOWFLAKE INC
960,138 $244,355.1 0.70% New
48 29452E101 EQUITABLE HLDGS INC 5,398,896 $236,903.6 0.68% New
49 TTWO TAKE-TWO INTERACTIVE SOFTWAR
940,605 $235,132.4 0.67% New
50 TSLA TESLA INC
547,816 $230,411.4 0.66% ▼ Reduced -78.0%
-1.9M shares
Total (shown) $31,512,550.6 89.83%
CIK: 0001061165 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $16,357,760M Holdings shown: 34 / 34 · Shown value: $16,357,760M (100.0% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 N97284108 NEBIUS GROUP N.V. 4,258,008 $1,175,934.1 7.19% New
2 ASML ASML HLDG NV
569,174 $1,132,337.5 6.92% ▼ Reduced -13.1%
-86K shares
3 G7997R103 SEAGATE TECHNOLOGY HLDNGS PL 1,000,109 $965,105.2 5.90% New
4 HD HOME DEPOT INC
2,603,189 $918,092.7 5.61% New
5 AMAT APPLIED MATLS INC
1,207,737 $873,193.9 5.34% New
6 MEDS MEDLINE INC
20,968,367 $826,992.4 5.06% ▲ Added +77.9%
+9.2M shares
7 LIN LINDE PLC
1,558,081 $808,550.6 4.94% New
8 TER TERADYNE INC
1,493,080 $722,411.8 4.42% ▼ Reduced -20.3%
-380K shares
9 GLW CORNING INC
2,728,058 $696,827.9 4.26% ▼ Reduced -26.6%
-990K shares
10 CVNA CARVANA CO
10,520,666 $692,470.2 4.23% ▲ Added +499.6%
+8.8M shares
11 44812J104 HUT 8 CORP 5,773,045 $666,469.2 4.07% ▼ Reduced -5.0%
-306K shares
12 71377A103 PERFORMANCE FOOD GROUP CO 5,852,740 $654,277.8 4.00% ▲ Added +47.1%
+1.9M shares
13 NU NU HLDGS LTD
47,219,717 $630,855.4 3.86% ▲ Added +24.2%
+9.2M shares
14 88080T104 TERAWULF INC 24,144,625 $596,372.2 3.65% ▲ Added +21.2%
+4.2M shares
15 CRS CARPENTER TECHNOLOGY CORP
962,839 $593,917.6 3.63% ▼ Reduced -47.0%
-855K shares
16 MTZ MASTEC INC
1,345,157 $559,666.0 3.42% ▼ Reduced -12.1%
-186K shares
17 APP APPLOVIN CORP
1,042,268 $537,007.7 3.28% ▼ Reduced -28.9%
-423K shares
18 TTMI TTM TECHNOLOGIES INC
2,738,075 $512,074.8 3.13% New
19 STRL STERLING INFRASTRUCTURE INC
609,643 $511,709.9 3.13% New
20 912008109 US FOODS HLDG CORP 4,914,492 $502,506.8 3.07% ▲ Added +29.5%
+1.1M shares
21 H5919C104 ON HLDG AG 13,280,030 $470,378.7 2.88% New
22 LPLA LPL FINL HLDGS INC
1,219,099 $343,395.8 2.10% ▼ Reduced -40.5%
-831K shares
23 AGX ARGAN INC
368,673 $294,403.8 1.80% ▼ Reduced -6.2%
-24K shares
24 G11448100 BITDEER TECHNOLOGIES GROUP 7,020,026 $111,407.8 0.68% New
25 778920306 SHARONAI HOLDINGS INC 1,209,848 $102,425.7 0.63% New
26 GOOGL ALPHABET INC
215,574 $77,039.7 0.47% ▲ Added +14.9%
+28K shares
27 50012A108 KODIAK GAS SVCS INC 845,070 $63,490.1 0.39% New
28 V VISA INC
165,960 $56,939.2 0.35% ▲ Added +78.9%
+73K shares
29 45841N107 INTERACTIVE BROKERS GROUP IN 577,666 $50,280.0 0.31% New
30 TSM TAIWAN SEMICONDUCTOR MANUFAC
101,242 $48,350.1 0.30% ▼ Reduced -92.7%
-1.3M shares
31 SE SEA LTD
494,581 $47,395.7 0.29% New
32 58155Q103 MCKESSON CORP 57,851 $43,712.2 0.27% ▼ Reduced -85.3%
-334K shares
33 TDG TRANSDIGM GROUP INC
28,532 $38,005.8 0.23% ▼ Reduced -20.0%
-7K shares
34 BN BROOKFIELD CORP
792,717 $33,761.8 0.21% ▼ Reduced -92.9%
-10.4M shares
Total (shown) $16,357,760.1 100.02%
CIK: 0000934639 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $11,080,517M Holdings shown: 50 / 177 · Shown value: $10,912,570M (98.5% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 NVDA NVIDIA CORPORATION
3,056,784 $611,631.9 5.52% ▼ Reduced -3.7%
-118K shares
2 AMD ADVANCED MICRO DEVICES INC
976,326 $567,157.5 5.12% ▲ Added +44.3%
+300K shares
3 ALAB ASTERA LABS INC
1,067,215 $515,486.2 4.65% ▲ Added +11.7%
+112K shares
4 INTC INTEL CORP
3,668,855 $512,282.2 4.62% ▲ Added +22.5%
+673K shares
5 GOOGL ALPHABET INC
1,442,118 $509,543.6 4.60% ▲ Added +65.2%
+569K shares
6 AMZN AMAZON COM INC
2,020,894 $481,659.9 4.35% ▼ Reduced -12.8%
-297K shares
7 NU NU HLDGS LTD
35,552,101 $474,976.1 4.29% ▲ Added +58.4%
+13.1M shares
8 META META PLATFORMS INC
764,041 $430,376.7 3.88% New
9 GFL GFL ENVIRONMENTAL INC
10,202,931 $375,279.3 3.39% ▲ Added +165.0%
+6.4M shares
10 NTRA NATERA INC
1,356,663 $368,266.2 3.32% ▲ Added +15.8%
+185K shares
11 TSM TAIWAN SEMICONDUCTOR MANUFAC
711,757 $339,913.8 3.07% ▼ Reduced -42.5%
-526K shares
12 DKS DICKS SPORTING GOODS INC
1,473,873 $334,289.1 3.02% ▲ Added +41.1%
+429K shares
13 MSFT MICROSOFT CORP
832,377 $310,493.3 2.80% ▲ Added +14.7%
+107K shares
14 RTX RTX CORPORATION
1,550,533 $294,182.6 2.65% ▲ Added +13.6%
+186K shares
15 COF CAPITAL ONE FINL CORP
1,384,692 $277,796.9 2.51% ▲ Added +10.9%
+136K shares
16 759916109 REPLIGEN CORP 1,984,554 $270,772.5 2.44% ▲ Added +30.7%
+466K shares
17 PM PHILIP MORRIS INTL INC
1,457,059 $263,596.5 2.38% ▲ Added +156.9%
+890K shares
18 V VISA INC
752,252 $258,090.1 2.33% ▼ Reduced -6.8%
-55K shares
19 BSX BOSTON SCIENTIFIC CORP
5,937,553 $253,414.8 2.29% ▲ Added +41.5%
+1.7M shares
20 MNST MONSTER BEVERAGE CORP NEW
2,630,260 $252,820.6 2.28% ▲ Added +6.7%
+165K shares
21 G2R11M108 DPC HOLDINGS PLC 5,126,868 $251,524.1 2.27% New
22 BKNG SNOWFLAKE INC
977,710 $248,827.2 2.25%
23 457669307 INSMED INC 2,150,762 $229,314.2 2.07% New
24 SHW SHERWIN WILLIAMS CO
575,013 $197,988.5 1.79% ▲ Added +46.7%
+183K shares
25 CPT CAMDEN PPTY TR
1,707,280 $195,466.5 1.76% ▼ Reduced -8.6%
-161K shares
26 VMC VULCAN MATLS CO
637,264 $187,999.3 1.70% New
27 CVNA CARVANA CO
2,638,673 $173,677.5 1.57%
28 SWX SOUTHWEST GAS HLDGS INC
1,889,558 $167,566.0 1.51% ▼ Reduced -11.2%
-237K shares
29 KO COCA COLA CO
2,006,974 $163,106.8 1.47% ▲ Added +56.2%
+722K shares
30 71377A103 PERFORMANCE FOOD GROUP CO 1,261,179 $140,987.2 1.27% New
31 929089100 VOYA FINANCIAL INC 1,324,081 $119,869.1 1.08% New
32 NAMS NEWAMSTERDAM PHARMA COMPANY
3,267,802 $110,745.8 1.00% ▲ Added +49.5%
+1.1M shares
33 TECH BIO-TECHNE CORP
1,535,610 $108,490.8 0.98% ▼ Reduced -67.6%
-3.2M shares
34 G76279101 ROIVANT SCIENCES LTD 2,829,024 $100,119.2 0.90% ▲ Added +73.9%
+1.2M shares
35 343412102 FLUOR CORP 1,857,157 $97,296.5 0.88% ▲ Added +31.2%
+442K shares
36 922967104 VERADERMICS INC 789,980 $97,120.1 0.88% New
37 60471A101 MIRION TECHNOLOGIES INC 5,245,039 $94,043.5 0.85% ▲ Added +97.9%
+2.6M shares
38 PCVX VAXCYTE INC
1,613,242 $93,777.8 0.85% ▲ Added +17.1%
+236K shares
39 670100205 NOVO-NORDISK A S 1,653,872 $79,286.6 0.72% ▼ Reduced -20.5%
-426K shares
40 COMP COMPASS INC
5,912,783 $72,904.6 0.66% ▲ Added +14.3%
+740K shares
41 MMSI MERIT MED SYS INC
978,617 $67,857.3 0.61% ▲ Added +37.0%
+265K shares
42 07782B104 BELITE BIO INC 396,311 $61,025.9 0.55% New
43 WVE WAVE LIFE SCIENCES LTD
10,278,115 $59,715.8 0.54% ▲ Added +1.1%
+117K shares
44 N90064101 UNIQURE NV 925,383 $42,623.1 0.38% ▲ Added +32.6%
+228K shares
45 IVVD INVIVYD INC
18,970,913 $16,550.2 0.15%
46 77313F106 ROCKET PHARMACEUTICALS INC 3,923,963 $13,420.0 0.12% ▲ Added +10.0%
+357K shares
47 00370M103 ABIVAX SA 40,000 $5,330.4 0.05% New
48 CLS CELESTICA INC
12,782 $4,668.9 0.04% ▲ Added +10.4%
+1K shares
49 G97822103 PERRIGO CO PLC 448,053 $4,655.3 0.04% New
50 N5505D105 MAGNUM ICE CREAM CO NV 263,278 $4,581.7 0.04% New
Total (shown) $10,912,569.7 98.49%
Failed to fetch: No 13F-HR filings found ↻ Retry
Failed to fetch: No 13F-HR filings found ↻ Retry
Failed to fetch: No 13F-HR filings found ↻ Retry
CIK: 0001040273 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $4,650,772M Holdings shown: 40 / 40 · Shown value: $4,650,772M (100.0% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 934423104 WARNER BROS DISCOVERY INC 20,000,000 $533,200.0 11.46% New
2 AMZN AMAZON COM INC
1,750,000 $417,095.0 8.97% ▼ Reduced -9.8%
-190K shares
3 GOOGL ALPHABET INC
1,025,000 $366,304.2 7.88% ▲ Added +485.7%
+850K shares
4 CRH CRH PLC
2,195,000 $234,865.0 5.05% ▲ Added +15.5%
+295K shares
5 TDS TELEPHONE & DATA SYS INC
6,275,000 $232,237.8 4.99% ▼ Reduced -4.9%
-325K shares
6 TSM TAIWAN SEMICONDUCTOR MANUFAC
460,000 $219,682.2 4.72% ▲ Added +67.3%
+185K shares
7 LYV LIVE NATION ENTERTAINMENT IN
1,135,000 $207,829.9 4.47% ▲ Added +144.1%
+670K shares
8 49338L103 KEYSIGHT TECHNOLOGIES INC 585,000 $204,791.0 4.40% New
9 SNBR SOMNIGROUP INTERNATIONAL INC
2,570,769 $201,548.3 4.33% ▲ Added +13.2%
+300K shares
10 XYZ BLOCK INC
2,558,943 $194,479.7 4.18% New
11 NSC NORFOLK SOUTHN CORP
600,000 $188,754.0 4.06% ▲ Added +500.0%
+500K shares
12 Y2573F102 FLEX LTD 1,030,000 $166,932.1 3.59% New
13 COF CAPITAL ONE FINL CORP
825,000 $165,511.5 3.56% ▲ Added +489.3%
+685K shares
14 44812J104 HUT 8 CORP 1,315,000 $151,810.2 3.26% ▲ Added +51.2%
+445K shares
15 CRS CARPENTER TECHNOLOGY CORP
215,000 $132,620.6 2.85% ▼ Reduced -30.6%
-95K shares
16 APG API GROUP CORP
2,865,000 $121,332.8 2.61% ▲ Added +41.1%
+835K shares
17 MTZ MASTEC INC
290,000 $120,657.4 2.59% ▼ Reduced -9.4%
-30K shares
18 TDG TRANSDIGM GROUP INC
79,000 $105,231.2 2.26% ▲ Added +216.0%
+54K shares
19 DHR DANAHER CORP DEL
540,000 $102,859.2 2.21% ▲ Added +2.9%
+15K shares
20 UNP UNION PAC CORP
350,000 $95,200.0 2.05% ▲ Added +250.0%
+250K shares
21 TTMI TTM TECHNOLOGIES INC
505,000 $94,445.1 2.03% New
22 71377A103 PERFORMANCE FOOD GROUP CO 675,000 $75,458.2 1.62% New
23 02079K404 ALPHABET INC 1,300,000 $66,157.0 1.42% New
24 ASML ASML HLDG NV
30,000 $59,606.2 1.28% ▲ Added +150.0%
+18K shares
25 871829107 SYSCO CORP 580,000 $48,157.2 1.04% New
26 03990B101 ARES MANAGEMENT CORPORATION 375,000 $41,741.2 0.90% New
27 84615Q103 SPACE EXPLORATION TECHN CORP 180,415 $30,825.7 0.66% New
28 STRC STRATA CRITICAL MEDICAL INC
5,000,000 $26,350.0 0.57%
29 02079K602 ALPHABET INC 200,000 $10,060.0 0.22% New
30 SPRY ARS PHARMACEUTICALS INC
1,000,000 $8,010.0 0.17%
31 AUR AURORA INNOVATION INC
2,867,463 $7,628.8 0.16%
32 767292AB1 RIOT PLATFORMS INC 3,500,000 $7,033.9 0.15% New
33 HTZ HERTZ GLOBAL HLDGS INC
3,970,000 $4,327.3 0.09%
34 FLYX FLYEXCLUSIVE INC
1,389,499 $2,121.2 0.05%
35 071705107 BAUSCH PLUS LOMB CORP 85,000 $1,407.6 0.03% New
36 21874A106 CORE SCIENTIFIC INC NEW 54,000 $1,381.9 0.03% New
37 296013105 EROCK INC 83,030 $1,203.9 0.03% New
38 038169207 APPLIED DIGITAL CORP 22,000 $820.6 0.02% New
39 53680QAA6 LITHIUM ARGENTINA AG 625,000 $611.8 0.01% New
40 97785W106 WOLFSPEED INC 10,000 $482.5 0.01% New
Total (shown) $4,650,772.2 99.98%
CIK: 0002026053 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $19,465,693M Holdings shown: 14 / 14 · Shown value: $19,465,693M (100.0% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 UBER UBER TECHNOLOGIES INC
34,326,200 $2,476,978.6 12.72% New
2 BN BROOKFIELD CORP
57,481,047 $2,448,117.8 12.58% New
3 MSFT MICROSOFT CORP
6,206,730 $2,315,234.4 11.89% New
4 AMZN AMAZON COM INC
8,563,857 $2,041,109.7 10.49% New
5 HHH HOWARD HUGHES HOLDINGS INC
27,852,064 $1,991,144.1 10.23% ▲ Added +209.5%
+18.9M shares
6 QSR RESTAURANT BRANDS INTL INC
25,821,284 $1,872,301.3 9.62% New
7 META META PLATFORMS INC
3,196,062 $1,800,309.8 9.25% New
8 V VISA INC
3,270,470 $1,122,065.6 5.76% New
9 MA MASTERCARD INCORPORATED
2,124,646 $1,091,218.2 5.61% New
10 78409V104 S&P GLOBAL INC 2,593,155 $1,056,088.3 5.43% New
11 NFLX NETFLIX INC.
13,081,465 $934,016.6 4.80% New
12 71531T105 PERSHING SQUARE USA LTD 4,000,000 $149,520.0 0.77% New
13 SEG SEAPORT ENTMT GROUP INC
5,023,780 $133,632.5 0.69% New
14 HTZ HERTZ GLOBAL HLDGS INC
14,991,599 $33,956.0 0.17% New
Total (shown) $19,465,692.9 100.01%
CIK: 0001061768 Filing date: 2026-08-13 Period: 2026-06-30 Reported AUM: $5,416M Holdings shown: 23 / 23 · Shown value: $5,416M (100.0% of AUM)

AUM by Quarter

Sector Concentration

New Positions This Quarter

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 AMZN AMAZON COM INC
3,743,854 $892.3 16.48% ▲ Added +20.0%
+625K shares
2 ELV ELEVANCE HEALTH INC FORMERLY
1,275,154 $493.1 9.11%
3 QSR RESTAURANT BRANDS INTL INC
6,753,112 $489.6 9.04% ▼ Reduced -16.4%
-1.3M shares
4 GOOGL ALPHABET INC
1,371,931 $484.7 8.95% ▲ Added +16.2%
+191K shares
5 FERG FERGUSON ENTERPRISES INC
1,450,594 $344.3 6.36% ▲ Added +0.6%
+8K shares
6 GPC GENUINE PARTS CO
2,816,178 $332.3 6.13% ▲ Added +89.0%
+1.3M shares
7 UNP UNION PAC CORP
1,185,395 $322.4 5.95% ▼ Reduced -23.1%
-356K shares
8 V VISA INC
701,355 $240.6 4.44%
9 WCC WESCO INTL INC
662,881 $229.0 4.23% ▼ Reduced -53.9%
-774K shares
10 AON AON PLC
687,000 $227.9 4.21% ▼ Reduced -10.7%
-82K shares
11 879369106 TELEFLEX INCORPORATED 1,409,000 $178.6 3.30% ▼ Reduced -11.7%
-186K shares
12 G66721104 NORWEGIAN CRUISE LINE HLDGS 7,730,000 $163.2 3.01% ▲ Added +112.9%
+4.1M shares
13 MOH MOLINA HEALTHCARE INC
633,609 $144.9 2.68%
14 12572Q105 CME GROUP INC 619,000 $136.7 2.52% New
15 HLF HERBALIFE LTD
9,259,844 $121.8 2.25%
16 EXP EAGLE MATLS INC
530,763 $119.4 2.21% ▼ Reduced -40.5%
-362K shares
17 36165L108 GDS HLDGS LTD 3,769,818 $113.2 2.09% ▲ Added +23.8%
+725K shares
18 COLD AMERICOLD REALTY TRUST INC
6,830,230 $107.4 1.98% ▼ Reduced -12.2%
-951K shares
19 LBTYK LIBERTY GLOBAL LTD
8,543,161 $94.0 1.74% ▼ Reduced -36.2%
-4.9M shares
20 AEROMEX GRUPO AEROMEXICO SAB DE CV
4,880,188 $87.8 1.62%
21 G0750C108 AXALTA COATING SYS LTD 1,274,356 $43.6 0.81% New
22 67011P100 DNOW INC 2,788,000 $36.2 0.67% ▼ Reduced -23.1%
-837K shares
23 71531U102 PERSHING SQUARE INC 392,000 $12.9 0.24% New
Total (shown) $5,415.9 100.02%
CIK: 0001791786 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $14,292,858M Holdings shown: 17 / 17 · Shown value: $14,292,858M (100.0% of AUM)

AUM by Quarter

Sector Concentration

New Positions This Quarter

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 TFPM TRIPLE FLAG PRECIOUS METAL
133,241,535 $3,993,248.8 27.94% ▼ Reduced
-7K shares
2 PSX PHILLIPS 66
19,251,000 $3,254,381.5 22.77%
3 SU SUNCOR ENERGY INC NEW
29,454,000 $1,581,090.7 11.06% ▼ Reduced -44.1%
-23.2M shares
4 HPE HEWLETT PACKARD ENTERPRISE C
32,271,985 $1,455,789.2 10.19% ▲ Added +17.7%
+4.9M shares
5 LUV SOUTHWEST AIRLS CO
24,308,000 $1,249,917.4 8.75% ▼ Reduced -19.9%
-6.0M shares
6 UNIT UNITI GROUP LLC
59,012,219 $676,870.2 4.74%
7 PINS PINTEREST INC
28,000,000 $588,840.0 4.12%
8 ETSY ETSY INC
5,000,000 $376,650.0 2.64%
9 G66721104 NORWEGIAN CRUISE LINE HLDGS 14,686,000 $310,021.5 2.17% ▲ Added +11.4%
+1.5M shares
10 PEP PEPSICO INC
1,275,000 $172,635.0 1.21%
11 SDRL SEADRILL LTD
4,439,681 $167,908.7 1.17% ▼ Reduced -5.9%
-279K shares
12 EQIX EQUINIX INC
150,000 $156,358.5 1.09%
13 871607107 SYNOPSYS INC 227,500 $101,480.9 0.71% New
14 OR OR ROYALTIES INC.
3,111,000 $98,400.9 0.69%
15 H8817H100 TRANSOCEAN LTD 15,626,834 $76,415.2 0.53%
16 HDB HDFC BANK LTD
797,085 $20,588.7 0.14%
17 74768A104 QUANTINUUM INC 150,000 $12,261.0 0.09% New
Total (shown) $14,292,858.2 100.01%
CIK: 0001517137 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $4,521,879M Holdings shown: 21 / 21 · Shown value: $4,521,879M (100.0% of AUM)

AUM by Quarter

Sector Concentration

New Positions This Quarter

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 464287507 ISHARES TR 8,877,781 $684,565.7 15.14% ▲ Added +52.3%
+3.0M shares
2 74736K101 QORVO INC 5,611,526 $523,387.0 11.57% ▼ Reduced -25.3%
-1.9M shares
3 KVUE KENVUE INC
27,307,632 $521,848.8 11.54%
4 268150109 DYNATRACE INC 8,866,692 $389,336.4 8.61% New
5 015857105 ALGONQUIN POWER & UTILITIES 57,189,420 $335,130.0 7.41%
6 MSTR MATCH GROUP INC NEW
7,775,125 $295,843.5 6.54% ▼ Reduced -31.8%
-3.6M shares
7 003881307 ACACIA RESH CORP 61,123,595 $284,836.0 6.30%
8 767292105 RIOT PLATFORMS INC 10,114,576 $276,937.1 6.12% ▼ Reduced -34.9%
-5.4M shares
9 BILL BILL HOLDINGS INC
7,025,748 $254,051.0 5.62% ▲ Added
+900 shares
10 513272104 LAMB WESTON HLDGS INC 5,733,982 $247,593.3 5.48% ▼ Reduced -6.2%
-381K shares
11 143130102 CARMAX INC 3,206,438 $169,588.5 3.75% ▼ Reduced -48.3%
-3.0M shares
12 34354P105 FLOWSERVE CORP 1,441,600 $106,909.1 2.36% New
13 343412102 FLUOR CORP 1,586,327 $83,107.7 1.84% ▼ Reduced -45.0%
-1.3M shares
14 20459V105 GPGI INC 5,027,028 $79,678.4 1.76%
15 896945201 TRIPADVISOR INC 5,096,996 $69,879.8 1.55% ▼ Reduced -52.7%
-5.7M shares
16 65249B208 NEWS CORP NEW 2,431,081 $68,216.1 1.51% ▼ Reduced -6.1%
-158K shares
17 65249B109 NEWS CORP NEW 2,040,100 $50,655.7 1.12% ▼ Reduced -63.6%
-3.6M shares
18 42226K105 HEALTHCARE RLTY TR 1,936,267 $39,054.5 0.86% ▼ Reduced -71.6%
-4.9M shares
19 094235108 BLOOMIN BRANDS INC 4,180,992 $38,214.3 0.85% ▼ Reduced -47.6%
-3.8M shares
20 G1143H101 BITCOIN INFRASTRUCTURE ACQUI 300,000 $2,998.5 0.07%
21 G1143H119 BITCOIN INFRASTRUCTURE ACQUI 149,999 $47.5 0.00%
Total (shown) $4,521,878.9 100.00%
CIK: 0000921669 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $8,264,090M Holdings shown: 12 / 12 · Shown value: $8,264,091M (100.0% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 451100101 Icahn Enterprises LP 618,393,343 $4,458,616.0 53.95% ▲ Added +12.6%
+69.0M shares
2 12662P108 CVR Energy Inc 71,201,875 $1,960,899.6 23.73%
3 126633205 CVR Partners, LP 4,164,274 $464,233.3 5.62%
4 CTRI Centuri Holdings, Inc.
14,336,044 $433,522.0 5.25%
5 459506101 International Flavors and Fragrances Inc. 4,275,000 $338,665.5 4.10%
6 278768106 EchoStar Corporation 1,404,542 $142,561.0 1.73%
7 477143101 JetBlue Airways Corp. 20,658,179 $118,371.4 1.43% ▼ Reduced -38.6%
-13.0M shares
8 610236101 Monro, Inc. 5,078,573 $86,894.4 1.05%
9 12769G100 Caesars Entertainment, Inc. 2,440,109 $73,642.5 0.89%
10 80007P869 SandRidge Energy, Inc. 5,054,907 $69,252.2 0.84% ▲ Added +2.2%
+107K shares
11 025537101 American Electric Power Company 434,710 $59,472.7 0.72% ▼ Reduced -63.9%
-771K shares
12 071705107 Bausch Plus Lomb Corp. 3,500,000 $57,960.0 0.70%
Total (shown) $8,264,090.6 100.01%
CIK: 0001345471 Filing date: 2026-08-12 Period: 2026-06-30 Reported AUM: $4,230,905M Holdings shown: 8 / 8 · Shown value: $4,230,905M (100.0% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 GEV GE Aerospace
4,030,765 $1,506,417.8 35.61%
2 G4474Y214 Janus Henderson Group plc 25,654,382 $1,334,027.9 31.53% ▼ Reduced -19.5%
-6.2M shares
3 83444M101 Solventum Corporation 8,236,753 $635,465.5 15.02%
4 G3421J106 Ferguson Plc New 1,086,357 $257,825.1 6.09%
5 95058W100 Wendys Co. 30,468,434 $252,583.3 5.97% ▲ Added +0.1%
+22K shares
6 36266G107 GE HealthCare Technologies Inc. 3,085,344 $197,492.9 4.67%
7 G491BT108 Invesco Ltd. 1,625,472 $42,896.2 1.01% ▼ Reduced -45.3%
-1.3M shares
8 N5505D105 Magnum Ice Cream Co NV 241,042 $4,196.5 0.10%
Total (shown) $4,230,905.2 100.00%
CIK: 0000921669 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $8,264,090M Holdings shown: 12 / 12 · Shown value: $8,264,091M (100.0% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 451100101 Icahn Enterprises LP 618,393,343 $4,458,616.0 53.95% ▲ Added +12.6%
+69.0M shares
2 12662P108 CVR Energy Inc 71,201,875 $1,960,899.6 23.73%
3 126633205 CVR Partners, LP 4,164,274 $464,233.3 5.62%
4 CTRI Centuri Holdings, Inc.
14,336,044 $433,522.0 5.25%
5 459506101 International Flavors and Fragrances Inc. 4,275,000 $338,665.5 4.10%
6 278768106 EchoStar Corporation 1,404,542 $142,561.0 1.73%
7 477143101 JetBlue Airways Corp. 20,658,179 $118,371.4 1.43% ▼ Reduced -38.6%
-13.0M shares
8 610236101 Monro, Inc. 5,078,573 $86,894.4 1.05%
9 12769G100 Caesars Entertainment, Inc. 2,440,109 $73,642.5 0.89%
10 80007P869 SandRidge Energy, Inc. 5,054,907 $69,252.2 0.84% ▲ Added +2.2%
+107K shares
11 025537101 American Electric Power Company 434,710 $59,472.7 0.72% ▼ Reduced -63.9%
-771K shares
12 071705107 Bausch Plus Lomb Corp. 3,500,000 $57,960.0 0.70%
Total (shown) $8,264,090.6 100.01%
CIK: 0001029160 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $7,622,127M Holdings shown: 50 / 254 · Shown value: $5,155,704M (67.6% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 AMZN AMAZON COM INC
1,182,529 $281,844.0 3.70% ▼ Reduced -39.2%
-763K shares
2 TSM TAIWAN SEMICONDUCTOR MANUFAC
522,158 $249,367.0 3.27% ▼ Reduced
-160 shares
3 37940XAU6 GLOBAL PMTS INC 247,500,000 $222,694.5 2.92%
4 GOOGL ALPHABET INC
596,286 $213,094.7 2.80% ▲ Added +3.9%
+22K shares
5 NVDA NVIDIA CORPORATION
1,064,635 $213,022.8 2.79% ▼ Reduced -0.8%
-9K shares
6 285512109 ELECTRONIC ARTS INC 970,990 $199,091.8 2.61% ▲ Added +0.5%
+5K shares
7 090043AF7 BILL HOLDINGS INC 209,679,000 $181,356.3 2.38%
8 69331CAL2 PG&E CORP 175,000,000 $179,601.9 2.36%
9 76954AAB9 RIVIAN AUTOMOTIVE INC 131,565,000 $155,838.7 2.04% ▼ Reduced -8.3%
-11.9M shares
10 AAPL APPLE INC
529,538 $153,227.1 2.01% ▲ Added +5.8%
+29K shares
11 LIN LINDE PLC
267,349 $138,738.1 1.82% ▲ Added +2.9%
+7K shares
12 55024UAF6 LUMENTUM HLDGS INC 18,256,000 $119,272.4 1.56% ▼ Reduced -14.6%
-3.1M shares
13 87256C101 TKO GROUP HOLDINGS INC 578,157 $116,388.8 1.53% ▼ Reduced -4.3%
-26K shares
14 86800U500 SUPER MICRO COMPUTER INC 2,175,408 $111,471.4 1.46% New
15 025537101 AMERICAN ELEC PWR CO INC 768,000 $105,070.1 1.38% New
16 29364G103 ENTERGY CORP NEW 913,912 $104,971.9 1.38%
17 26210CAD6 DROPBOX INC 103,500,000 $104,610.6 1.37%
18 47215PAJ5 JD.COM INC 100,000,000 $98,546.8 1.29% ▼ Reduced -33.4%
-50.2M shares
19 465741106 ITRON INC 1,137,853 $98,458.4 1.29% ▲ Added +46.4%
+361K shares
20 253868103 DIGITAL RLTY TR INC 539,618 $96,904.6 1.27%
21 09239BAF6 BLACKLINE INC 101,000,000 $93,258.3 1.22%
22 55024UAD1 LUMENTUM HLDGS INC 10,250,000 $88,270.9 1.16%
23 16115Q308 CHART INDS INC 416,233 $86,967.7 1.14% ▼ Reduced -11.5%
-54K shares
24 N97284108 NEBIUS GROUP N.V. 310,000 $85,612.7 1.12% New
25 947890109 WEBSTER FINL CORP 1,113,487 $85,092.7 1.12% ▲ Added +56.4%
+402K shares
26 451107106 IDACORP INC 546,085 $82,622.7 1.08% ▼ Reduced -5.4%
-31K shares
27 65339F655 NEXTERA ENERGY INC 1,627,578 $77,944.0 1.02% ▲ Added +35.6%
+427K shares
28 784305104 H2O AMERICA 1,254,368 $76,227.9 1.00% ▲ Added +2.1%
+26K shares
29 03770N101 APOGEE THERAPEUTICS INC 564,500 $74,926.1 0.98% New
30 125896100 CMS ENERGY CORP 970,362 $74,232.7 0.97% ▼ Reduced -6.2%
-64K shares
31 83304AAK2 SNAP INC 88,000,000 $71,946.4 0.94%
32 MSFT MICROSOFT CORP
189,971 $70,863.0 0.93% ▼ Reduced -10.4%
-22K shares
33 10922N103 BRIGHTHOUSE FINL INC 1,116,250 $70,658.6 0.93% ▲ Added +31.8%
+269K shares
34 G8267P108 SMURFIT WESTROCK PLC 1,512,798 $69,982.0 0.92% ▼ Reduced -40.0%
-1.0M shares
35 BRK-B BERKSHIRE HATHAWAY INC DEL
133,277 $66,690.5 0.87%
36 842587ED5 SOUTHERN CO 65,000,000 $65,774.9 0.86% New
37 25401T603 DIGITALBRIDGE GROUP INC 4,118,793 $64,994.6 0.85% New
38 MEDS MEDLINE INC
1,638,244 $64,612.3 0.85% ▲ Added +27.3%
+352K shares
39 252131AM9 DEXCOM INC 67,977,000 $63,521.8 0.83% ▲ Added +7.9%
+5.0M shares
40 AVGO BROADCOM INC
165,246 $62,421.7 0.82% ▲ Added +6.5%
+10K shares
41 92939U106 WEC ENERGY GROUP INC 528,369 $61,697.6 0.81% ▲ Added +3.0%
+16K shares
42 02079K602 ALPHABET INC 1,200,000 $60,171.1 0.79% New
43 85205TAQ3 SPIRIT AEROSYSTEMS INC 34,500,000 $53,916.8 0.71% New
44 KVUE KENVUE INC
2,746,636 $52,488.2 0.69% ▼ Reduced -13.0%
-411K shares
45 87724P106 TAYLOR MORRISON HOME CORP 723,523 $51,905.5 0.68% New
46 500081104 KODIAK AI INC. 9,767,037 $49,616.5 0.65%
47 554382101 MACERICH CO 1,938,506 $48,831.0 0.64% New
48 DASH DOORDASH INC
249,897 $46,113.5 0.60% ▲ Added +46.9%
+80K shares
49 007973AE0 ADVANCED ENERGY INDS 16,821,000 $45,903.1 0.60% New
50 63001N106 NCR ATLEOS CORPORATION 1,033,562 $44,866.9 0.59% ▲ Added +41.5%
+303K shares
Total (shown) $5,155,703.6 67.60%
CIK: 0001536411 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $4,354M Holdings shown: 50 / 86 · Shown value: $4,006M (92.0% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 NTRA Natera Inc
3,186,306 $864.9 19.86% ▲ Added +4.0%
+123K shares
2 TSM Taiwan Semiconductor Manufac
589,680 $281.6 6.47% ▲ Added +19.1%
+94K shares
3 STM Stmicroelectronics N V
3,102,880 $232.4 5.34% ▲ Added +18.8%
+490K shares
4 457669307 Insmed Inc 1,424,690 $151.9 3.49% ▲ Added +23.4%
+271K shares
5 YPF Ypf Sociedad Anonima
3,138,897 $142.7 3.28% ▼ Reduced -3.0%
-97K shares
6 AMZN Amazon Com Inc
541,600 $129.1 2.96%
7 TBBB Bbb Foods Inc
2,901,733 $120.9 2.78% ▼ Reduced -6.7%
-207K shares
8 GOOGL Alphabet Inc
336,300 $120.2 2.76% New
9 IEMG Ishares Inc
3,436,170 $118.5 2.72%
10 G7997R103 Seagate Technology Hldngs Pl 122,000 $117.7 2.70% ▲ Added +140.6%
+71K shares
11 35137L105 Fox Corp 2,204,600 $115.0 2.64% New
12 UAL United Airls Hldgs Inc
794,795 $108.1 2.48% ▲ Added +202.8%
+532K shares
13 SE Sea Ltd
1,099,905 $105.4 2.42%
14 12514G108 Cdw Corp 743,950 $104.6 2.40% New
15 NAMS Newamsterdam Pharma Company
3,070,146 $104.0 2.39%
16 SNDK Sandisk Corp
34,900 $79.4 1.82% ▼ Reduced -8.5%
-3K shares
17 76155X100 Revolution Medicines Inc 399,587 $74.8 1.72% ▲ Added +26.5%
+84K shares
18 G11448100 Bitdeer Technologies Group 4,074,993 $64.7 1.49% New
19 CRH Crh Plc
553,555 $59.2 1.36% ▲ Added +46.6%
+176K shares
20 DAL Delta Air Lines Inc
603,000 $56.5 1.30% New
21 343412102 Fluor Corp 982,200 $51.5 1.18% New
22 DHI D R Horton Inc
299,000 $48.7 1.12% New
23 CPNG Coupang Inc
2,667,485 $46.3 1.06%
24 AMD Advanced Micro Devices Inc
72,900 $42.3 0.97% New
25 697435105 Palo Alto Networks Inc 116,650 $39.8 0.91% New
26 CLF Cleveland-Cliffs Inc New
4,216,184 $39.6 0.91% ▲ Added +82.2%
+1.9M shares
27 44812J104 Hut 8 Corp 314,150 $36.3 0.83% New
28 142152107 Caris Life Sciences Inc 1,894,450 $33.8 0.78%
29 37950E259 Global X Fds 328,800 $30.0 0.69% ▼ Reduced -15.1%
-59K shares
30 35137L204 Fox Corp 632,600 $29.6 0.68% New
31 WWD Woodward Inc
67,194 $28.6 0.66% ▼ Reduced -68.2%
-144K shares
32 67080N101 Nuvation Bio Inc 4,539,800 $25.8 0.59%
33 PTGX Protagonist Therapeutics Inc
208,900 $25.6 0.59% ▲ Added +30.8%
+49K shares
34 ROKU Roku Inc
184,055 $25.4 0.58% ▼ Reduced -75.5%
-566K shares
35 149568107 Cavco Inds Inc Del 39,500 $24.3 0.56% New
36 000899104 Adma Biologics Inc 2,784,110 $23.3 0.54% ▲ Added +80.1%
+1.2M shares
37 44916Y106 Hyperliquid Strategies Inc 2,941,500 $23.1 0.53% New
38 750917106 Rambus Inc Del 173,000 $23.0 0.53% New
39 76243J105 Rhythm Pharmaceuticals Inc 203,618 $22.6 0.52% New
40 830830105 Champion Homes Inc 254,400 $22.4 0.51% New
41 DAKT Daktronics Inc
1,123,109 $22.0 0.50% ▲ Added +99.6%
+560K shares
42 PCYO Purecycle Technologies Inc
2,681,415 $21.7 0.50% ▲ Added +178.4%
+1.7M shares
43 SCCO Southern Copper Corp
123,060 $21.4 0.49% ▲ Added +1.0%
+1K shares
44 LIN Linde Plc
41,200 $21.4 0.49%
45 ENTG Entegris Inc
118,300 $21.3 0.49% New
46 TEVA Teva Pharmaceutical Inds Ltd
624,999 $21.2 0.49% ▼ Reduced -73.7%
-1.8M shares
47 U Unity Software Inc
738,785 $21.1 0.48%
48 00835Q202 Aeva Technologies Inc 720,175 $20.7 0.48% New
49 767292105 Riot Platforms Inc 754,800 $20.7 0.47% New
50 74743L100 Qnity Electronics Inc 125,655 $20.5 0.47%
Total (shown) $4,005.6 91.98%
CIK: 0001656456 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $7,471,258M Holdings shown: 25 / 25 · Shown value: $7,471,258M (100.0% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 AMZN AMAZON COM INC
5,000,000 $1,191,700.0 15.95% ▲ Added +15.7%
+680K shares
2 MU MICRON TECHNOLOGY INC
975,000 $1,125,432.8 15.06% ▼ Reduced -41.4%
-690K shares
3 TSM TAIWAN SEMICONDUCTOR MANUFAC
1,650,000 $787,990.5 10.55% ▲ Added +24.3%
+322K shares
4 GOOGL ALPHABET INC
1,850,000 $653,660.5 8.75% ▲ Added +6.8%
+117K shares
5 UBER UBER TECHNOLOGIES INC
7,694,071 $555,204.2 7.43% ▲ Added +21.5%
+1.4M shares
6 464286772 ISHARES INC 2,425,000 $489,607.5 6.55% ▲ Added +1.0%
+25K shares
7 META META PLATFORMS INC
675,000 $380,220.8 5.09% ▲ Added +54.6%
+238K shares
8 VST VISTRA CORP
2,215,272 $351,408.6 4.70% ▲ Added +9.5%
+193K shares
9 NVDA NVIDIA CORPORATION
1,525,000 $305,137.2 4.08% ▲ Added +3.6%
+54K shares
10 629377508 NRG ENERGY INC 1,760,000 $257,065.6 3.44% ▲ Added +1.5%
+26K shares
11 BABA ALIBABA GROUP HLDG LTD
2,000,000 $191,960.0 2.57% ▼ Reduced -42.3%
-1.5M shares
12 BA BOEING CO
800,000 $173,176.0 2.32% New
13 LRCX LAM RESEARCH CORP
382,500 $165,748.7 2.22%
14 BIDU BAIDU INC
1,295,000 $148,005.5 1.98% ▲ Added +87.1%
+603K shares
15 AAL AMERICAN AIRLINES GROUP INC
7,500,000 $135,525.0 1.81% New
16 AMD ADVANCED MICRO DEVICES INC
197,500 $114,729.7 1.54% ▼ Reduced -10.8%
-24K shares
17 CRWV COREWEAVE INC
1,078,248 $107,328.8 1.44% New
18 ASML ASML HLDG NV
50,000 $99,472.0 1.33% ▲ Added +1.0%
+500 shares
19 AVGO BROADCOM INC
150,000 $56,662.5 0.76% New
20 QCOM QUALCOMM INC
250,000 $46,197.5 0.62% ▼ Reduced -49.9%
-249K shares
21 84615Q103 SPACE EXPLORATION TECHN CORP 225,000 $38,443.5 0.51% New
22 29273V100 ENERGY TRANSFER L P 1,576,125 $30,135.5 0.40%
23 55336V100 MPLX LP 502,460 $28,303.6 0.38%
24 963320106 WHIRLPOOL CORP 715,000 $28,185.3 0.38% ▼ Reduced -63.3%
-1.2M shares
25 382550101 GOODYEAR TIRE & RUBR CO 1,508,591 $9,956.7 0.13% New
Total (shown) $7,471,258.0 99.99%
CIK: 0001079114 Filing date: 2024-02-14 Period: 2023-12-31 Reported AUM: $2,047,999M Holdings shown: 40 / 40 · Shown value: $2,047,999M (100.0% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 392709101 GREEN BRICK PARTNERS INC 11,404,883 $592,369.6 28.92% ▼ Reduced -7.6%
-938K shares
2 20854L108 CONSOL ENERGY INC NEW 2,105,577 $211,673.7 10.34% ▼ Reduced -12.4%
-299K shares
3 10922N103 BRIGHTHOUSE FINL INC 3,043,623 $161,068.5 7.86% ▼ Reduced -3.2%
-99K shares
4 50155Q100 KYNDRYL HLDGS INC 6,356,069 $132,079.1 6.45% ▲ Added +13.7%
+768K shares
5 THC TENET HEALTHCARE CORP
1,315,970 $99,447.9 4.86% ▲ Added +44.3%
+404K shares
6 88337F105 THE ODP CORP 1,748,100 $98,418.0 4.81% ▲ Added +8.3%
+134K shares
7 01626W101 ALIGHT INC 9,241,670 $78,831.4 3.85% New
8 78463V107 SPDR GOLD TR 386,944 $73,972.1 3.61% ▼ Reduced -10.3%
-44K shares
9 878742204 TECK RESOURCES LTD 1,552,063 $65,605.7 3.20% ▲ Added +6.2%
+90K shares
10 G5509L101 LIVANOVA PLC 1,229,316 $63,604.8 3.11% ▲ Added +3.5%
+42K shares
11 388689101 GRAPHIC PACKAGING HLDG CO 2,536,100 $62,514.9 3.05% ▲ Added +32.0%
+614K shares
12 G48833118 WEATHERFORD INTL PLC 456,605 $44,669.7 2.18% ▲ Added +6.2%
+27K shares
13 Y2065G121 DHT HOLDINGS INC 3,779,880 $37,080.6 1.81% ▲ Added +86.7%
+1.8M shares
14 92556V106 VIATRIS INC 3,355,770 $36,343.0 1.77% New
15 31946M103 FIRST CTZNS BANCSHARES INC N 24,820 $35,218.8 1.72% ▲ Added +6.5%
+2K shares
16 64107A105 NET POWER INC 2,992,110 $30,220.3 1.48% ▲ Added +5.5%
+155K shares
17 402635502 GULFPORT ENERGY CORP 222,970 $29,699.6 1.45% ▲ Added +5.9%
+12K shares
18 SDRL SEADRILL 2021 LTD
543,935 $25,717.2 1.26% ▲ Added +51.1%
+184K shares
19 42704L104 HERC HLDGS INC 135,610 $20,191.0 0.99% ▲ Added +6.2%
+8K shares
20 320517105 FIRST HORIZON CORPORATION 1,377,090 $19,499.6 0.95% ▲ Added +6.2%
+80K shares
21 649445103 NEW YORK CMNTY BANCORP INC 1,828,730 $18,707.9 0.91% ▲ Added +6.0%
+104K shares
22 N00985106 AERCAP HOLDINGS NV 250,000 $18,580.0 0.91% New
23 78464A631 SPDR SER TR 129,667 $17,559.5 0.86% New
24 46137V100 INVESCO EXCHANGE TRADED FD T 185,521 $17,097.6 0.83% New
25 KVUE KENVUE INC
554,490 $11,938.2 0.58% New
26 38268T103 GOPRO INC 2,823,100 $9,796.2 0.48% ▲ Added +6.3%
+167K shares
27 22407B108 COYA THERAPEUTICS INC 1,274,026 $9,440.5 0.46% ▲ Added +172.2%
+806K shares
28 36315X101 GALAPAGOS NV 162,578 $6,608.8 0.32% ▲ Added +4.0%
+6K shares
29 83601L102 SOTERA HEALTH CO 336,970 $5,677.9 0.28%
30 92189H607 VANECK ETF TRUST 9,270 $2,869.3 0.14% ▲ Added +33.2%
+2K shares
31 TEVA TEVA PHARMACEUTICAL INDS LTD
268,470 $2,802.8 0.14% New
32 236272100 DANIMER SCIENTIFIC INC 2,734,580 $2,789.3 0.14% ▲ Added +5.1%
+132K shares
33 36269B105 GAIN THERAPEUTICS INC 588,410 $1,921.2 0.09%
34 33733E807 FIRST TR EXCHANGE-TRADED FD 58,540 $1,421.9 0.07%
35 46090F100 INVESCO ACTVELY MNGD ETC FD 96,990 $1,290.0 0.06%
36 87424L207 TALIS BIOMEDICAL CORP 149,052 $1,110.4 0.05%
37 64132K201 NEUBASE THERAPEUTICS INC 136,350 $100.9 0.00%
38 67080N101 NUVATION BIO INC 34,995 $52.8 0.00%
39 67080N119 NUVATION BIO INC 100,000 $6.0 0.00%
40 485859110 KATAPULT HOLDINGS INC 262,227 $1.9 0.00%
Total (shown) $2,047,998.6 99.99%
Failed to fetch: Could not fetch any holdings ↻ Retry
CIK: 0001067983 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $299,253,556M Holdings shown: 26 / 26 · Shown value: $299,253,556M (100.0% of AUM)

AUM by Quarter

Sector Concentration

New Positions This Quarter

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 AAPL APPLE INC
227,917,808 $65,950,296.9 22.04%
2 AXP AMERICAN EXPRESS CO
151,610,700 $51,282,319.3 17.14%
3 GOOGL ALPHABET INC
105,979,600 $37,764,088.4 12.62% ▲ Added +45.2%
4 KO COCA COLA CO
400,000,000 $32,508,000.0 10.86%
5 BAC BANK OF AMER CORP
483,394,015 $27,543,791.0 9.20% ▼ Reduced -5.9%
-30.2M shares
6 CVX CHEVRON CORPORATION
84,375,856 $13,986,141.9 4.67%
7 OXY OCCIDENTAL PETE CORP
264,941,431 $12,868,205.3 4.30%
8 CB CHUBB LIMITED
34,249,183 $11,670,066.6 3.90%
9 MCO MOODYS CORP
24,669,778 $11,173,435.9 3.73%
10 KR KRAFT HEINZ CO
364,634,818 $9,857,164.4 3.29% ▼ Reduced -22.0%
11 DVA DAVITA INC
28,880,209 $6,425,268.9 2.15% ▼ Reduced -4.1%
-1.2M shares
12 DAL DELTA AIR LINES INC
57,320,000 $5,368,591.2 1.79% ▲ Added +44.0%
+17.5M shares
13 SIRI SIRIUSXM HOLDINGS INC
124,807,117 $3,686,802.2 1.23%
14 VRSN VERISIGN INC
8,989,880 $2,261,494.2 0.76%
15 ALLY ALLY FINL INC
27,000,000 $1,240,650.0 0.41% ▼ Reduced -6.9%
-2.0M shares
16 LEN LENNAR CORP
13,409,858 $1,212,927.4 0.41% ▲ Added +29.8%
+3.0M shares
17 LLYVK LIBERTY LIVE HOLDINGS INC
10,587,143 $1,118,425.8 0.37%
18 NYT NEW YORK TIMES CO MTN BE
15,700,000 $1,098,686.0 0.37% ▲ Added +3.7%
+553K shares
19 COF CAPITAL ONE FINL CORP
3,000,000 $601,860.0 0.20% ▼ Reduced -58.0%
-4.2M shares
20 LLYVA LIBERTY LIVE HOLDINGS INC
4,986,588 $504,941.9 0.17%
21 LPX LOUISIANA PAC CORP
5,664,793 $445,592.6 0.15%
22 NUE NUCOR CORP
1,857,752 $413,814.3 0.14% ▼ Reduced -52.5%
-2.0M shares
23 M MACYS INC
7,347,426 $173,031.9 0.06% ▲ Added +141.8%
+4.3M shares
24 NVR NVR INC
11,112 $75,710.5 0.03%
25 JEF JEFFERIES FINANCIAL GROUP IN
433,558 $21,669.2 0.01%
26 DHI D R HORTON INC
3,564 $580.5 0.00% New
Total (shown) $299,253,556.3 100.00%
CIK: 0001697748 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $15,402,069M Holdings shown: 50 / 189 · Shown value: $13,471,921M (87.5% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 TSLA Tesla Inc
2,759,800 $1,160,772.1 7.54% ▼ Reduced -2.5%
-72K shares
2 AMD Advanced Micro Devices Inc
1,416,443 $822,826.0 5.34% ▼ Reduced -47.8%
-1.3M shares
3 84615Q103 Space Exploration Technologies Corp 4,478,013 $765,113.3 4.97% New
4 TEM Tempus AI Inc
10,022,634 $580,611.2 3.77% ▲ Added +4.3%
+415K shares
5 HOOD Robinhood Markets Inc
5,236,031 $525,069.2 3.41% ▼ Reduced -12.8%
-767K shares
6 CRSP CRISPR Therapeutics AG
9,460,939 $515,999.6 3.35% ▼ Reduced -16.4%
-1.9M shares
7 SHOP Shopify Inc
4,155,925 $474,523.5 3.08% ▼ Reduced -0.5%
-22K shares
8 TWST Twist Bioscience Corp
4,549,803 $468,083.8 3.04% ▼ Reduced -28.3%
-1.8M shares
9 GOOGL Alphabet Inc
1,183,456 $418,716.7 2.72% ▲ Added +44.8%
+323K shares
10 TXG 10X Genomics Inc
10,003,057 $383,517.2 2.49% ▼ Reduced -14.6%
-1.7M shares
11 AMZN Amazon.com Inc
1,591,177 $379,241.1 2.46% ▲ Added +17.4%
+236K shares
12 PLTR Palantir Technologies Inc
3,212,286 $374,777.4 2.43% ▲ Added +3.3%
+102K shares
13 COIN Coinbase Global Inc
2,511,319 $367,129.7 2.38% ▲ Added +5.8%
+138K shares
14 RBLX ROBLOX Corp
6,465,890 $351,615.1 2.28% ▲ Added +9.7%
+570K shares
15 BEAM Beam Therapeutics Inc
10,234,862 $351,260.4 2.28% ▼ Reduced -15.6%
-1.9M shares
16 TER Teradyne Inc
644,782 $311,971.4 2.03% ▼ Reduced -48.2%
-600K shares
17 NTLA Intellia Therapeutics Inc
16,875,684 $285,536.6 1.85% ▲ Added +16.3%
+2.4M shares
18 CRCL Circle Internet Group Inc
4,558,162 $285,477.7 1.85% ▲ Added +1.1%
+49K shares
19 NVDA NVIDIA Corp
1,381,247 $276,373.7 1.79% ▲ Added +33.4%
+346K shares
20 CRWV CoreWeave Inc
2,657,192 $264,496.9 1.72% ▲ Added +4.7%
+119K shares
21 DE Deere & Co
393,025 $249,307.6 1.62% ▼ Reduced -1.5%
-6K shares
22 XYZ Block Inc
3,097,973 $235,446.0 1.53% ▲ Added +0.1%
+4K shares
23 KTOS Kratos Defense & Security Solutions Inc.
4,672,566 $232,974.1 1.51% ▲ Added +33.8%
+1.2M shares
24 TSM Taiwan Semiconductor Manufacturing Company Ltd
482,286 $230,325.3 1.50% ▼ Reduced -23.2%
-145K shares
25 NTRA Natera Inc
688,855 $186,989.6 1.21% ▲ Added +0.7%
+5K shares
26 ILMN Illumina Inc
1,045,010 $183,744.2 1.19% ▼ Reduced -7.5%
-84K shares
27 15675D103 Cerebras Systems Inc 764,613 $168,979.5 1.10% New
28 RKLB Rocket Lab Corp
1,631,207 $165,812.2 1.08% ▼ Reduced -27.3%
-612K shares
29 BLSH Bullish
6,746,186 $158,063.1 1.03% ▲ Added +2.8%
+184K shares
30 AVGO Broadcom Inc
407,202 $153,820.6 1.00% ▼ Reduced -0.1%
-601 shares
31 RXRX Recursion Pharmaceuticals Inc
41,337,632 $151,709.1 0.98% ▲ Added +2.8%
+1.1M shares
32 ACHR Archer Aviation Inc
31,963,922 $151,189.4 0.98% ▼ Reduced -14.6%
-5.5M shares
33 00091E109 Absci Corp 12,925,271 $149,803.9 0.97% ▼ Reduced -5.8%
-801K shares
34 VCYT Veracyte Inc
2,295,951 $134,841.2 0.88% ▼ Reduced -24.8%
-758K shares
35 META Meta Platforms Inc
238,973 $134,610.9 0.87% ▲ Added +55.2%
+85K shares
36 ARKB ARK 21Shares Bitcoin ETF
6,454,565 $125,605.8 0.82% ▼ Reduced -3.6%
-244K shares
37 LHX L3Harris Technologies Inc
431,179 $125,296.3 0.81% ▲ Added +10.6%
+41K shares
38 09175A206 BitMine Immersion Technologies 8,811,588 $117,282.2 0.76% ▼ Reduced -9.2%
-888K shares
39 71535D106 Personalis Inc 8,271,339 $110,835.9 0.72% ▲ Added +4.1%
+327K shares
40 WGS GeneDx Holdings Corp
1,610,189 $110,539.5 0.72% ▲ Added +21.6%
+286K shares
41 BWXT BWX Technologies Inc
549,881 $107,034.3 0.69% ▼ Reduced -11.7%
-73K shares
42 AVAV AeroVironment Inc
607,502 $100,280.4 0.65% ▲ Added +8.6%
+48K shares
43 98386P102 X-Energy Inc 5,411,846 $99,361.5 0.65% New
44 LLY Eli Lilly & Co
77,254 $92,660.9 0.60%
45 ROKU Roku Inc
595,880 $82,314.8 0.53% ▼ Reduced -84.4%
-3.2M shares
46 GH Guardant Health Inc
506,416 $75,977.6 0.49% ▲ Added +4.1%
+20K shares
47 DASH DoorDash Inc
380,139 $70,147.1 0.46% ▲ Added +9.8%
+34K shares
48 BKNG Snowflake Inc
269,539 $68,597.7 0.45% New
49 TRMB Trimble Inc
1,331,680 $68,155.4 0.44% ▲ Added +6.7%
+84K shares
50 SOFI SoFi Technologies Inc
3,742,479 $67,102.6 0.44% ▼ Reduced -2.4%
-94K shares
Total (shown) $13,471,921.3 87.46%
CIK: 0001387322 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $12,456,319M Holdings shown: 35 / 35 · Shown value: $12,456,319M (100.0% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 SNDK SANDISK CORP
596,545 $1,356,382.3 10.89% ▼ Reduced -25.4%
-203K shares
2 AMD ADVANCED MICRO DEVICES INC
1,509,650 $876,970.8 7.04%
3 GOOGL ALPHABET INC
2,396,352 $856,384.3 6.88% ▼ Reduced -10.3%
-275K shares
4 TTMI TTM TECHNOLOGIES INC
4,230,575 $791,202.1 6.35% ▲ Added +20.4%
+716K shares
5 ALAB ASTERA LABS INC
1,567,882 $757,318.4 6.08% New
6 AMZN AMAZON COM INC
2,447,732 $583,392.4 4.68% ▲ Added +34.5%
+628K shares
7 GLW CORNING INC
2,233,999 $570,630.4 4.58% ▼ Reduced -2.8%
-63K shares
8 55306N104 MKS INC. 1,271,373 $565,506.7 4.54% ▼ Reduced -2.7%
-35K shares
9 CLS CELESTICA INC
1,476,430 $538,601.7 4.32% ▼ Reduced -2.8%
-42K shares
10 BE BLOOM ENERGY CORP
1,608,305 $486,833.9 3.91% ▼ Reduced -2.8%
-45K shares
11 COHR COHERENT CORP
1,222,035 $482,056.1 3.87% ▲ Added +25.3%
+247K shares
12 FN FABRINET
744,765 $418,617.5 3.36% ▲ Added +21.8%
+133K shares
13 SITM SITIME CORP
560,701 $418,036.2 3.36% ▼ Reduced -2.8%
-16K shares
14 FROG JFROG LTD
4,458,423 $405,181.5 3.25% ▼ Reduced -25.9%
-1.6M shares
15 MTSI MACOM TECH SOLUTIONS HLDGS I
988,785 $376,104.2 3.02% ▼ Reduced -15.8%
-186K shares
16 925550105 VIAVI SOLUTIONS INC 6,875,942 $328,326.2 2.64% ▲ Added +98.0%
+3.4M shares
17 LRCX LAM RESEARCH CORP
742,638 $321,807.3 2.58% ▼ Reduced -22.5%
-215K shares
18 TSM TAIWAN SEMICONDUCTOR MANUFAC
589,911 $281,723.8 2.26% ▼ Reduced -28.0%
-230K shares
19 CVNA CARVANA CO
4,267,080 $280,859.2 2.25% ▲ Added +386.2%
+3.4M shares
20 META META PLATFORMS INC
455,982 $256,850.1 2.06% ▼ Reduced -11.0%
-57K shares
21 WDC WESTERN DIGITAL CORP
400,687 $255,926.8 2.05% ▼ Reduced -2.7%
-11K shares
22 APP APPLOVIN CORP
461,611 $237,835.8 1.91% ▼ Reduced -33.6%
-234K shares
23 BKNG SNOWFLAKE INC
884,691 $225,153.9 1.81% New
24 90138F102 TWILIO INC 821,768 $169,555.4 1.36% New
25 G7997R103 SEAGATE TECHNOLOGY HLDNGS PL 148,543 $143,344.0 1.15% New
26 KVYO KLAVIYO INC
5,528,166 $83,475.3 0.67% ▼ Reduced -19.0%
-1.3M shares
27 NVDA NVIDIA CORPORATION
377,204 $75,474.7 0.61% ▼ Reduced -63.8%
-664K shares
28 MDB MONGODB INC
224,648 $75,459.3 0.61%
29 PI IMPINJ INC
405,244 $58,043.1 0.47%
30 DUOL DUOLINGO INC
471,764 $54,262.3 0.44%
31 INTC INTEL CORP
259,903 $36,290.3 0.29% New
32 AAPL APPLE INC
99,766 $28,868.3 0.23% ▲ Added +3.3%
+3K shares
33 84615Q103 SPACE EXPLORATION TECHN CORP 152,517 $26,059.1 0.21% New
34 AVGO BROADCOM INC
59,780 $22,581.9 0.18% ▼ Reduced -91.9%
-677K shares
35 15675D103 CEREBRAS SYSTEMS INC 50,696 $11,203.8 0.09% New
Total (shown) $12,456,319.1 100.00%
Failed to fetch: Could not fetch any holdings ↻ Retry
Failed to fetch: No 13F-HR filings found ↻ Retry
CIK: 0001536411 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $4,354M Holdings shown: 50 / 86 · Shown value: $4,006M (92.0% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 NTRA Natera Inc
3,186,306 $864.9 19.86% ▲ Added +4.0%
+123K shares
2 TSM Taiwan Semiconductor Manufac
589,680 $281.6 6.47% ▲ Added +19.1%
+94K shares
3 STM Stmicroelectronics N V
3,102,880 $232.4 5.34% ▲ Added +18.8%
+490K shares
4 457669307 Insmed Inc 1,424,690 $151.9 3.49% ▲ Added +23.4%
+271K shares
5 YPF Ypf Sociedad Anonima
3,138,897 $142.7 3.28% ▼ Reduced -3.0%
-97K shares
6 AMZN Amazon Com Inc
541,600 $129.1 2.96%
7 TBBB Bbb Foods Inc
2,901,733 $120.9 2.78% ▼ Reduced -6.7%
-207K shares
8 GOOGL Alphabet Inc
336,300 $120.2 2.76% New
9 IEMG Ishares Inc
3,436,170 $118.5 2.72%
10 G7997R103 Seagate Technology Hldngs Pl 122,000 $117.7 2.70% ▲ Added +140.6%
+71K shares
11 35137L105 Fox Corp 2,204,600 $115.0 2.64% New
12 UAL United Airls Hldgs Inc
794,795 $108.1 2.48% ▲ Added +202.8%
+532K shares
13 SE Sea Ltd
1,099,905 $105.4 2.42%
14 12514G108 Cdw Corp 743,950 $104.6 2.40% New
15 NAMS Newamsterdam Pharma Company
3,070,146 $104.0 2.39%
16 SNDK Sandisk Corp
34,900 $79.4 1.82% ▼ Reduced -8.5%
-3K shares
17 76155X100 Revolution Medicines Inc 399,587 $74.8 1.72% ▲ Added +26.5%
+84K shares
18 G11448100 Bitdeer Technologies Group 4,074,993 $64.7 1.49% New
19 CRH Crh Plc
553,555 $59.2 1.36% ▲ Added +46.6%
+176K shares
20 DAL Delta Air Lines Inc
603,000 $56.5 1.30% New
21 343412102 Fluor Corp 982,200 $51.5 1.18% New
22 DHI D R Horton Inc
299,000 $48.7 1.12% New
23 CPNG Coupang Inc
2,667,485 $46.3 1.06%
24 AMD Advanced Micro Devices Inc
72,900 $42.3 0.97% New
25 697435105 Palo Alto Networks Inc 116,650 $39.8 0.91% New
26 CLF Cleveland-Cliffs Inc New
4,216,184 $39.6 0.91% ▲ Added +82.2%
+1.9M shares
27 44812J104 Hut 8 Corp 314,150 $36.3 0.83% New
28 142152107 Caris Life Sciences Inc 1,894,450 $33.8 0.78%
29 37950E259 Global X Fds 328,800 $30.0 0.69% ▼ Reduced -15.1%
-59K shares
30 35137L204 Fox Corp 632,600 $29.6 0.68% New
31 WWD Woodward Inc
67,194 $28.6 0.66% ▼ Reduced -68.2%
-144K shares
32 67080N101 Nuvation Bio Inc 4,539,800 $25.8 0.59%
33 PTGX Protagonist Therapeutics Inc
208,900 $25.6 0.59% ▲ Added +30.8%
+49K shares
34 ROKU Roku Inc
184,055 $25.4 0.58% ▼ Reduced -75.5%
-566K shares
35 149568107 Cavco Inds Inc Del 39,500 $24.3 0.56% New
36 000899104 Adma Biologics Inc 2,784,110 $23.3 0.54% ▲ Added +80.1%
+1.2M shares
37 44916Y106 Hyperliquid Strategies Inc 2,941,500 $23.1 0.53% New
38 750917106 Rambus Inc Del 173,000 $23.0 0.53% New
39 76243J105 Rhythm Pharmaceuticals Inc 203,618 $22.6 0.52% New
40 830830105 Champion Homes Inc 254,400 $22.4 0.51% New
41 DAKT Daktronics Inc
1,123,109 $22.0 0.50% ▲ Added +99.6%
+560K shares
42 PCYO Purecycle Technologies Inc
2,681,415 $21.7 0.50% ▲ Added +178.4%
+1.7M shares
43 SCCO Southern Copper Corp
123,060 $21.4 0.49% ▲ Added +1.0%
+1K shares
44 LIN Linde Plc
41,200 $21.4 0.49%
45 ENTG Entegris Inc
118,300 $21.3 0.49% New
46 TEVA Teva Pharmaceutical Inds Ltd
624,999 $21.2 0.49% ▼ Reduced -73.7%
-1.8M shares
47 U Unity Software Inc
738,785 $21.1 0.48%
48 00835Q202 Aeva Technologies Inc 720,175 $20.7 0.48% New
49 767292105 Riot Platforms Inc 754,800 $20.7 0.47% New
50 74743L100 Qnity Electronics Inc 125,655 $20.5 0.47%
Total (shown) $4,005.6 91.98%
CIK: 0001037389 Filing date: 2026-08-13 Period: 2026-06-30 Reported AUM: $72,617,872M Holdings shown: 50 / 3131 · Shown value: $23,409,754M (32.2% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 NVDA NVIDIA CORPORATION
7,091,256 $1,418,869.2 1.95% ▲ Added +180.6%
+4.6M shares
2 GOOGL ALPHABET INC
3,893,253 $1,384,957.4 1.91% ▲ Added +327.2%
+1.8M shares
3 META META PLATFORMS INC
2,023,153 $1,139,611.7 1.57%
4 INTC INTEL CORP
7,321,928 $1,022,356.9 1.41% ▼ Reduced -1.0%
-77K shares
5 UTHR UNITED THERAPEUTICS CORP DEL
1,708,739 $925,846.1 1.27% ▼ Reduced -4.4%
-78K shares
6 PLTR PALANTIR TECHNOLOGIES INC
7,568,370 $883,001.7 1.22% ▲ Added +8.3%
+582K shares
7 EXEL EXELIXIS INC
13,427,993 $730,617.1 1.01% ▼ Reduced -2.2%
-299K shares
8 NFLX NETFLIX INC.
8,806,941 $673,235.5 0.93% ▲ Added +20.8%
9 VRSN VERISIGN INC
2,449,771 $616,264.4 0.85% ▼ Reduced -13.1%
-368K shares
10 KGC KINROSS GOLD CORP
24,747,213 $584,529.2 0.80% ▼ Reduced -3.1%
-799K shares
11 22788C105 CROWDSTRIKE HLDGS INC 748,960 $571,561.3 0.79% New
12 STRL STERLING INFRASTRUCTURE INC
672,194 $564,212.8 0.78% ▼ Reduced -12.4%
-95K shares
13 AMZN AMAZON COM INC
2,290,710 $545,975.0 0.75% New
14 AGX ARGAN INC
648,379 $517,763.0 0.71% ▲ Added +6.1%
+37K shares
15 CVX CHEVRON CORPORATION
2,870,517 $475,816.8 0.66% ▲ Added +42.4%
+855K shares
16 TSLA TESLA INC
1,110,960 $467,270.0 0.64% ▲ Added +425.8%
+900K shares
17 AMD ADVANCED MICRO DEVICES INC
829,697 $463,818.2 0.64% ▲ Added +282.4%
+613K shares
18 AAPL APPLE INC
1,586,526 $459,058.6 0.63% ▼ Reduced -48.4%
-1.5M shares
19 218352102 CORCEPT THERAPEUTICS INC 5,261,628 $457,498.6 0.63% ▼ Reduced -7.4%
-421K shares
20 ETSY ETSY INC
5,990,442 $451,260.0 0.62% ▲ Added +0.5%
+28K shares
21 G7997R103 SEAGATE TECHNOLOGY HLDNGS PL 457,353 $441,345.6 0.61% ▲ Added +47.3%
+147K shares
22 FNV FRANCO NEV CORP
2,036,918 $424,575.2 0.58% ▼ Reduced -8.2%
-182K shares
23 TXN TEXAS INSTRS INC
1,402,100 $417,923.9 0.58% ▲ Added +64.7%
+551K shares
24 94419L101 WAYFAIR INC 4,514,426 $417,223.3 0.57% ▼ Reduced -9.2%
-458K shares
25 TSM TAIWAN SEMICONDUCTOR MANUFAC
849,080 $405,495.1 0.56% ▲ Added +49.5%
+281K shares
26 INCY INCYTE CORP
3,512,132 $398,135.3 0.55% ▼ Reduced -3.8%
-139K shares
27 NBIX NEUROCRINE BIOSCIENCES INC
2,335,897 $393,680.4 0.54% ▼ Reduced -3.4%
-83K shares
28 RBLX ROBLOX CORP
6,814,063 $370,548.7 0.51% ▼ Reduced -4.4%
-312K shares
29 WDC WESTERN DIGITAL CORP
537,473 $343,294.8 0.47% ▼ Reduced -53.1%
-609K shares
30 G01767105 ALKERMES PLC 6,460,928 $338,520.3 0.47% ▲ Added +4.9%
+300K shares
31 CVNA CARVANA CO
5,122,450 $337,159.7 0.46% ▲ Added +326.4%
+3.9M shares
32 AVGO BROADCOM INC
849,835 $321,024.3 0.44% ▲ Added +7.1%
+56K shares
33 PSTG EVERPURE INC
3,655,134 $287,988.0 0.40% ▼ Reduced -2.8%
-105K shares
34 GILD GILEAD SCIENCES INC
2,217,376 $280,143.3 0.39% ▲ Added +3.0%
+65K shares
35 24703L202 DELL TECHNOLOGIES INC 646,677 $279,015.3 0.38% ▼ Reduced -10.4%
-75K shares
36 58155Q103 MCKESSON CORP 361,086 $272,836.6 0.38% ▲ Added +208.0%
+244K shares
37 053332102 AUTOZONE INC 84,260 $269,289.9 0.37% ▲ Added +146.4%
+50K shares
38 TJX TJX COS INC NEW
1,729,400 $262,004.1 0.36%
39 RDDT REDDIT INC
1,450,078 $251,704.5 0.35% ▼ Reduced -7.4%
-116K shares
40 CBOE CBOE GLOBAL MKTS INC
1,026,406 $249,077.9 0.34% ▼ Reduced -6.7%
-74K shares
41 G5960L103 MEDTRONIC PLC 3,167,741 $247,812.4 0.34% New
42 MU MICRON TECHNOLOGY INC
211,580 $244,224.7 0.34% ▼ Reduced -90.2%
-2.0M shares
43 M7516K103 NOVA LTD 448,586 $243,555.3 0.34% ▼ Reduced -12.2%
-62K shares
44 G25457105 CREDO TECHNOLOGY GROUP HOLDI 844,238 $229,590.5 0.32% ▲ Added +133.0%
+482K shares
45 TMUS THE TRADE DESK INC
7,626,948 $228,374.7 0.31% ▲ Added +29.1%
+1.6M shares
46 594972408 STRATEGY INC 2,553,692 $221,992.4 0.31% ▲ Added +19.8%
+423K shares
47 ABNB AIRBNB INC
1,542,641 $220,751.9 0.30% ▼ Reduced -15.7%
-288K shares
48 HOOD ROBINHOOD MKTS INC
2,196,340 $220,249.0 0.30% ▼ Reduced -57.0%
-2.9M shares
49 MEDP MEDPACE HLDGS INC
415,588 $220,091.2 0.30% ▼ Reduced -17.7%
-89K shares
50 ALSN ALLISON TRANSMISSION HLDGS I
1,938,997 $218,602.5 0.30% ▼ Reduced -14.2%
-321K shares
Total (shown) $23,409,754.3 32.24%
CIK: 0001179392 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $132,883,001M Holdings shown: 50 / 3884 · Shown value: $38,401,395M (28.9% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 BRK-B BERKSHIRE HATHAWAY INC DEL
8,212,421 $1,969,170.6 1.48% ▲ Added +40.3%
+653K shares
2 958102AT2 WESTERN DIGITAL CORP 88,951,000 $1,497,883.2 1.13% ▼ Reduced -0.3%
-275K shares
3 AMZN AMAZON COM INC
5,716,287 $1,362,419.8 1.03% ▼ Reduced -9.8%
-619K shares
4 NVDA NVIDIA CORPORATION
6,284,574 $1,257,480.4 0.95% ▼ Reduced -44.1%
-4.9M shares
5 AAPL APPLE INC
4,176,413 $1,208,486.9 0.91% ▼ Reduced -29.7%
-1.8M shares
6 TSLA TESLA INC
2,861,596 $1,203,587.3 0.91% ▼ Reduced -1.8%
-51K shares
7 TMUS T-MOBILE US INC
21,494,659 $1,053,638.4 0.79% ▲ Added +14.2%
+552K shares
8 JPM JPMORGAN CHASE & CO
2,957,516 $968,083.7 0.73% ▼ Reduced -10.7%
-353K shares
9 MA MASTERCARD INCORPORATED
1,841,139 $945,609.0 0.71% ▲ Added +9.9%
+166K shares
10 COST COSTCO WHOLESALE CORPORATION
1,006,231 $941,298.9 0.71% ▲ Added +15.0%
+131K shares
11 ASML ASML HLDG NV
461,505 $918,136.5 0.69% ▲ Added +21.8%
+83K shares
12 TJX TJX COS INC NEW
7,704,285 $911,422.6 0.69% ▲ Added +32.0%
+-252,793 shares
13 AMD ADVANCED MICRO DEVICES INC
1,515,419 $880,322.1 0.66% ▲ Added +10.5%
+143K shares
14 BSX BOSTON SCIENTIFIC CORP
19,359,023 $826,243.1 0.62% ▲ Added +105.7%
+9.9M shares
15 NET CLOUDFLARE INC
3,729,625 $811,298.1 0.61% ▲ Added +82.8%
+-233,654 shares
16 GOOGL ALPHABET INC
2,246,651 $802,885.7 0.60% ▼ Reduced -49.3%
-2.2M shares
17 LMT LOCKHEED MARTIN CORP
1,569,836 $799,768.6 0.60% ▲ Added +16.4%
+221K shares
18 ISRG INTUITIVE SURGICAL INC
1,979,128 $787,059.6 0.59% ▲ Added +40.8%
+574K shares
19 SCHW SCHWAB CHARLES CORP
8,425,755 $777,444.4 0.59% ▲ Added +57.2%
+3.1M shares
20 GS GOLDMAN SACHS GROUP INC
911,829 $777,164.0 0.58% ▲ Added +106.0%
+388K shares
21 494368103 KIMBERLY-CLARK CORP 7,054,632 $774,387.0 0.58% ▲ Added +36.3%
+1.9M shares
22 ABT ABBOTT LABORATORIES
8,126,315 $737,381.8 0.55% ▲ Added +27.2%
+1.7M shares
23 RBLX ROBLOX CORP
13,448,649 $731,337.5 0.55% ▲ Added +11.7%
+1.4M shares
24 45841N107 INTERACTIVE BROKERS GROUP IN 8,340,400 $725,948.4 0.55% ▲ Added +0.3%
+27K shares
25 MS MORGAN STANLEY
3,545,961 $718,252.0 0.54% ▼ Reduced -8.5%
-316K shares
26 MSFT MICROSOFT CORP
1,829,283 $682,359.1 0.51% ▲ Added +32.5%
+448K shares
27 PGR PROGRESSIVE CORP
3,030,604 $662,035.4 0.50% ▼ Reduced -14.1%
-497K shares
28 CMG CHIPOTLE MEXICAN GRILL INC
18,486,484 $628,540.5 0.47% ▲ Added +125.0%
+10.3M shares
29 MU MICRON TECHNOLOGY INC
535,173 $617,744.8 0.46% ▼ Reduced -76.6%
-1.8M shares
30 BE BLOOM ENERGY CORP
2,016,532 $610,404.2 0.46% ▼ Reduced -43.2%
-1.5M shares
31 RTX PROCTER & GAMBLE CO
3,227,934 $607,282.5 0.46% ▲ Added +168.7%
+75K shares
32 INTU INFOSYS LTD
5,871,080 $603,066.7 0.45%
33 EQIX EQUINIX INC
576,841 $601,293.3 0.45% ▲ Added +27.5%
+125K shares
34 WFC WELLS FARGO & CO
7,266,171 $600,476.4 0.45% ▲ Added +359.0%
+5.7M shares
35 452308109 ILLINOIS TOOL WKS INC 2,153,740 $582,522.1 0.44% ▲ Added +46.7%
+686K shares
36 BMY BRISTOL-MYERS SQUIBB CO
10,085,383 $581,119.8 0.44% ▼ Reduced -12.6%
-1.4M shares
37 ALNY ALNYLAM PHARMACEUTICALS INC
1,875,937 $564,713.3 0.42% ▼ Reduced -5.9%
-117K shares
38 GH GUARDANT HEALTH INC
3,719,301 $558,006.7 0.42% ▼ Reduced -12.1%
-510K shares
39 SNDK SANDISK CORP
241,675 $549,503.7 0.41% ▼ Reduced -68.3%
-521K shares
40 94106B101 WASTE CONNECTIONS INC 3,245,893 $541,057.9 0.41% ▼ Reduced -5.8%
-198K shares
41 12572Q105 CME GROUP INC 2,420,121 $534,435.3 0.40% ▲ Added +110.2%
+1.3M shares
42 ROST ROSS STORES INC
2,446,237 $520,681.5 0.39% ▼ Reduced -13.0%
-366K shares
43 ABNB AIRBNB INC
3,550,165 $508,028.6 0.38% ▲ Added +2.6%
+91K shares
44 60770K107 MODERNA INC 7,193,530 $503,762.9 0.38% ▼ Reduced -20.8%
-1.9M shares
45 CI THE CIGNA GROUP
1,813,110 $499,838.2 0.38% ▲ Added +182.7%
+1.2M shares
46 462222100 IONIS PHARMACEUTICALS INC 6,252,342 $495,748.2 0.37% ▲ Added +6.7%
+395K shares
47 N00985106 AERCAP HOLDINGS NV 3,394,989 $494,921.5 0.37% ▼ Reduced -4.0%
-141K shares
48 AAL AMERICAN AIRLINES GROUP INC
27,240,983 $492,244.6 0.37% ▲ Added +92.1%
+13.1M shares
49 260557103 DOW HLDGS INC 17,873,366 $489,015.3 0.37% ▲ Added +296.7%
+13.4M shares
50 760759100 REPUBLIC SVCS INC 2,280,285 $485,883.1 0.37% ▲ Added +33.4%
+571K shares
Total (shown) $38,401,395.2 28.88%
CIK: 0001167557 Filing date: 2026-08-14 Period: 2026-06-30 Reported AUM: $286,847,512M Holdings shown: 50 / 3880 · Shown value: $85,520,267M (29.8% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 NVDA NVIDIA CORPORATION
37,823,393 $7,482,980.2 2.61% ▲ Added +17.8%
+5.7M shares
2 AAPL APPLE INC
17,560,970 $5,010,144.6 1.75% ▲ Added +20.3%
+3.0M shares
3 MU MICRON TECHNOLOGY INC
3,833,728 $4,425,233.1 1.54% ▼ Reduced -15.2%
-690K shares
4 GOOGL ALPHABET INC
12,339,337 $4,350,271.3 1.52% ▲ Added +3.8%
+222K shares
5 MSFT MICROSOFT CORP
11,473,057 $4,262,699.3 1.49% ▲ Added +14.3%
+1.4M shares
6 GEV GE AEROSPACE
5,262,680 $3,107,231.5 1.08% ▲ Added +2.8%
+-206,932 shares
7 AMZN AMAZON COM INC
11,924,360 $2,842,052.1 0.99% ▲ Added +25.9%
+2.5M shares
8 AVGO BROADCOM INC
6,683,693 $2,516,811.5 0.88% ▲ Added +8.0%
+498K shares
9 FIX COMFORT SYS USA INC
1,059,017 $2,084,632.3 0.73% ▼ Reduced -5.1%
-57K shares
10 BRK-B BERKSHIRE HATHAWAY INC DEL
8,476,111 $2,054,513.3 0.72% ▲ Added +44.9%
+-1 shares
11 BKNG BOOKING HOLDINGS INC
9,531,050 $2,021,889.8 0.70% ▼ Reduced -9.8%
12 CEG CENTENE CORP DEL
29,075,764 $1,939,504.4 0.68% ▲ Added +61.2%
+-4,935,086 shares
13 WDC WESTERN DIGITAL CORP
2,940,948 $1,878,442.0 0.65% ▼ Reduced -15.0%
-519K shares
14 BMY BRISTOL-MYERS SQUIBB CO
27,357,486 $1,576,338.3 0.55% ▼ Reduced -7.7%
-2.3M shares
15 ABNB AIRBNB INC
10,624,015 $1,520,296.6 0.53% ▲ Added +32.8%
+2.6M shares
16 LRCX LAM RESEARCH CORP
3,485,364 $1,510,312.4 0.53% ▲ Added +1.0%
+33K shares
17 INTC INTEL CORP
10,742,567 $1,474,202.4 0.51% ▼ Reduced -6.3%
-728K shares
18 PCG PG&E CORP
86,284,177 $1,451,299.9 0.51% ▲ Added +0.1%
+49K shares
19 TJX TJX COS INC NEW
14,680,086 $1,440,084.3 0.50% ▲ Added +7.3%
+442K shares
20 EIX EDISON INTL
18,694,105 $1,391,776.1 0.49% ▼ Reduced -10.3%
-2.1M shares
21 CB CHUBB LIMITED
4,003,312 $1,364,088.6 0.48% ▲ Added +4.2%
+162K shares
22 34959E109 FORTINET INC 8,673,742 $1,331,939.7 0.46% ▲ Added +11.6%
+902K shares
23 LLY ELI LILLY & CO
1,613,146 $1,275,991.1 0.44% ▲ Added +21.1%
+180K shares
24 VRSN VERISIGN INC
4,949,848 $1,245,184.0 0.43% ▲ Added +31.9%
+1.2M shares
25 TSLA TESLA INC
3,008,189 $1,239,464.0 0.43% ▲ Added +33.1%
+749K shares
26 META META PLATFORMS INC
2,168,492 $1,205,681.3 0.42% ▲ Added +15.8%
+296K shares
27 G7997R103 SEAGATE TECHNOLOGY HLDNGS PL 1,245,371 $1,201,782.4 0.42% ▲ Added +24.4%
+244K shares
28 JBHT HUNT J B TRANS SVCS INC
4,156,396 $1,184,572.8 0.41% ▲ Added +2.6%
+105K shares
29 COST COSTCO WHOLESALE CORPORATION
1,253,747 $1,172,842.2 0.41% ▲ Added +22.0%
+226K shares
30 TER TERADYNE INC
2,416,624 $1,144,126.6 0.40% ▲ Added +10.7%
+233K shares
31 GM GENERAL MTRS CO
13,977,261 $1,075,829.8 0.38% ▲ Added +0.6%
+85K shares
32 COF CAPITAL ONE FINL CORP
5,271,438 $1,057,556.0 0.37% ▲ Added +45.9%
+1.7M shares
33 PNC PNC FINL SVCS GROUP INC
4,224,201 $1,040,082.8 0.36% ▼ Reduced -4.9%
-217K shares
34 MRK MERCK & CO INC
8,134,262 $1,039,396.0 0.36% ▼ Reduced -5.7%
-494K shares
35 ANET ARISTA NETWORKS INC
5,932,011 $1,002,865.8 0.35% ▼ Reduced -25.4%
-2.0M shares
36 G87110105 TECHNIPFMC PLC 14,685,742 $972,489.8 0.34% ▼ Reduced -17.5%
-3.1M shares
37 G93A5A101 VIKING HOLDINGS LTD 9,293,755 $967,294.1 0.34% ▲ Added +23.8%
+1.8M shares
38 SNDK SANDISK CORP
445,251 $965,304.8 0.34% ▼ Reduced -35.8%
-249K shares
39 89417E109 TRAVELERS COMPANIES INC 2,837,834 $936,826.0 0.33% ▲ Added +15.4%
+379K shares
40 AMD ADVANCED MICRO DEVICES INC
1,681,437 $936,762.6 0.33% ▲ Added +71.4%
+700K shares
41 JPM JPMORGAN CHASE & CO
2,842,230 $930,347.3 0.32% ▲ Added +74.4%
+1.2M shares
42 CVX CHEVRON CORPORATION
5,502,367 $912,072.4 0.32% ▲ Added +268.6%
+4.0M shares
43 67059N108 NUTANIX INC 17,778,710 $901,202.8 0.31% ▲ Added +17.3%
+2.6M shares
44 CRS CARPENTER TECHNOLOGY CORP
1,459,426 $900,232.3 0.31% ▲ Added +101.5%
+735K shares
45 WFC WELLS FARGO & CO
10,749,836 $888,366.4 0.31% ▲ Added +274.0%
+7.9M shares
46 CMI CUMMINS INC
1,262,659 $884,757.8 0.31% ▲ Added +30.6%
+296K shares
47 92537N108 VERTIV HOLDINGS CO 2,686,683 $858,207.2 0.30% ▲ Added +0.5%
+14K shares
48 SPY STATE STR SPDR S&P 500 ETF T
1,144,745 $854,861.1 0.30% ▲ Added +24.9%
+228K shares
49 NFLX NETFLIX INC.
9,761,268 $850,549.6 0.30% ▼ Reduced -13.8%
-405K shares
50 FDX FEDEX CORP
2,678,995 $838,873.9 0.29% ▼ Reduced -12.3%
-376K shares
Total (shown) $85,520,266.6 29.83%
Failed to fetch: No 13F-HR filings found ↻ Retry
CIK: 0001624865 Filing date: 2023-05-04 Period: 2023-03-31 Reported AUM: $567,472M Holdings shown: 50 / 147 · Shown value: $529,703M (93.3% of AUM)

AUM by Quarter

Sector Concentration

# Ticker Company 52-week Shares Value ($M) % Portfolio Change
1 46429B747 ISHARES TR 1,201,371 $119,212.1 21.01% ▼ Reduced -5.9%
-75K shares
2 QQQ INVESCO QQQ TR
226,991 $72,848.1 12.84% ▲ Added +426.6%
+184K shares
3 SPY SPDR S&P 500 ETF TR
138,628 $56,753.0 10.00%
4 464287309 ISHARES TR 881,122 $56,294.9 9.92% New
5 78464A805 SPDR SER TR 632,373 $31,890.6 5.62% ▼ Reduced -12.7%
-92K shares
6 922908363 VANGUARD INDEX FDS 45,318 $17,042.6 3.00% ▲ Added +81.3%
+20K shares
7 032108409 AMPLIFY ETF TR 436,587 $15,485.7 2.73% ▲ Added +84.1%
+199K shares
8 69374H881 PACER FDS TR 313,222 $14,705.8 2.59% ▲ Added +76.0%
+135K shares
9 025072877 AMERICAN CENTY ETF TR 178,944 $13,252.6 2.34% ▲ Added +6.9%
+12K shares
10 97717W380 WISDOMTREE TR 297,579 $12,953.6 2.28% ▲ Added +2.8%
+8K shares
11 AAPL APPLE INC
42,439 $6,998.1 1.23% ▼ Reduced -0.6%
-265 shares
12 FSK FS KKR CAP CORP
368,989 $6,826.3 1.20% ▲ Added +2.1%
+8K shares
13 921937835 VANGUARD BD INDEX FDS 89,938 $6,640.1 1.17% ▼ Reduced -11.7%
-12K shares
14 69374H667 PACER FDS TR 189,143 $6,550.0 1.15% ▲ Added +86.2%
+88K shares
15 464288521 ISHARES TR 121,034 $6,100.1 1.07% ▼ Reduced -15.7%
-23K shares
16 RTX PROCTER AND GAMBLE CO
40,383 $6,004.5 1.06% ▲ Added +18.7%
+6K shares
17 78464A508 SPDR SER TR 141,049 $5,743.5 1.01% ▼ Reduced -6.1%
-9K shares
18 78468R101 SPDR SER TR 173,440 $5,069.7 0.89% ▲ Added +6.7%
+11K shares
19 46641Q654 J P MORGAN EXCHANGE TRADED F 93,253 $4,736.3 0.83% ▲ Added +0.6%
+557 shares
20 921078101 VANECK MERK GOLD TR 239,972 $4,583.5 0.81% ▲ Added +2.5%
+6K shares
21 46429B697 ISHARES TR 56,814 $4,132.6 0.73% ▼ Reduced -0.2%
-98 shares
22 464287572 ISHARES TR 56,308 $3,944.9 0.70% ▼ Reduced -8.4%
-5K shares
23 DIA SPDR DOW JONES INDL AVERAGE
9,220 $3,066.9 0.54% ▲ Added +52.9%
+3K shares
24 464287465 ISHARES TR 42,614 $3,047.8 0.54% New
25 464287408 ISHARES TR 19,686 $2,987.5 0.53% ▲ Added +41.9%
+6K shares
26 464287838 ISHARES TR 22,130 $2,932.9 0.52% New
27 464287606 ISHARES TR 40,663 $2,907.8 0.51% New
28 78467Y107 SPDR S&P MIDCAP 400 ETF TR 6,140 $2,814.5 0.50% ▲ Added +54.3%
+2K shares
29 464287705 ISHARES TR 26,909 $2,765.5 0.49% ▲ Added +40.3%
+8K shares
30 78468R853 SPDR SER TR 68,291 $2,579.3 0.45% ▲ Added +1.6%
+1K shares
31 71844V201 PHILLIPS EDISON & CO INC 63,782 $2,080.6 0.37% ▼ Reduced -4.0%
-3K shares
32 33739N108 FIRST TR EXCH TRADED FD III 40,825 $2,079.5 0.37% ▼ Reduced -2.0%
-852 shares
33 33740J104 FIRST TR EXCH TRADED FD III 103,692 $2,070.2 0.36% ▲ Added +29.7%
+24K shares
34 72201R833 PIMCO ETF TR 17,011 $1,688.3 0.30% ▲ Added +0.3%
+55 shares
35 464287804 ISHARES TR 17,408 $1,683.4 0.30% ▼ Reduced -14.8%
-3K shares
36 33739P830 FIRST TR EXCH TRADED FD III 84,361 $1,677.1 0.30% ▲ Added +2.5%
+2K shares
37 47103U886 JANUS DETROIT STR TR 33,788 $1,613.4 0.28% ▼ Reduced -2.7%
-944 shares
38 464287226 ISHARES TR 16,054 $1,599.7 0.28% ▲ Added +1.4%
+228 shares
39 922908769 VANGUARD INDEX FDS 7,721 $1,575.8 0.28% ▼ Reduced -6.6%
-549 shares
40 464287457 ISHARES TR 15,806 $1,298.6 0.23% ▼ Reduced -16.1%
-3K shares
41 464288596 ISHARES TR 12,233 $1,294.1 0.23% ▼ Reduced -0.3%
-33 shares
42 MSFT MICROSOFT CORP
4,488 $1,293.9 0.23% ▼ Reduced -2.2%
-100 shares
43 CAT CATERPILLAR INC
5,595 $1,280.3 0.23% ▲ Added +0.3%
+14 shares
44 316092824 FIDELITY COVINGTON TRUST 26,749 $1,270.0 0.22%
45 78468R663 SPDR SER TR 12,847 $1,179.6 0.21% ▼ Reduced -16.3%
-3K shares
46 33616C100 FIRST REP BK SAN FRANCISCO C 80,000 $1,119.2 0.20% New
47 464287739 ISHARES TR 12,795 $1,086.3 0.19% ▼ Reduced -0.4%
-52 shares
48 DE DEERE & CO
2,458 $1,014.9 0.18% ▲ Added +0.2%
+4 shares
49 GOOGL ALPHABET INC
9,379 $974.0 0.17% ▲ Added +0.5%
+-129 shares
50 TSLA TESLA INC
4,595 $953.2 0.17% ▲ Added +4.3%
+189 shares
Total (shown) $529,702.9 93.36%
Failed to fetch: No 13F-HR filings found ↻ Retry
New New position this quarter ▲ Added Shares increased vs prior quarter ▼ Reduced Shares decreased vs prior quarter Closed Position exited (prior quarter only) · Data source: SEC EDGAR