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Feels29.9°C
Humidity78%
Wind20.9 km/h
Air QualityAQI 1
Cloud Cover55%
Rain86%
Sunrise05:57 AM
Sunset06:48 PM
Time6:02 AM
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1 May 2026
13F HOLDINGS REPORT

SUSQUEHANNA INTERNATIONAL GROUP, LLP

Quarter ended Q3 2024 · Filed November 14, 2024 · Accession 0001446194-24-000008

Total Value
$572.47B
Positions
14,014
Other Managers
7
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1NVIDIA CORPORATIONNVDA185,162,100$22.49B4.93%
2SPDR S&P 500 ETF TRSPY34,615,900$19.86B4.36%
3SPDR S&P 500 ETF TRSPY30,605,000$17.56B3.85%
4NVIDIA CORPORATIONNVDA144,235,000$17.52B3.84%
5INVESCO QQQ TRIVZ23,894,700$11.66B2.56%
6TESLA INCTSLA41,017,200$10.73B2.35%
7SPDR S&P 500 ETF TRSPY18,318,015$10.51B2.30%
8INVESCO QQQ TRIVZ20,336,500$9.93B2.18%
9APPLE INCAAPL40,836,900$9.51B2.09%
10TESLA INCTSLA29,074,500$7.61B1.67%
11MICROSOFT CORPMSFT17,208,100$7.40B1.62%
12ISHARES TR46428765532,916,500$7.27B1.59%
13MICROSOFT CORPMSFT16,699,700$7.19B1.58%
14ISHARES TR46428765531,846,300$7.03B1.54%
15META PLATFORMS INCMETA11,198,100$6.41B1.41%
16META PLATFORMS INCMETA10,941,800$6.26B1.37%
17APPLE INCAAPL21,926,200$5.11B1.12%
18AMAZON COM INCAMZN21,860,400$4.07B0.89%
19ISHARES TR46428743238,941,800$3.82B0.84%
20AMAZON COM INCAMZN20,446,200$3.81B0.84%
21BROADCOM INCAVGO19,187,900$3.31B0.73%
22COSTCO WHSL CORP NEW22160K1053,469,000$3.08B0.67%
23ALPHABET INCGOOG17,381,600$2.88B0.63%
24NETFLIX INCNFLX3,868,400$2.74B0.60%
25BROADCOM INCAVGO14,965,600$2.58B0.57%
26ISHARES TR46428743226,229,800$2.57B0.56%
27BERKSHIRE HATHAWAY INC DELBRK-A5,545,100$2.55B0.56%
28TAIWAN SEMICONDUCTOR MFG LTD87403910014,530,700$2.52B0.55%
29PDD HOLDINGS INCPDD18,443,600$2.49B0.55%
30ADVANCED MICRO DEVICES INCAMD14,295,700$2.35B0.51%
31ADVANCED MICRO DEVICES INCAMD14,151,400$2.32B0.51%
32SPDR GOLD TRGLD9,469,700$2.30B0.50%
33BOOKING HOLDINGS INCBKNG512,700$2.16B0.47%
34COSTCO WHSL CORP NEW22160K1052,347,500$2.08B0.46%
35ALPHABET INCGOOG12,517,300$2.08B0.46%
36SUPER MICRO COMPUTER INCSMCI4,933,400$2.05B0.45%
37ALIBABA GROUP HLDG LTDBBAAY19,193,300$2.04B0.45%
38NETFLIX INCNFLX2,836,800$2.01B0.44%
39ELI LILLY & COLLY2,185,500$1.94B0.42%
40FIRST SOLAR INCFSLR7,316,400$1.83B0.40%
41ELI LILLY & COLLY2,054,000$1.82B0.40%
42ISHARES TR46428723438,855,700$1.78B0.39%
43TAIWAN SEMICONDUCTOR MFG LTD87403910010,194,100$1.77B0.39%
44BOOKING HOLDINGS INCBKNG402,100$1.69B0.37%
45SELECT SECTOR SPDR TR81369Y60536,968,600$1.68B0.37%
46MICROSTRATEGY INCSTRK9,565,700$1.61B0.35%
47CROWDSTRIKE HLDGS INCCRWD5,734,300$1.61B0.35%
48ISHARES TR46428743216,314,237$1.60B0.35%
49ISHARES TR46428851319,868,000$1.60B0.35%
50INVESCO QQQ TRIVZ3,240,078$1.58B0.35%
51SPDR DOW JONES INDL AVERAGE78467X1093,693,500$1.56B0.34%
52ADOBE INCADBE2,999,800$1.55B0.34%
53ISHARES TR46428723433,095,800$1.52B0.33%
54ALPHABET INCGOOG8,858,200$1.48B0.32%
55VANECK ETF TRUST92189F6765,910,000$1.45B0.32%
56SPDR GOLD TRGLD5,703,100$1.39B0.30%
57MICRON TECHNOLOGY INCMU13,178,700$1.37B0.30%
58ALPHABET INCGOOG8,135,900$1.36B0.30%
59JPMORGAN CHASE & CO.VYLD6,308,100$1.33B0.29%
60ISHARES TR46428746515,897,300$1.33B0.29%
61BOEING COBA-PA8,472,100$1.29B0.28%
62PALO ALTO NETWORKS INCPANW3,688,700$1.26B0.28%
63NVIDIA CORPORATIONNVDA10,371,087$1.26B0.28%
64SPDR DOW JONES INDL AVERAGE78467X1092,961,400$1.25B0.27%
65JPMORGAN CHASE & CO.VYLD5,805,700$1.22B0.27%
66BERKSHIRE HATHAWAY INC DELBRK-A2,636,200$1.21B0.27%
67CROWDSTRIKE HLDGS INCCRWD4,293,700$1.20B0.26%
68COINBASE GLOBAL INCCOIN6,709,300$1.20B0.26%
69FIRST SOLAR INCFSLR4,725,700$1.18B0.26%
70COINBASE GLOBAL INCCOIN6,516,900$1.16B0.25%
71GOLDMAN SACHS GROUP INCGSCE2,252,100$1.12B0.24%
72CITIGROUP INCC-PR17,759,500$1.11B0.24%
73CHIPOTLE MEXICAN GRILL INCCMG18,953,600$1.09B0.24%
74NVIDIA CORPORATIONNVDA8,953,700$1.09B0.24%
75ALIBABA GROUP HLDG LTDBBAAY10,078,000$1.07B0.23%
76TESLA INCTSLA3,915,278$1.02B0.22%
77EXXON MOBIL CORPXOM8,735,600$1.02B0.22%
78WALMART INCWMT12,667,900$1.02B0.22%
79ISHARES TR46428718432,054,200$1.02B0.22%
80KRANESHARES TRUST50076730629,842,400$1.02B0.22%
81QUALCOMM INCQCOM5,906,300$1.00B0.22%
82SERVICENOW INCNOW1,122,200$1.00B0.22%
83ASML HOLDING N VASMLF1,194,800$995.6M0.22%
84PALO ALTO NETWORKS INCPANW2,869,800$980.9M0.22%
85CHIPOTLE MEXICAN GRILL INCCMG17,012,800$980.3M0.21%
86PDD HOLDINGS INCPDD7,251,000$977.5M0.21%
87ADOBE INCADBE1,874,900$970.8M0.21%
88TESLA INCTSLA3,697,700$967.4M0.21%
89SALESFORCE INCCRM3,474,900$951.1M0.21%
90UNITEDHEALTH GROUP INCUNH1,610,400$941.6M0.21%
91GOLDMAN SACHS GROUP INCGSCE1,889,500$935.5M0.21%
92UNITEDHEALTH GROUP INCUNH1,587,700$928.3M0.20%
93SELECT SECTOR SPDR TR81369Y50610,545,300$925.9M0.20%
94SELECT SECTOR SPDR TR81369Y8034,052,100$914.8M0.20%
95ISHARES TR4642876554,116,556$909.3M0.20%
96MICROSOFT CORPMSFT2,111,940$908.8M0.20%
97SUPER MICRO COMPUTER INCSMCI2,165,900$901.9M0.20%
98SERVICENOW INCNOW1,006,500$900.2M0.20%
99NVIDIA CORPORATIONNVDA7,351,100$892.7M0.20%
100MICROSTRATEGY INCSTRK5,278,500$890.0M0.20%
101SELECT SECTOR SPDR TR81369Y4074,308,600$863.3M0.19%
102SELECT SECTOR SPDR TR81369Y5069,810,500$861.4M0.19%
103PAYPAL HLDGS INCPYPL10,933,300$853.1M0.19%
104BOEING COBA-PA5,562,500$845.7M0.19%
105CITIGROUP INCC-PR13,304,100$832.8M0.18%
106ARM HOLDINGS PLC0420682055,785,700$827.4M0.18%
107MICRON TECHNOLOGY INCMU7,912,300$820.6M0.18%
108VANECK ETF TRUST92189F6763,298,300$809.6M0.18%
109VANECK ETF TRUST92189F10620,324,000$809.3M0.18%
110SPDR SER TR78464A69814,251,600$806.6M0.18%
111ORACLE CORPORCL-PD4,728,200$805.7M0.18%
112HOME DEPOT INCHD1,976,700$801.0M0.18%
113ARM HOLDINGS PLC0420682055,563,300$795.6M0.17%
114WALMART INCWMT9,790,500$790.6M0.17%
115NIKE INCNKE8,937,500$790.1M0.17%
116QUALCOMM INCQCOM4,643,100$789.6M0.17%
117SALESFORCE INCCRM2,790,400$763.8M0.17%
118ISHARES TR4642874659,130,300$763.6M0.17%
119NIKE INCNKE8,636,800$763.5M0.17%
120META PLATFORMS INCMETA1,332,636$762.9M0.17%
121SPOTIFY TECHNOLOGY S ASPOT2,042,500$752.7M0.17%
122INTERNATIONAL BUSINESS MACHSINTR3,380,800$747.4M0.16%
123HOME DEPOT INCHD1,829,100$741.2M0.16%
124DISNEY WALT CO2546871067,625,800$733.5M0.16%
125PALANTIR TECHNOLOGIES INCPLTR19,400,300$721.7M0.16%
126ABBVIE INCABBV3,648,700$720.5M0.16%
127MCDONALDS CORPMCD2,350,900$715.9M0.16%
128VISA INCV2,594,200$713.3M0.16%
129LAM RESEARCH CORPLRCX868,200$708.5M0.16%
130UBER TECHNOLOGIES INCUBER9,386,500$705.5M0.15%
131AMAZON COM INCAMZN3,772,693$703.0M0.15%
132DELL TECHNOLOGIES INCDELL5,920,600$701.8M0.15%
133PFIZER INCPFE23,712,800$686.2M0.15%
134MICRON TECHNOLOGY INCMU6,524,722$676.7M0.15%
135INTEL CORPINTC28,548,600$669.8M0.15%
136DELL TECHNOLOGIES INCDELL5,587,000$662.3M0.15%
137BLACKSTONE INCBX4,262,300$652.7M0.14%
138ISHARES SILVER TRSLV22,938,900$651.7M0.14%
139MERCADOLIBRE INCMELI309,800$635.7M0.14%
140ASML HOLDING N VASMLF760,400$633.6M0.14%
141LAM RESEARCH CORPLRCX773,700$631.4M0.14%
142APPLE INCAAPL2,706,100$630.5M0.14%
143CARVANA COCVNA3,567,200$621.1M0.14%
144VISA INCV2,254,900$620.0M0.14%
145SELECT SECTOR SPDR TR81369Y60513,575,000$615.2M0.13%
146EXXON MOBIL CORPXOM5,244,300$614.7M0.13%
147SELECT SECTOR SPDR TR81369Y1006,312,400$608.4M0.13%
148STARBUCKS CORPSBUX6,240,300$608.4M0.13%
149CARVANA COCVNA3,490,700$607.8M0.13%
150ISHARES TR4642874657,257,312$606.9M0.13%
151LULULEMON ATHLETICA INCLULU2,232,500$605.8M0.13%
152PROCTER AND GAMBLE CO7427181093,467,200$600.5M0.13%
153CATERPILLAR INCCAT1,529,400$598.2M0.13%
154SPOTIFY TECHNOLOGY S ASPOT1,620,500$597.2M0.13%
155SPDR SER TR78464A69810,462,900$592.2M0.13%
156MONGODB INCMDB2,190,000$592.1M0.13%
157DISNEY WALT CO2546871066,064,000$583.3M0.13%
158PAYPAL HLDGS INCPYPL7,426,000$579.5M0.13%
159FREEPORT-MCMORAN INCFCX11,585,400$578.3M0.13%
160MASTERCARD INCORPORATEDMA1,164,000$574.8M0.13%
161LULULEMON ATHLETICA INCLULU2,115,900$574.1M0.13%
162BANK AMERICA CORP06050510414,076,900$558.6M0.12%
163APPLIED MATLS INC0382221052,758,700$557.4M0.12%
164VANECK ETF TRUST92189H6071,961,400$556.5M0.12%
165GE AEROSPACE3696043012,928,200$552.2M0.12%
166MICROSOFT CORPMSFT1,276,800$549.4M0.12%
167APPLE INCAAPL2,348,871$547.3M0.12%
168PALANTIR TECHNOLOGIES INCPLTR14,496,500$539.3M0.12%
169CATERPILLAR INCCAT1,361,900$532.7M0.12%
170VANECK ETF TRUST92189F10613,284,300$529.0M0.12%
171BLACKSTONE INCBX3,445,500$527.6M0.12%
172JD.COM INCJDCMF13,174,500$527.0M0.12%
173SELECT SECTOR SPDR TR81369Y1005,467,200$526.9M0.12%
174REGENERON PHARMACEUTICALSREGN500,100$525.7M0.12%
175MERCADOLIBRE INCMELI255,000$523.2M0.11%
176ORACLE CORPORCL-PD3,057,700$521.0M0.11%
177SELECT SECTOR SPDR TR81369Y2093,374,800$519.8M0.11%
178AMERICAN EXPRESS COAXP1,912,600$518.7M0.11%
179GRAINGER W W INC384802104499,000$518.4M0.11%
180PROSHARES TR74347X8317,092,100$514.1M0.11%
181META PLATFORMS INCMETA894,700$512.2M0.11%
182MCDONALDS CORPMCD1,676,600$510.5M0.11%
183CHEVRON CORP NEWCVX3,441,300$506.8M0.11%
184UBER TECHNOLOGIES INCUBER6,741,100$506.7M0.11%
185MASTERCARD INCORPORATEDMA1,024,600$505.9M0.11%
186MONGODB INCMDB1,860,600$503.0M0.11%
187WELLS FARGO CO NEW9497461018,856,900$500.3M0.11%
188SELECT SECTOR SPDR TR81369Y8032,210,200$499.0M0.11%
189PROSHARES TR74347X8316,874,300$498.3M0.11%
190BANK AMERICA CORP06050510412,421,500$492.9M0.11%
191ALPHABET INCGOOG2,970,691$492.7M0.11%
192STARBUCKS CORPSBUX5,046,600$492.0M0.11%
193INTEL CORPINTC20,710,400$485.9M0.11%
194SNOWFLAKE INCSNOW4,215,800$484.2M0.11%
195BLACKROCK INCBLK508,200$482.5M0.11%
196COCA COLA COKO6,668,700$479.2M0.11%
197SNOWFLAKE INCSNOW4,163,400$478.2M0.10%
198PFIZER INCPFE16,520,200$478.1M0.10%
199CHEVRON CORP NEWCVX3,226,400$475.2M0.10%
200TARGET CORPTGT2,991,000$466.2M0.10%
201MICROSTRATEGY INCSTRK2,748,797$463.4M0.10%
202APPLIED MATLS INC0382221052,281,700$461.0M0.10%
203FEDEX CORPFDX1,679,300$459.6M0.10%
204LOCKHEED MARTIN CORPLMT776,800$454.1M0.10%
205MORGAN STANLEYMS-PQ4,339,400$452.3M0.10%
206GE AEROSPACE3696043012,397,700$452.2M0.10%
207SHOPIFY INCSHOP5,617,000$450.1M0.10%
208TARGET CORPTGT2,886,800$449.9M0.10%
209DOORDASH INCDASH3,135,300$447.5M0.10%
210TEXAS INSTRS INC8825081042,163,300$446.9M0.10%
211SPDR SER TR78468R5563,384,600$445.1M0.10%
212THERMO FISHER SCIENTIFIC INCTMO712,900$441.0M0.10%
213BLACKROCK INCBLK454,900$431.9M0.09%
214BAIDU INCBAIDF4,091,300$430.8M0.09%
215VERTIV HOLDINGS COVRT4,308,500$428.7M0.09%
216AMGEN INCAMGN1,325,300$427.0M0.09%
217PROCTER AND GAMBLE CO7427181092,440,400$422.7M0.09%
2183M COMMM3,068,900$419.5M0.09%
219NEWMONT CORPNEMCL7,846,700$419.4M0.09%
220SELECT SECTOR SPDR TR81369Y8865,173,600$417.9M0.09%
221WELLS FARGO CO NEW9497461017,382,500$417.0M0.09%
222ISHARES TR4642875231,790,300$412.8M0.09%
223ULTA BEAUTY INCULTA1,054,100$410.2M0.09%
224FEDEX CORPFDX1,489,800$407.7M0.09%
225NVIDIA CORPORATIONNVDA3,357,018$407.7M0.09%
226ISHARES INC46428640013,675,100$403.3M0.09%
227AMERICAN EXPRESS COAXP1,476,200$400.3M0.09%
228AMGEN INCAMGN1,241,200$399.9M0.09%
229ACCENTURE PLC IRELANDACN1,117,700$395.1M0.09%
230SELECT SECTOR SPDR TR81369Y2092,560,700$394.4M0.09%
231INTUITINTU634,800$394.2M0.09%
232CAMECO CORPCCJ8,142,800$388.9M0.09%
233ISHARES TR46428718412,138,200$385.8M0.08%
234AUTOZONE INCAZO122,200$384.9M0.08%
235DANAHER CORPORATION2358511021,381,300$384.0M0.08%
236LOWES COS INC5486611071,409,300$381.7M0.08%
237SELECT SECTOR SPDR TR81369Y4071,903,600$381.4M0.08%
238ELI LILLY & COLLY426,987$378.3M0.08%
239MERCK & CO INCMRK3,327,700$377.9M0.08%
240BRISTOL-MYERS SQUIBB COCELG-RI7,251,800$375.2M0.08%
241ABBVIE INCABBV1,889,400$373.1M0.08%
242JOHNSON & JOHNSONJNJ2,273,700$368.5M0.08%
243LOCKHEED MARTIN CORPLMT627,800$367.0M0.08%
244OCCIDENTAL PETE CORP6745991057,103,500$366.1M0.08%
245ROYAL CARIBBEAN GROUPV7780T1032,049,800$363.6M0.08%
246BOEING COBA-PA2,375,899$361.2M0.08%
247SHOPIFY INCSHOP4,439,800$355.8M0.08%
248NEXTERA ENERGY INCNEE-PW4,201,700$355.2M0.08%
249HUMANA INCHUM1,117,400$353.9M0.08%
250KRANESHARES TRUST50076730610,377,300$353.0M0.08%
251APPLOVIN CORPAPP2,703,900$353.0M0.08%
252INTUITINTU565,000$350.9M0.08%
253ISHARES TR4642885134,364,100$350.4M0.08%
254VERIZON COMMUNICATIONS INCVZ7,781,400$349.5M0.08%
255VERIZON COMMUNICATIONS INCVZ7,769,000$348.9M0.08%
256CVS HEALTH CORPCVS5,499,200$345.8M0.08%
257DEERE & CODE826,900$345.1M0.08%
258BROADCOM INCAVGO1,985,100$342.4M0.08%
259SUPER MICRO COMPUTER INCSMCI817,441$340.4M0.07%
260DIREXION SHS ETF TR25459W4589,239,400$338.9M0.07%
261CONSTELLATION ENERGY CORPCEG1,292,200$336.0M0.07%
262UNITED RENTALS INCURI413,800$335.1M0.07%
263CISCO SYS INCCSCO6,269,200$333.6M0.07%
264AUTOZONE INCAZO105,400$332.0M0.07%
265ULTA BEAUTY INCULTA853,100$332.0M0.07%
266AT&T INCT-PC15,044,500$331.0M0.07%
267SPDR S&P 500 ETF TRSPY576,300$330.7M0.07%
268MORGAN STANLEYMS-PQ3,164,900$329.9M0.07%
269SELECT SECTOR SPDR TR81369Y7042,432,500$329.5M0.07%
270ADVANCED MICRO DEVICES INCAMD1,972,062$323.6M0.07%
271DATADOG INCDDOG2,807,900$323.1M0.07%
272RTX CORPORATIONRTX2,658,900$322.2M0.07%
273ENPHASE ENERGY INCENPH2,841,200$321.1M0.07%
274OCCIDENTAL PETE CORP6745991056,206,000$319.9M0.07%
275INVESCO EXCHANGE TRADED FD TIVZ1,783,000$319.4M0.07%
276BRISTOL-MYERS SQUIBB COCELG-RI6,161,600$318.8M0.07%
277WYNN RESORTS LTDWYNN3,302,000$316.6M0.07%
278UNITED AIRLS HLDGS INCUNTCW5,515,200$314.7M0.07%
279REGENERON PHARMACEUTICALSREGN299,000$314.3M0.07%
280TEXAS INSTRS INC8825081041,521,200$314.2M0.07%
281INTUITIVE SURGICAL INCISRG630,400$309.7M0.07%
282VISTRA CORPVST2,583,600$306.3M0.07%
283DIREXION SHS ETF TR25459W4588,328,100$305.5M0.07%
284META PLATFORMS INCMETA530,600$303.7M0.07%
285SPDR SER TR78464A8703,020,100$298.4M0.07%
286THERMO FISHER SCIENTIFIC INCTMO476,300$294.6M0.06%
287INTUITIVE SURGICAL INCISRG599,700$294.6M0.06%
288ALPHABET INCGOOG1,755,910$293.6M0.06%
289GE VERNOVA INCGEV1,140,700$290.9M0.06%
290MICROSOFT CORPMSFT675,800$290.8M0.06%
291SPDR SER TR78464A8702,934,300$289.9M0.06%
292BAIDU INCBAIDF2,740,700$288.6M0.06%
293ISHARES INC4642864009,752,200$287.6M0.06%
294VANGUARD WORLD FD92204A702485,500$284.8M0.06%
295JOHNSON & JOHNSONJNJ1,756,500$284.7M0.06%
296LENNAR CORPLEN-B1,513,600$283.8M0.06%
297CROWDSTRIKE HLDGS INCCRWD1,007,941$282.7M0.06%
298CVS HEALTH CORPCVS4,465,400$280.8M0.06%
299SALESFORCE INCCRM1,025,572$280.7M0.06%
300NEXTERA ENERGY INCNEE-PW3,303,100$279.2M0.06%
301ARISTA NETWORKS INCANET724,700$278.2M0.06%
302COINBASE GLOBAL INCCOIN1,558,237$277.6M0.06%
303ROYAL CARIBBEAN GROUPV7780T1031,558,200$276.4M0.06%
304COCA COLA COKO3,841,200$276.0M0.06%
305NOVO-NORDISK A SNONOF2,309,100$274.9M0.06%
306DEERE & CODE656,000$273.8M0.06%
307MARVELL TECHNOLOGY INCMRVL3,794,300$273.6M0.06%
308WYNN RESORTS LTDWYNN2,818,900$270.3M0.06%
309COSTCO WHSL CORP NEW22160K105304,814$270.2M0.06%
310DIREXION SHS ETF TR25460G1384,610,500$266.3M0.06%
311AMAZON COM INCAMZN1,412,500$263.2M0.06%
312UNITED STS OIL FD LPUNTCW3,763,500$263.1M0.06%
3133M COMMM1,923,300$262.9M0.06%
314TAIWAN SEMICONDUCTOR MFG LTD8740391001,508,458$262.0M0.06%
315NEWMONT CORPNEMCL4,900,800$261.9M0.06%
316PEPSICO INCPEP1,536,500$261.3M0.06%
317AIRBNB INCABNB2,030,600$257.5M0.06%
318AMERICAN AIRLS GROUP INC02376R10222,894,000$257.3M0.06%
319VALERO ENERGY CORPVLO1,891,400$255.4M0.06%
320GENERAL MTRS CO37045V1005,692,500$255.3M0.06%
321SPDR SER TR78468R5561,937,800$254.9M0.06%
322CISCO SYS INCCSCO4,770,400$253.9M0.06%
323S&P GLOBAL INCSPGI490,800$253.6M0.06%
324TAKE-TWO INTERACTIVE SOFTWARTTWO1,640,300$252.1M0.06%
325BLOCK INCBSQKZ3,732,800$250.6M0.05%
326HUMANA INCHUM791,100$250.6M0.05%
327ADOBE INCADBE482,661$249.9M0.05%
328APPLE INCAAPL1,068,600$249.0M0.05%
329LOWES COS INC548661107912,500$247.2M0.05%
330T-MOBILE US INCTMUSZ1,196,300$246.9M0.05%
331ARISTA NETWORKS INCANET642,600$246.6M0.05%
332VISA INCV896,409$246.5M0.05%
333ANALOG DEVICES INCADI1,066,100$245.4M0.05%
334DELTA AIR LINES INC DELDAL4,819,500$244.8M0.05%
335FORD MTR CO34537086023,073,000$243.7M0.05%
336ISHARES TR464287200420,900$242.8M0.05%
337SELECT SECTOR SPDR TR81369Y3082,915,700$242.0M0.05%
338WORKDAY INCWDAY985,300$240.8M0.05%
339SERVICENOW INCNOW266,914$238.7M0.05%
340TESLA INCTSLA905,800$237.0M0.05%
341HILTON WORLDWIDE HLDGS INCHLT1,027,500$236.8M0.05%
342MODERNA INCMRNA3,533,500$236.1M0.05%
343STARBUCKS CORPSBUX2,419,519$235.9M0.05%
344WYNN RESORTS LTDWYNN2,455,305$235.4M0.05%
345VANGUARD INDEX FDS922908363445,400$235.0M0.05%
346DATADOG INCDDOG2,038,500$234.5M0.05%
347ON HLDG AGH5919C1044,674,100$234.4M0.05%
348UNITED RENTALS INCURI288,900$233.9M0.05%
349VISTRA CORPVST1,972,200$233.8M0.05%
350INTERNATIONAL BUSINESS MACHSINTR1,054,500$233.1M0.05%
351ISHARES TR4642875561,600,000$233.0M0.05%
352UNITED STS OIL FD LPUNTCW3,319,400$232.1M0.05%
353APOLLO GLOBAL MGMT INC03769M1061,836,200$229.4M0.05%
354MARVELL TECHNOLOGY INCMRVL3,179,200$229.3M0.05%
355SELECT SECTOR SPDR TR81369Y7041,686,600$228.4M0.05%
356CAPITAL ONE FINL CORP14040H1051,518,100$227.3M0.05%
357CONSTELLATION ENERGY CORPCEG869,100$226.0M0.05%
358UNITED AIRLS HLDGS INCUNTCW3,946,500$225.2M0.05%
359S&P GLOBAL INCSPGI434,000$224.2M0.05%
360GILEAD SCIENCES INCGILD2,670,500$223.9M0.05%
361UNITED PARCEL SERVICE INCUPS1,641,600$223.8M0.05%
362MERCK & CO INCMRK1,967,900$223.5M0.05%
363SYNOPSYS INCSNPS441,200$223.4M0.05%
364WESTERN DIGITAL CORP.WDC3,267,300$223.1M0.05%
365ZSCALER INCZS1,304,900$223.1M0.05%
366DOORDASH INCDASH1,553,518$221.7M0.05%
367SPOTIFY TECHNOLOGY S ASPOT601,126$221.5M0.05%
368D R HORTON INC23331A1091,152,000$219.8M0.05%
369ADVANCED MICRO DEVICES INCAMD1,332,000$218.6M0.05%
370CAVA GROUP INCCAVA1,762,300$218.3M0.05%
371BROADCOM INCAVGO1,263,200$217.9M0.05%
372ACCENTURE PLC IRELANDACN615,700$217.6M0.05%
373HONEYWELL INTL INC4385161061,052,100$217.5M0.05%
374T-MOBILE US INCTMUSZ1,050,000$216.7M0.05%
375T-MOBILE US INCTMUSZ1,050,000$216.7M0.05%
376RHRH641,800$214.6M0.05%
377CONOCOPHILLIPSCOP2,035,700$214.3M0.05%
378RTX CORPORATIONRTX1,762,000$213.5M0.05%
379ISHARES TR4642872421,881,700$212.6M0.05%
380JD.COM INCJDCMF5,310,200$212.4M0.05%
381CARNIVAL CORPCUKPF11,473,800$212.0M0.05%
382T-MOBILE US INCTMUSZ1,018,400$210.2M0.05%
383FLUTTER ENTMT PLCG3643J108885,400$210.1M0.05%
384LINDE PLCLIN439,600$209.6M0.05%
385CONOCOPHILLIPSCOP1,979,700$208.4M0.05%
386CARNIVAL CORPCUKPF11,272,400$208.3M0.05%
387COSTCO WHSL CORP NEW22160K105233,000$206.6M0.05%
388WORKDAY INCWDAY840,000$205.3M0.05%
389GE VERNOVA INCGEV801,000$204.2M0.04%
390ON SEMICONDUCTOR CORPON2,812,000$204.2M0.04%
391ENPHASE ENERGY INCENPH1,804,900$204.0M0.04%
392PHILIP MORRIS INTL INC7181721091,678,700$203.8M0.04%
393BLOCK INCBSQKZ3,031,200$203.5M0.04%
394BARRICK GOLD CORP06790110810,213,400$203.1M0.04%
395MICROCHIP TECHNOLOGY INC.MCHPP2,513,600$201.8M0.04%
396KLA CORPKLAC260,300$201.6M0.04%
397ZSCALER INCZS1,173,100$200.5M0.04%
398CITIGROUP INCC-PR3,200,000$200.3M0.04%
399CITIGROUP INCC-PR3,200,000$200.3M0.04%
400ZOOM VIDEO COMMUNICATIONS INZM2,859,100$199.4M0.04%
401BERKSHIRE HATHAWAY INC DELBRK-A432,900$199.2M0.04%
402GENERAL DYNAMICS CORPGD657,800$198.8M0.04%
403ROBLOX CORPRBLX4,481,100$198.3M0.04%
404BROADCOM INCAVGO1,148,088$198.0M0.04%
405BOSTON SCIENTIFIC CORPBSX2,349,900$196.9M0.04%
406DRAFTKINGS INC NEWDKNG5,011,500$196.5M0.04%
407PEPSICO INCPEP1,153,800$196.2M0.04%
408BEST BUY INCBBY1,893,100$195.6M0.04%
409AFFIRM HLDGS INCAFRM4,773,300$194.8M0.04%
410ISHARES TR4642877391,903,000$193.9M0.04%
411PFIZER INCPFE6,688,457$193.6M0.04%
412FREEPORT-MCMORAN INCFCX3,868,500$193.1M0.04%
413LAUDER ESTEE COS INC5184391041,934,000$192.8M0.04%
414SELECT SECTOR SPDR TR81369Y8862,376,300$192.0M0.04%
415THE TRADE DESK INC88339J1051,748,700$191.7M0.04%
416UNITED PARCEL SERVICE INCUPS1,405,300$191.6M0.04%
417ROBINHOOD MKTS INC7707001028,137,300$190.6M0.04%
418GENERAL MTRS CO37045V1004,246,200$190.4M0.04%
419INTEL CORPINTC8,094,280$189.9M0.04%
420NORTHROP GRUMMAN CORPNOC358,800$189.5M0.04%
421LAS VEGAS SANDS CORPLVS3,735,700$188.1M0.04%
422SCHWAB CHARLES CORPSCHW-PJ2,892,700$187.5M0.04%
423ALBEMARLE CORPALB-PA1,976,200$187.2M0.04%
424ALBEMARLE CORPALB-PA1,971,700$186.7M0.04%
425VANGUARD INDEX FDS922908363353,500$186.5M0.04%
426ISHARES TR464287200323,000$186.3M0.04%
427SEA LTDSE1,974,300$186.1M0.04%
428AIRBNB INCABNB1,459,300$185.1M0.04%
429NORTHROP GRUMMAN CORPNOC349,400$184.5M0.04%
430CRH PLCCRH1,952,660$181.1M0.04%
431SPDR GOLD TRGLD744,023$180.8M0.04%
432CENCORA INCCOR801,900$180.5M0.04%
433UNITEDHEALTH GROUP INCUNH307,096$179.6M0.04%
434DOORDASH INCDASH1,248,500$178.2M0.04%
435VERTIV HOLDINGS COVRT1,790,000$178.1M0.04%
436SPDR SER TR78464A7142,286,800$177.7M0.04%
437FLUTTER ENTMT PLCG3643J108748,620$177.6M0.04%
438CONSTELLATION BRANDS INCSTZ688,600$177.4M0.04%
439AMERICAN TOWER CORP NEW03027X100760,400$176.8M0.04%
440AGNICO EAGLE MINES LTDAEM2,193,300$176.7M0.04%
441KLA CORPKLAC228,000$176.6M0.04%
442SYNOPSYS INCSNPS348,400$176.4M0.04%
443SPDR S&P MIDCAP 400 ETF TRMDY308,600$175.8M0.04%
444DOLLAR GEN CORP NEW2566771052,069,200$175.0M0.04%
445GILEAD SCIENCES INCGILD2,083,900$174.7M0.04%
446LAS VEGAS SANDS CORPLVS3,451,992$173.8M0.04%
447VALERO ENERGY CORPVLO1,286,900$173.8M0.04%
448MARRIOTT INTL INC NEW571903202697,700$173.4M0.04%
449LAS VEGAS SANDS CORPLVS3,429,000$172.6M0.04%
450LAUDER ESTEE COS INC5184391041,731,100$172.6M0.04%
451UNION PAC CORPUNP696,200$171.6M0.04%
452SCHWAB CHARLES CORPSCHW-PJ2,646,500$171.5M0.04%
453COMCAST CORP NEWCCZ4,093,800$171.0M0.04%
454DICKS SPORTING GOODS INC253393102817,100$170.5M0.04%
455ARK 21SHARES BITCOIN ETFARKB2,675,260$169.8M0.04%
456ABBOTT LABSABLZF1,489,000$169.8M0.04%
457SELECT SECTOR SPDR TR81369Y3082,044,800$169.7M0.04%
458UNITY SOFTWARE INCU7,478,200$169.2M0.04%
459FIDELITY WISE ORIGIN BITCOINFBTC3,043,646$169.0M0.04%
460BARRICK GOLD CORP0679011088,489,530$168.9M0.04%
461ROBLOX CORPRBLX3,791,900$167.8M0.04%
462LENNAR CORPLEN-B894,900$167.8M0.04%
463D R HORTON INC23331A109877,700$167.4M0.04%
464THE CIGNA GROUP125523100482,900$167.3M0.04%
465PHILIP MORRIS INTL INC7181721091,371,600$166.5M0.04%
466DISNEY WALT CO2546871061,729,027$166.3M0.04%
467EATON CORP PLCETN501,400$166.2M0.04%
468PROSHARES TR II74347Y7556,666,000$166.2M0.04%
469MARATHON PETE CORPMARA1,012,800$165.0M0.04%
470RHRH493,100$164.9M0.04%
471NETFLIX INCNFLX231,700$164.3M0.04%
472ASML HOLDING N VASMLF196,772$164.0M0.04%
473DANAHER CORPORATION235851102589,700$163.9M0.04%
474DOMINOS PIZZA INCDPZ379,600$163.3M0.04%
475CADENCE DESIGN SYSTEM INCCDNS602,000$163.2M0.04%
476ISHARES INC46434G1032,841,951$163.2M0.04%
477WINGSTOP INCWING390,000$162.3M0.04%
478PAPA JOHNS INTL INC6988131023,002,400$161.7M0.04%
479TJX COS INC NEW8725401091,371,900$161.3M0.04%
480UNITED STATES STL CORP NEWUNTCW4,559,100$161.1M0.04%
481SPDR S&P 500 ETF TRSPY280,000$160.7M0.04%
482UNION PAC CORPUNP650,400$160.3M0.04%
483COSTCO WHSL CORP NEW22160K105179,500$159.1M0.03%
484DIREXION SHS ETF TR25460G1382,754,200$159.1M0.03%
485TJX COS INC NEW8725401091,345,500$158.2M0.03%
486ORACLE CORPORCL-PD926,914$157.9M0.03%
487CME GROUP INCCME715,700$157.9M0.03%
488CHUBB LIMITEDCB546,800$157.7M0.03%
489ALTRIA GROUP INCMO3,059,200$156.1M0.03%
490HERSHEY COHSY806,900$154.7M0.03%
491PETROLEO BRASILEIRO SA PETRO71654V40810,728,300$154.6M0.03%
492ENERGY TRANSFER L PET-PI9,603,300$154.1M0.03%
493ARK ETF TR00214Q1043,212,000$152.7M0.03%
494ALTRIA GROUP INCMO2,970,100$151.6M0.03%
495HCA HEALTHCARE INCHCA371,700$151.1M0.03%
496ROKU INCROKU2,022,400$151.0M0.03%
497ELEVANCE HEALTH INCELV289,900$150.7M0.03%
498CAVA GROUP INCCAVA1,209,200$149.8M0.03%
499CHIPOTLE MEXICAN GRILL INCCMG2,594,600$149.5M0.03%
500MODERNA INCMRNA2,234,500$149.3M0.03%