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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

IMC-Chicago, LLC

Quarter ended Q3 2025 · Filed November 4, 2025 · Accession 0001452861-25-000006

Total Value
$275.04B
Positions
3,755
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1SPDR S&P 500 ETF TRSPY42,382,700$28.23B11.16%
2SPDR S&P 500 ETF TRSPY21,087,200$14.05B5.55%
3NVIDIA CORPORATIONNVDA63,457,200$11.84B4.68%
4NVIDIA CORPORATIONNVDA55,530,300$10.36B4.09%
5TESLA INCTSLA21,492,900$9.56B3.78%
6TESLA INCTSLA18,146,600$8.07B3.19%
7INVESCO QQQ TRIVZ13,145,500$7.89B3.12%
8INVESCO QQQ TRIVZ8,179,600$4.91B1.94%
9APPLE INCAAPL18,054,600$4.60B1.82%
10META PLATFORMS INCMETA6,100,800$4.48B1.77%
11MICROSTRATEGY INCSTRK13,067,400$4.21B1.66%
12MICROSOFT CORPMSFT7,915,900$4.10B1.62%
13ISHARES TR46428795515,670,800$3.79B1.50%
14NETFLIX INCNFLX2,982,600$3.58B1.41%
15APPLE INCAAPL13,435,200$3.42B1.35%
16META PLATFORMS INCMETA4,584,300$3.37B1.33%
17MICROSTRATEGY INCSTRK9,476,600$3.05B1.21%
18ALPHABET INCGOOG10,954,200$2.66B1.05%
19AMAZON COM INCAMZN11,378,200$2.50B0.99%
20MICROSOFT CORPMSFT4,633,100$2.40B0.95%
21COINBASE GLOBAL INCCOIN7,067,000$2.39B0.94%
22NETFLIX INCNFLX1,970,100$2.36B0.93%
23BROADCOM INCAVGO7,088,200$2.34B0.92%
24UNITEDHEALTH GROUP INCUNH6,448,400$2.23B0.88%
25BROADCOM INCAVGO6,583,300$2.17B0.86%
26ALPHABET INCGOOG8,640,900$2.10B0.83%
27AMAZON COM INCAMZN8,659,500$1.90B0.75%
28ADVANCED MICRO DEVICES INCAMD11,706,800$1.89B0.75%
29ALIBABA GROUP HLDG LTDBBAAY10,466,800$1.87B0.74%
30PALANTIR TECHNOLOGIES INCPLTR7,777,400$1.42B0.56%
31UNITEDHEALTH GROUP INCUNH3,974,800$1.37B0.54%
32SPDR GOLD TRGLD3,759,200$1.34B0.53%
33PALANTIR TECHNOLOGIES INCPLTR7,074,300$1.29B0.51%
34SPDR GOLD TRGLD3,608,500$1.28B0.51%
35ISHARES TR4642879055,211,800$1.26B0.50%
36COINBASE GLOBAL INCCOIN3,715,700$1.25B0.50%
37ALPHABET INCGOOG5,125,800$1.25B0.49%
38APPLOVIN CORPAPP1,690,900$1.21B0.48%
39COSTCO WHSL CORP NEW22160K9051,307,200$1.21B0.48%
40ORACLE CORPORCL-PD4,138,300$1.16B0.46%
41ALIBABA GROUP HLDG LTDBBAAY6,319,500$1.13B0.45%
42ADVANCED MICRO DEVICES INCAMD6,933,000$1.12B0.44%
43COSTCO WHSL CORP NEW22160K9551,189,200$1.10B0.43%
44APPLOVIN CORPAPP1,495,300$1.07B0.42%
45ORACLE CORPORCL-PD3,743,700$1.05B0.42%
46ALPHABET INCGOOG4,204,100$1.02B0.40%
47TAIWAN SEMICONDUCTOR MFG LTD8740399503,429,100$957.7M0.38%
48ELI LILLY & COLLY1,205,300$919.6M0.36%
49ROBINHOOD MKTS INC7707009026,359,500$910.6M0.36%
50BOEING COBA-PA4,094,000$883.6M0.35%
51PDD HOLDINGS INCPDD6,608,800$873.5M0.35%
52GOLDMAN SACHS GROUP INCGSCE1,079,800$859.9M0.34%
53TAIWAN SEMICONDUCTOR MFG LTD8740399003,037,700$848.4M0.34%
54GOLDMAN SACHS GROUP INCGSCE1,062,000$845.7M0.33%
55BOEING COBA-PA3,684,100$795.1M0.31%
56ELI LILLY & COLLY1,034,300$789.2M0.31%
57SPDR DOW JONES INDL AVERAGE78467X9591,599,500$741.8M0.29%
58ISHARES TR4642879027,912,200$707.1M0.28%
59CROWDSTRIKE HLDGS INCCRWD1,422,800$697.7M0.28%
60CROWDSTRIKE HLDGS INCCRWD1,388,900$681.1M0.27%
61ROBINHOOD MKTS INC7707009524,568,900$654.2M0.26%
62ASML HOLDING N VASMLF667,500$646.2M0.26%
63MICRON TECHNOLOGY INCMU3,860,700$646.0M0.26%
64JPMORGAN CHASE & CO.VYLD1,968,300$620.9M0.25%
65JPMORGAN CHASE & CO.VYLD1,968,000$620.8M0.25%
66BERKSHIRE HATHAWAY INC DELBRK-A1,233,600$620.2M0.25%
67MICRON TECHNOLOGY INCMU3,706,300$620.1M0.25%
68BERKSHIRE HATHAWAY INC DELBRK-A1,200,800$603.7M0.24%
69ADOBE INCADBE1,658,300$585.0M0.23%
70BOOKING HOLDINGS INCBKNG107,000$577.7M0.23%
71CARVANA COCVNA1,505,100$567.8M0.22%
72VANECK ETF TRUST92189F9561,671,000$545.3M0.22%
73ASML HOLDING N VASMLF535,500$518.4M0.20%
74SPOTIFY TECHNOLOGY S ASPOT741,100$517.3M0.20%
75ISHARES TR4642879525,663,400$506.1M0.20%
76ADOBE INCADBE1,419,300$500.7M0.20%
77FIRST SOLAR INCFSLR2,228,100$491.4M0.19%
78BOOKING HOLDINGS INCBKNG88,600$478.4M0.19%
79SPDR DOW JONES INDL AVERAGE78467X9091,029,000$477.2M0.19%
80REDDIT INCRDDT1,967,600$452.5M0.18%
81SERVICENOW INCNOW485,200$446.5M0.18%
82FIRST SOLAR INCFSLR1,983,900$437.5M0.17%
83SALESFORCE INCCRM1,813,100$429.7M0.17%
84PROSHARES TR74347X9013,992,200$412.8M0.16%
85CARVANA COCVNA1,034,000$390.1M0.15%
86INTEL CORPINTC11,451,500$384.2M0.15%
87INTUITINTU551,500$376.6M0.15%
88MARVELL TECHNOLOGY INCMRVL4,465,300$375.4M0.15%
89PDD HOLDINGS INCPDD2,817,800$372.4M0.15%
90VANECK ETF TRUST92189F9061,121,900$366.1M0.14%
91BAIDU INCBAIDF2,767,400$364.7M0.14%
92LULULEMON ATHLETICA INCLULU2,042,900$363.5M0.14%
93CATERPILLAR INCCAT744,500$355.2M0.14%
94PALO ALTO NETWORKS INCPANW1,726,100$351.5M0.14%
95INTEL CORPINTC10,425,000$349.8M0.14%
96REDDIT INCRDDT1,484,900$341.5M0.13%
97CATERPILLAR INCCAT708,700$338.2M0.13%
98PALO ALTO NETWORKS INCPANW1,637,800$333.5M0.13%
99ARM HOLDINGS PLC0420689052,350,800$332.6M0.13%
100SALESFORCE INCCRM1,393,900$330.4M0.13%
101SPOTIFY TECHNOLOGY S ASPOT468,800$327.2M0.13%
102GE VERNOVA INCGEV529,700$325.7M0.13%
103PAYPAL HLDGS INCPYPL4,845,100$324.9M0.13%
104SNOWFLAKE INCSNOW1,398,300$315.4M0.12%
105VISA INCV923,100$315.1M0.12%
106MERCADOLIBRE INCMELI131,800$308.0M0.12%
107SERVICENOW INCNOW334,300$307.6M0.12%
108VISA INCV900,300$307.3M0.12%
109INTERNATIONAL BUSINESS MACHSINTR1,083,100$305.6M0.12%
110ISHARES BITCOIN TRUST ETFIBIT4,654,029$302.5M0.12%
111VERTIV HOLDINGS COVRT1,987,200$299.8M0.12%
112PAYPAL HLDGS INCPYPL4,379,100$293.7M0.12%
113SHOPIFY INCSHOP1,952,200$290.1M0.11%
114UBER TECHNOLOGIES INCUBER2,922,200$286.3M0.11%
115SHOPIFY INCSHOP1,926,100$286.2M0.11%
116INTUITINTU411,500$281.0M0.11%
117HOME DEPOT INCHD693,000$280.8M0.11%
118BAIDU INCBAIDF2,094,900$276.0M0.11%
119SYNOPSYS INCSNPS556,500$274.6M0.11%
120GE VERNOVA INCGEV443,800$272.9M0.11%
121PROSHARES TR74347X9512,611,200$270.0M0.11%
122HOME DEPOT INCHD637,600$258.3M0.10%
123CITIGROUP INCC-PR2,539,400$257.7M0.10%
124LULULEMON ATHLETICA INCLULU1,446,700$257.4M0.10%
125INVESCO QQQ TRIVZ425,122$255.2M0.10%
126MASTERCARD INCORPORATEDMA446,500$254.0M0.10%
127CHIPOTLE MEXICAN GRILL INCCMG6,444,600$252.6M0.10%
128MASTERCARD INCORPORATEDMA439,700$250.1M0.10%
129DELL TECHNOLOGIES INCDELL1,744,000$247.2M0.10%
130UBER TECHNOLOGIES INCUBER2,518,800$246.8M0.10%
131SNOWFLAKE INCSNOW1,093,000$246.5M0.10%
132APPLIED MATLS INC0382229051,186,300$242.9M0.10%
133ISHARES SILVER TRSLV5,696,700$241.4M0.10%
134CITIGROUP INCC-PR2,353,200$238.8M0.09%
135MERCADOLIBRE INCMELI100,000$233.7M0.09%
136IRIS ENERGY LTDIREN4,955,200$232.5M0.09%
137INTERNATIONAL BUSINESS MACHSINTR811,400$228.9M0.09%
138OKLO INCOKLO2,050,800$228.9M0.09%
139MONGODB INCMDB736,600$228.6M0.09%
140MONGODB INCMDB733,100$227.5M0.09%
141SYNOPSYS INCSNPS451,000$222.5M0.09%
142ON SEMICONDUCTOR CORPON4,473,600$220.6M0.09%
143WALMART INCWMT2,139,200$220.5M0.09%
144MARVELL TECHNOLOGY INCMRVL2,615,500$219.9M0.09%
145BURLINGTON STORES INCBURL862,500$219.5M0.09%
146ARM HOLDINGS PLC0420689551,546,600$218.8M0.09%
147BANK AMERICA CORP0605059544,214,100$217.4M0.09%
148BLOOM ENERGY CORPBE2,536,700$214.5M0.08%
149EXXON MOBIL CORPXOM1,879,100$211.9M0.08%
150OKLO INCOKLO1,895,000$211.5M0.08%
151TESLA INCTSLA475,113$211.3M0.08%
152ARK ETF TR00214Q9542,429,100$209.6M0.08%
153ROBLOX CORPRBLX1,500,900$207.9M0.08%
154APPLIED MATLS INC038222955997,800$204.3M0.08%
155QUALCOMM INCQCOM1,184,600$197.1M0.08%
156LOCKHEED MARTIN CORPLMT394,400$196.9M0.08%
157MCDONALDS CORPMCD647,600$196.8M0.08%
158DISNEY WALT CO2546879061,711,100$195.9M0.08%
159SOFI TECHNOLOGIES INCSOFI7,414,200$195.9M0.08%
160ROBLOX CORPRBLX1,412,300$195.6M0.08%
161BANK AMERICA CORP0605059043,726,700$192.3M0.08%
162LOCKHEED MARTIN CORPLMT380,900$190.1M0.08%
163DIREXION SHS ETF TR25459W9085,406,400$188.4M0.07%
164WALMART INCWMT1,807,200$186.3M0.07%
165APPLOVIN CORPAPP259,198$186.2M0.07%
166DEERE & CODE398,100$182.0M0.07%
167SOFI TECHNOLOGIES INCSOFI6,728,000$177.8M0.07%
168DELL TECHNOLOGIES INCDELL1,243,900$176.3M0.07%
169DIREXION SHS ETF TR25460G9053,236,500$175.7M0.07%
170QUALCOMM INCQCOM1,055,700$175.6M0.07%
171AUTOZONE INCAZO40,900$175.5M0.07%
172MCDONALDS CORPMCD569,800$173.2M0.07%
173JOHNSON & JOHNSONJNJ927,700$172.0M0.07%
174DOORDASH INCDASH631,500$171.8M0.07%
175LOWES COS INC548661957659,600$165.8M0.07%
176TARGET CORPTGT1,834,700$164.6M0.07%
177WELLS FARGO CO NEW9497469011,955,100$163.9M0.06%
178IRIS ENERGY LTDIREN3,455,400$162.2M0.06%
179NIKE INCNKE2,318,900$161.7M0.06%
180NOVO-NORDISK A SNONOF2,889,400$160.3M0.06%
181AMERICAN EXPRESS COAXP481,700$160.0M0.06%
182DOORDASH INCDASH587,500$159.8M0.06%
183WELLS FARGO CO NEW9497469511,872,500$157.0M0.06%
184DATADOG INCDDOG1,094,000$155.8M0.06%
185VANECK ETF TRUST92189F9562,014,000$153.9M0.06%
186ASTERA LABS INCALAB783,700$153.4M0.06%
187TARGET CORPTGT1,679,000$150.6M0.06%
188AMERICAN EXPRESS COAXP447,100$148.5M0.06%
189CHIPOTLE MEXICAN GRILL INCCMG3,778,400$148.1M0.06%
190PEPSICO INCPEP1,052,600$147.8M0.06%
191GE AEROSPACE369604951485,700$146.1M0.06%
192PEPSICO INCPEP1,035,600$145.4M0.06%
193AUTOZONE INCAZO33,800$145.0M0.06%
194ISHARES SILVER TRSLV3,417,200$144.8M0.06%
195CHEVRON CORP NEWCVX920,500$142.9M0.06%
196DATADOG INCDDOG1,002,600$142.8M0.06%
197SELECT SECTOR SPDR TR81369Y9561,596,800$142.7M0.06%
198VANGUARD INDEX FDS922908903232,800$142.6M0.06%
199NIKE INCNKE2,038,400$142.1M0.06%
200DISNEY WALT CO2546879561,234,300$141.3M0.06%
201VANECK ETF TRUST92189F9061,839,500$140.5M0.06%
202VERTIV HOLDINGS COVRT924,500$139.5M0.06%
203THE TRADE DESK INC88339J9052,805,700$137.5M0.05%
204NEWMONT CORPNEMCL1,629,500$137.4M0.05%
205ASTERA LABS INCALAB700,500$137.2M0.05%
206JD.COM INCJDCMF3,917,600$137.0M0.05%
207JOHNSON & JOHNSONJNJ735,300$136.3M0.05%
208AXON ENTERPRISE INCAXON189,300$135.8M0.05%
209UNITY SOFTWARE INCU3,376,700$135.2M0.05%
210BLOCK INCBSQKZ1,870,000$135.1M0.05%
211UNITED AIRLS HLDGS INCUNTCW1,398,000$134.9M0.05%
212UNITED PARCEL SERVICE INCUPS1,609,300$134.4M0.05%
213BLOOM ENERGY CORPBE1,582,300$133.8M0.05%
214ZSCALER INCZS442,900$132.7M0.05%
215CLOUDFLARE INCNET617,400$132.5M0.05%
216TEXAS ROADHOUSE INCTXRH794,100$131.9M0.05%
217GE AEROSPACE369604901437,700$131.7M0.05%
218MORGAN STANLEYMS-PQ814,700$129.5M0.05%
219STARBUCKS CORPSBUX1,522,700$128.8M0.05%
220BLOCK INCBSQKZ1,765,700$127.6M0.05%
221CONSTELLATION BRANDS INCSTZ945,600$127.3M0.05%
222UPSTART HLDGS INCUPST2,496,100$126.8M0.05%
223KLA CORPKLAC117,500$126.7M0.05%
224JD.COM INCJDCMF3,614,800$126.4M0.05%
225BOEING COBA-PA584,335$126.1M0.05%
226ACCENTURE PLC IRELANDACN510,800$126.0M0.05%
227ABBVIE INCABBV540,100$125.1M0.05%
228VISTRA CORPVST638,000$125.0M0.05%
229ROKU INCROKU1,246,300$124.8M0.05%
230DOMINOS PIZZA INCDPZ287,300$124.0M0.05%
231ZSCALER INCZS413,800$124.0M0.05%
232ROYAL CARIBBEAN GROUPV7780T953381,100$123.3M0.05%
233JD.COM INCJDCMF3,514,033$122.9M0.05%
234AVIS BUDGET GROUPCAR762,700$122.5M0.05%
235FEDEX CORPFDX519,200$122.4M0.05%
236SPDR SER TR78464A9581,932,100$122.3M0.05%
237WYNN RESORTS LTDWYNN940,200$120.6M0.05%
238DUOLINGO INCDUOL374,600$120.6M0.05%
239KRANESHARES TRUST5007679062,813,600$118.2M0.05%
240AXON ENTERPRISE INCAXON163,900$117.6M0.05%
241WYNN RESORTS LTDWYNN915,600$117.4M0.05%
242ALBEMARLE CORPALB-PA1,447,000$117.3M0.05%
243CHEVRON CORP NEWCVX751,500$116.7M0.05%
244THERMO FISHER SCIENTIFIC INCTMO240,600$116.7M0.05%
245ABBVIE INCABBV496,100$114.9M0.05%
246REGENERON PHARMACEUTICALSREGN204,100$114.8M0.05%
247HUMANA INCHUM440,800$114.7M0.05%
248SELECT SECTOR SPDR TR81369Y953404,100$113.9M0.05%
249EXXON MOBIL CORPXOM1,004,800$113.3M0.04%
250NOVO-NORDISK A SNONOF2,034,000$112.9M0.04%
251AVIS BUDGET GROUPCAR695,000$111.6M0.04%
252UNITED AIRLS HLDGS INCUNTCW1,149,600$110.9M0.04%
253ISHARES TR4642889531,364,200$110.8M0.04%
254HUMANA INCHUM416,800$108.4M0.04%
255GRANITESHARES ETF TR38747R9071,156,600$108.3M0.04%
256VISTRA CORPVST551,800$108.1M0.04%
257INTUITIVE SURGICAL INCISRG241,400$108.0M0.04%
258SELECT SECTOR SPDR TR81369Y903379,600$107.0M0.04%
259VANGUARD INDEX FDS922908953174,600$106.9M0.04%
260SCHWAB CHARLES CORPSCHW-PJ1,118,300$106.8M0.04%
261HIMS & HERS HEALTH INCHIMS1,873,300$106.3M0.04%
262DEERE & CODE231,300$105.8M0.04%
263SEA LTDSE590,500$105.5M0.04%
264DUOLINGO INCDUOL326,800$105.2M0.04%
265KLA CORPKLAC97,200$104.8M0.04%
266WESTERN DIGITAL CORP.WDC864,100$103.7M0.04%
267SEAGATE TECHNOLOGY HLDNGS PLG7997R903438,700$103.6M0.04%
268SELECT SECTOR SPDR TR81369Y9061,154,800$103.2M0.04%
269MORGAN STANLEYMS-PQ648,400$103.1M0.04%
270CAESARS ENTERTAINMENT INC NE12769G9503,811,300$103.0M0.04%
271ISHARES TR4642879042,475,100$101.8M0.04%
272CISCO SYS INCCSCO1,471,200$100.7M0.04%
273SELECT SECTOR SPDR TR81369Y9551,863,300$100.4M0.04%
274SCHWAB CHARLES CORPSCHW-PJ1,050,700$100.3M0.04%
275RTX CORPORATIONRTX594,300$99.4M0.04%
276TEXAS INSTRS INC882508954540,200$99.3M0.04%
277UNITED RENTALS INCURI103,700$99.0M0.04%
278CVS HEALTH CORPCVS1,298,500$97.9M0.04%
279CISCO SYS INCCSCO1,429,800$97.8M0.04%
280CLOUDFLARE INCNET455,100$97.7M0.04%
281MARA HOLDINGS INCMARA5,337,800$97.5M0.04%
282ROYAL CARIBBEAN GROUPV7780T903297,300$96.2M0.04%
283NEWMONT CORPNEMCL1,140,800$96.2M0.04%
284IONQ INCIONQ-WT1,527,100$93.9M0.04%
285AMAZON COM INCAMZN427,333$93.8M0.04%
286STARBUCKS CORPSBUX1,104,900$93.5M0.04%
287TALEN ENERGY CORPTLN218,400$92.9M0.04%
288FEDEX CORPFDX392,200$92.5M0.04%
289WESTERN DIGITAL CORP.WDC769,800$92.4M0.04%
290TEXAS INSTRS INC882508904502,900$92.4M0.04%
291GAMESTOP CORP NEWGME-WT3,373,500$92.0M0.04%
292SELECT SECTOR SPDR TR81369Y9051,706,600$91.9M0.04%
293CONSTELLATION ENERGY CORPCEG278,000$91.5M0.04%
294EATON CORP PLCETN243,800$91.2M0.04%
295OCCIDENTAL PETE CORP6745999551,925,500$91.0M0.04%
296UNITED PARCEL SERVICE INCUPS1,086,800$90.8M0.04%
297SPDR SER TR78468R956685,800$90.7M0.04%
298MP MATERIALS CORPMP1,350,200$90.6M0.04%
299AMGEN INCAMGN319,300$90.1M0.04%
300EATON CORP PLCETN240,500$90.0M0.04%
301THE TRADE DESK INC88339J9551,830,400$89.7M0.04%
302VANGUARD INDEX FDS922908363145,518$89.1M0.04%
303FUTU HLDGS LTDFUTU509,800$88.7M0.04%
304ISHARES TR4642879542,146,400$88.3M0.03%
305ULTA BEAUTY INCULTA160,700$87.9M0.03%
306ACCENTURE PLC IRELANDACN354,800$87.5M0.03%
307INTUITIVE SURGICAL INCISRG195,100$87.3M0.03%
308MP MATERIALS CORPMP1,299,900$87.2M0.03%
309DICKS SPORTING GOODS INC253393952392,100$87.1M0.03%
310HIMS & HERS HEALTH INCHIMS1,532,800$86.9M0.03%
311CELESTICA INCCLS352,500$86.8M0.03%
312EBAY INC.EBAY954,600$86.8M0.03%
313HCA HEALTHCARE INCHCA203,200$86.6M0.03%
314ISHARES TR464287655356,960$86.4M0.03%
315CELESTICA INCCLS348,900$86.0M0.03%
316MARA HOLDINGS INCMARA4,707,400$86.0M0.03%
317OCCIDENTAL PETE CORP6745999051,818,300$85.9M0.03%
318SEA LTDSE479,300$85.7M0.03%
319ARK ETF TR00214Q904991,900$85.6M0.03%
320AST SPACEMOBILE INCASTS1,741,100$85.5M0.03%
321ROKU INCROKU851,300$85.2M0.03%
322DIREXION SHS ETF TR25459W9582,439,900$85.0M0.03%
323ENTREPRENEURSHARES SERIES TR2938288774,021,955$84.9M0.03%
324AFFIRM HLDGS INCAFRM1,156,500$84.5M0.03%
325FUTU HLDGS LTDFUTU478,500$83.2M0.03%
326RIGETTI COMPUTING INCRGTIW2,791,700$83.2M0.03%
327CAPITAL ONE FINL CORP14040H905389,700$82.8M0.03%
328PROCTER AND GAMBLE CO742718909538,400$82.7M0.03%
329CONSTELLATION ENERGY CORPCEG251,200$82.7M0.03%
330RHRH405,800$82.4M0.03%
331ALBEMARLE CORPALB-PA1,015,900$82.4M0.03%
332AIRBNB INCABNB678,300$82.4M0.03%
333SPDR SER TR78464A9081,295,400$82.0M0.03%
334DIREXION SHS ETF TR25460G9063,870,300$81.7M0.03%
335COMCAST CORP NEWCCZ2,591,000$81.4M0.03%
336ETSY INCETSY1,224,900$81.3M0.03%
337UNION PAC CORPUNP343,600$81.2M0.03%
338UNITED RENTALS INCURI84,300$80.5M0.03%
339CAPITAL ONE FINL CORP14040H955377,400$80.2M0.03%
340NETFLIX INCNFLX66,612$79.9M0.03%
341RHRH392,700$79.8M0.03%
342AFFIRM HLDGS INCAFRM1,091,600$79.8M0.03%
343AST SPACEMOBILE INCASTS1,624,200$79.7M0.03%
344PHILIP MORRIS INTL INC718172959490,400$79.5M0.03%
345DIREXION SHS ETF TR25459W902373,500$79.1M0.03%
346LENNAR CORPLEN-B625,700$78.9M0.03%
347MICRON TECHNOLOGY INCMU471,252$78.8M0.03%
348AIRBNB INCABNB648,000$78.7M0.03%
349ANALOG DEVICES INCADI319,900$78.6M0.03%
350PHILIP MORRIS INTL INC718172909484,200$78.5M0.03%
351LOWES COS INC548661907311,500$78.3M0.03%
352DIREXION SHS ETF TR25459W952368,700$78.1M0.03%
353DELTA AIR LINES INC DELDAL1,372,700$77.9M0.03%
354CHARTER COMMUNICATIONS INC N16119P958281,000$77.3M0.03%
355ULTA BEAUTY INCULTA140,600$76.9M0.03%
356RIOT PLATFORMS INCRIOT4,029,100$76.7M0.03%
357ORACLE CORPORCL-PD271,451$76.3M0.03%
358ISHARES TR464287900113,700$76.1M0.03%
359DELTA AIR LINES INC DELDAL1,332,100$75.6M0.03%
360THE CIGNA GROUP125523950261,100$75.3M0.03%
361ANTERO RESOURCES CORPAR2,230,300$74.8M0.03%
362MERCK & CO INCMRK889,300$74.6M0.03%
363ELEVANCE HEALTH INCELV230,400$74.4M0.03%
364CARNIVAL CORPCUKPF2,574,500$74.4M0.03%
365CVS HEALTH CORPCVS985,300$74.3M0.03%
366SPDR SER TR78464A950738,400$74.0M0.03%
367CONOCOPHILLIPSCOP770,400$72.9M0.03%
368WAYFAIR INCW813,200$72.6M0.03%
369BLACKSTONE INCBX424,000$72.4M0.03%
370MCKESSON CORPMCK93,700$72.4M0.03%
371FAIR ISAAC CORPFICO48,100$72.0M0.03%
372T-MOBILE US INCTMUSZ299,700$71.7M0.03%
373VALERO ENERGY CORPVLO421,000$71.7M0.03%
374SPDR SER TR78464A900709,100$71.1M0.03%
375ELEVANCE HEALTH INCELV219,400$70.9M0.03%
376COCA COLA COKO1,064,100$70.6M0.03%
377INTERACTIVE BROKERS GROUP IN45841N9071,022,900$70.4M0.03%
378LULULEMON ATHLETICA INCLULU392,958$69.9M0.03%
379SELECT SECTOR SPDR TR81369Y909497,600$69.3M0.03%
380CHARTER COMMUNICATIONS INC N16119P908250,200$68.8M0.03%
381THERMO FISHER SCIENTIFIC INCTMO139,300$67.6M0.03%
382AGNICO EAGLE MINES LTDAEM400,700$67.5M0.03%
383REGENERON PHARMACEUTICALSREGN120,000$67.5M0.03%
384OKTA INCOKTA733,900$67.3M0.03%
385WORKDAY INCWDAY278,600$67.1M0.03%
386CORNING INCGLW815,200$66.9M0.03%
387CENTRUS ENERGY CORPLEU215,300$66.8M0.03%
388SEAGATE TECHNOLOGY HLDNGS PLG7997R953282,500$66.7M0.03%
389MERCK & CO INCMRK794,500$66.7M0.03%
390SELECT SECTOR SPDR TR81369Y957275,800$66.1M0.03%
391IONQ INCIONQ-WT1,074,300$66.1M0.03%
392SPDR S&P MIDCAP 400 ETF TRMDY110,700$66.0M0.03%
393UNITY SOFTWARE INCU1,644,700$65.9M0.03%
394AT&T INCT-PC2,319,700$65.5M0.03%
395ELECTRONIC ARTS INCEA324,600$65.5M0.03%
396WAYFAIR INCW731,700$65.4M0.03%
397ALPHABET INCGOOG267,881$65.1M0.03%
398INTERACTIVE BROKERS GROUP IN45841N957935,400$64.4M0.03%
399KRANESHARES TRUST5007679561,530,800$64.3M0.03%
400TAKE-TWO INTERACTIVE SOFTWARTTWO248,400$64.2M0.03%
401COCA COLA COKO958,900$63.6M0.03%
402CHIPOTLE MEXICAN GRILL INCCMG1,621,553$63.5M0.03%
403UNION PAC CORPUNP268,500$63.5M0.03%
404AMGEN INCAMGN224,700$63.4M0.03%
405VERIZON COMMUNICATIONS INCVZ1,435,000$63.1M0.02%
406GAMESTOP CORP NEWGME-WT2,304,900$62.9M0.02%
407TAKE-TWO INTERACTIVE SOFTWARTTWO243,000$62.8M0.02%
408RIVIAN AUTOMOTIVE INCRIVN4,216,100$61.9M0.02%
409PFIZER INCPFE2,426,400$61.8M0.02%
410CONOCOPHILLIPSCOP652,300$61.7M0.02%
411GENERAL MTRS CO37045V9001,006,700$61.4M0.02%
412BIRKENSTOCK HOLDING PLCBIRK1,350,500$61.1M0.02%
413SOFI TECHNOLOGIES INCSOFI2,308,987$61.0M0.02%
414TJX COS INC NEW872540959420,800$60.8M0.02%
415ISHARES SILVER TRSLV1,433,264$60.7M0.02%
416LYFT INCLYFT2,752,300$60.6M0.02%
417GENERAL DYNAMICS CORPGD176,100$60.1M0.02%
418UNITEDHEALTH GROUP INCUNH173,699$60.0M0.02%
419FREEPORT-MCMORAN INCFCX1,522,900$59.7M0.02%
420RIVIAN AUTOMOTIVE INCRIVN4,064,500$59.7M0.02%
421UNITED STS OIL FD LPUNTCW808,100$59.6M0.02%
422MCKESSON CORPMCK76,700$59.3M0.02%
423DANAHER CORPORATION235851902297,600$59.0M0.02%
424BOSTON SCIENTIFIC CORPBSX601,000$58.7M0.02%
425T-MOBILE US INCTMUSZ244,200$58.5M0.02%
426BP PLCBPPFF1,691,100$58.3M0.02%
427CARNIVAL CORPCUKPF2,015,300$58.3M0.02%
428GRANITESHARES ETF TR38747R957622,000$58.2M0.02%
429SELECT SECTOR SPDR TR81369Y907241,800$57.9M0.02%
430MODERNA INCMRNA2,240,500$57.9M0.02%
431RTX CORPORATIONRTX343,500$57.5M0.02%
432ISHARES TR46428795085,300$57.1M0.02%
433ANALOG DEVICES INCADI231,300$56.8M0.02%
434BLACKSTONE INCBX331,900$56.7M0.02%
435SERVICENOW INCNOW61,384$56.5M0.02%
436DIREXION SHS ETF TR25459W9071,248,500$56.5M0.02%
437VALERO ENERGY CORPVLO331,400$56.4M0.02%
438RIGETTI COMPUTING INCRGTIW1,879,200$56.0M0.02%
439SELECT SECTOR SPDR TR81369Y956641,400$55.9M0.02%
440TARGET CORPTGT622,204$55.8M0.02%
441FREEPORT-MCMORAN INCFCX1,419,700$55.7M0.02%
442FAIR ISAAC CORPFICO37,200$55.7M0.02%
443FIDELITY WISE ORIGIN BITCOINFBTC554,970$55.4M0.02%
444CONSTELLATION BRANDS INCSTZ410,797$55.3M0.02%
445LAUDER ESTEE COS INC518439904627,600$55.3M0.02%
446AEROVIRONMENT INCAVAV175,500$55.3M0.02%
447ALLEGRO MICROSYSTEMS INCALGM1,890,900$55.2M0.02%
448DIREXION SHS ETF TR25460G9562,607,900$55.1M0.02%
449PAYPAL HLDGS INCPYPL815,443$54.7M0.02%
450E L F BEAUTY INCELF412,300$54.6M0.02%
451BLOOM ENERGY CORPBE640,868$54.2M0.02%
452OPENDOOR TECHNOLOGIES INCOPENZ6,765,700$53.9M0.02%
453ECHOSTAR CORPSATS706,100$53.9M0.02%
454CREDO TECHNOLOGY GROUP HOLDICRDO369,800$53.8M0.02%
455NEXTERA ENERGY INCNEE-PW709,500$53.6M0.02%
456UPSTART HLDGS INCUPST1,053,600$53.5M0.02%
457MODERNA INCMRNA2,071,900$53.5M0.02%
458LENNAR CORPLEN-B420,900$53.1M0.02%
459NIO INCNIOIF6,892,600$52.5M0.02%
460DIREXION SHS ETF TR25459Y904294,600$52.4M0.02%
461SELECT SECTOR SPDR TR81369Y959376,200$52.4M0.02%
462KENVUE INCKVUE3,221,100$52.3M0.02%
463SELECT SECTOR SPDR TR81369Y906599,400$52.3M0.02%
464LAMB WESTON HLDGS INCLW896,600$52.1M0.02%
465BATH & BODY WORKS INCBBWI2,013,200$51.9M0.02%
466CADENCE DESIGN SYSTEM INCCDNS147,600$51.8M0.02%
467COSTCO WHSL CORP NEW22160K10555,913$51.8M0.02%
4683M COMMM332,900$51.7M0.02%
469WORKDAY INCWDAY214,300$51.6M0.02%
470E L F BEAUTY INCELF389,000$51.5M0.02%
471TJX COS INC NEW872540909351,800$50.8M0.02%
472AEROVIRONMENT INCAVAV160,500$50.5M0.02%
473AGNICO EAGLE MINES LTDAEM298,700$50.3M0.02%
474BOSTON SCIENTIFIC CORPBSX514,900$50.3M0.02%
475OKTA INCOKTA547,800$50.2M0.02%
476PROCTER AND GAMBLE CO742718959326,300$50.1M0.02%
477SHELL PLCRYDAF695,800$49.8M0.02%
478GENERAC HLDGS INCGNRC296,500$49.6M0.02%
479SPDR DOW JONES INDL AVERAGE78467X109106,301$49.3M0.02%
480UNITED STS OIL FD LPUNTCW664,900$49.0M0.02%
481FLOOR & DECOR HLDGS INCFND665,300$49.0M0.02%
482DOLLAR GEN CORP NEW256677905473,500$48.9M0.02%
483CADENCE DESIGN SYSTEM INCCDNS138,900$48.8M0.02%
484FTAI AVIATION LTDFTAIN292,200$48.8M0.02%
485TEMPUS AI INCTEM604,000$48.7M0.02%
486ISHARES TR464287953179,300$48.6M0.02%
487QUANTA SVCS INC74762E952117,300$48.6M0.02%
488ETSY INCETSY730,400$48.5M0.02%
489VERIZON COMMUNICATIONS INCVZ1,103,100$48.5M0.02%
490VANGUARD INDEX FDS922908909147,700$48.5M0.02%
491AMERIPRISE FINL INC03076C90697,400$47.8M0.02%
492NORTHROP GRUMMAN CORPNOC78,500$47.8M0.02%
493ABBOTT LABSABLZF357,100$47.8M0.02%
494ASML HOLDING N VASMLF49,277$47.7M0.02%
495SPDR SER TR78468R906359,300$47.5M0.02%
496ZOOM VIDEO COMMUNICATIONS INZM574,200$47.4M0.02%
497ZOOM VIDEO COMMUNICATIONS INZM572,500$47.2M0.02%
498META PLATFORMS INCMETA64,174$47.1M0.02%
499THE CIGNA GROUP125523900162,900$47.0M0.02%
500HONEYWELL INTL INC438516906222,500$46.8M0.02%