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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

JANE STREET GROUP, LLC

Quarter ended Q1 2023 · Filed February 15, 2023 · Accession 0001595888-23-000029

Total Value
$216.24B
Positions
12,292
Other Managers
5
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1SPDR S&P 500 ETF TRSPY37,978,600$14.52B8.40%
2SPDR S&P 500 ETF TRSPY36,723,200$14.04B8.13%
3TESLA INCTSLA68,328,200$8.42B4.87%
4INVESCO QQQ TRIVZ20,989,800$5.59B3.23%
5INVESCO QQQ TRIVZ19,085,900$5.08B2.94%
6ISHARES TR46428795531,106,400$4.14B2.40%
7APPLE INCAAPL30,940,400$4.02B2.33%
8TESLA INCTSLA28,531,400$3.51B2.03%
9AMAZON COM INCAMZN34,448,200$2.89B1.67%
10APPLE INCAAPL18,856,400$2.45B1.42%
11SPDR S&P 500 ETF TRSPY6,273,604$2.40B1.39%
12MICROSOFT CORPMSFT8,712,800$2.09B1.21%
13MICROSOFT CORPMSFT8,619,700$2.07B1.20%
14AMAZON COM INCAMZN24,005,100$2.02B1.17%
15NVIDIA CORPORATIONNVDA11,719,400$1.71B0.99%
16INVESCO QQQ TRIVZ6,351,962$1.69B0.98%
17SELECT SECTOR SPDR TR81369Y95618,820,500$1.63B0.95%
18NVIDIA CORPORATIONNVDA10,037,800$1.47B0.85%
19ISHARES TR46428790512,428,900$1.44B0.83%
20ALPHABET INCGOOG16,230,900$1.43B0.83%
21META PLATFORMS INCMETA10,344,000$1.24B0.72%
22FIRST SOLAR INCFSLR8,155,900$1.22B0.71%
23ISHARES TR46428795210,329,600$1.07B0.62%
24ISHARES TR46428790210,607,700$1.06B0.61%
25SPDR GOLD TRGLD6,085,252$1.03B0.60%
26ISHARES INC46434G10321,993,977$1.03B0.59%
27T-MOBILE US INCTMUSZ7,164,300$1.00B0.58%
28SPDR SER TR78468R62211,060,440$995.4M0.58%
29SPDR GOLD TRGLD5,790,000$982.2M0.57%
30SPDR DOW JONES INDL AVERAGE78467X9592,916,500$966.3M0.56%
31VANGUARD STAR FDS92190976818,650,377$964.6M0.56%
32EXXON MOBIL CORPXOM8,280,700$913.4M0.53%
33ALPHABET INCGOOG9,783,600$863.2M0.50%
34NETFLIX INCNFLX2,896,400$854.1M0.49%
35SELECT SECTOR SPDR TR81369Y9069,902,200$852.2M0.49%
36ISHARES TR46428790422,446,500$829.2M0.48%
37ALPHABET INCGOOG8,793,500$780.2M0.45%
38NETFLIX INCNFLX2,638,400$778.0M0.45%
39META PLATFORMS INCMETA6,069,900$730.5M0.42%
40ISHARES TR4642889539,857,700$725.8M0.42%
41MICROSOFT CORPMSFT3,015,680$723.2M0.42%
42ISHARES TR4642882818,483,498$717.6M0.42%
43ISHARES TR46428746510,494,780$688.9M0.40%
44ALIBABA GROUP HLDG LTDBBAAY7,658,500$674.6M0.39%
45ISHARES TR46429B7476,548,745$635.0M0.37%
46VANGUARD CHARLOTTE FDS92203J40713,286,757$630.2M0.36%
47VANECK ETF TRUST92189F95612,103,800$618.9M0.36%
48BOEING COBA-PA3,228,600$615.0M0.36%
49ALPHABET INCGOOG6,818,100$605.0M0.35%
50GOLDMAN SACHS GROUP INCGSCE1,739,900$597.4M0.35%
51AMAZON COM INCAMZN6,861,599$576.4M0.33%
52ADVANCED MICRO DEVICES INCAMD8,808,764$570.5M0.33%
53ISHARES TR46428795415,458,800$547.1M0.32%
54JPMORGAN CHASE & COVYLD3,999,900$536.4M0.31%
55ISHARES TR46432F8349,168,467$530.7M0.31%
56CITIGROUP INCC-PR11,374,500$514.5M0.30%
57ADVANCED MICRO DEVICES INCAMD7,660,572$496.2M0.29%
58ALIBABA GROUP HLDG LTDBBAAY5,437,000$478.9M0.28%
59META PLATFORMS INCMETA3,819,479$459.6M0.27%
60INVESCO QQQ TRIVZ1,722,639$458.7M0.27%
61ISHARES TR46432F8427,225,810$445.4M0.26%
62BOEING COBA-PA2,301,600$438.4M0.25%
63SPDR DOW JONES INDL AVERAGE78467X9091,317,000$436.4M0.25%
64HOME DEPOT INCHD1,246,400$393.7M0.23%
65EXXON MOBIL CORPXOM3,530,900$389.5M0.23%
66VANGUARD INTL EQUITY INDEX F9220427757,529,903$377.5M0.22%
67JPMORGAN CHASE & COVYLD2,767,800$371.2M0.21%
68BANK AMERICA CORP06050595411,172,500$370.0M0.21%
69MODERNA INCMRNA2,047,800$367.8M0.21%
70DUPONT DE NEMOURS INCDD5,215,900$358.0M0.21%
71VANGUARD INTL EQUITY INDEX F9220428589,162,934$357.2M0.21%
72BOOKING HOLDINGS INCBKNG177,200$357.1M0.21%
73PINDUODUO INCPDD4,257,800$347.2M0.20%
74GOLDMAN SACHS GROUP INCGSCE1,008,100$346.2M0.20%
75PROCTER AND GAMBLE CO7427189092,241,000$339.6M0.20%
76VANGUARD BD INDEX FDS9219378354,711,329$338.5M0.20%
77ISHARES INC46428695012,004,600$335.8M0.19%
78VANECK ETF TRUST92189F9067,810,900$330.3M0.19%
79SPDR S&P 500 ETF TRSPY843,174$322.5M0.19%
80ISHARES TR4642889034,358,400$320.9M0.19%
81BROADCOM INCAVGO558,400$312.2M0.18%
82SPDR SER TR78468R9562,286,500$310.7M0.18%
83CITIGROUP INCC-PR6,855,900$310.1M0.18%
84ALBEMARLE CORPALB-PA1,413,400$306.5M0.18%
85ISHARES TR4642879501,973,900$302.3M0.17%
86DISNEY WALT CO2546879563,425,100$297.6M0.17%
87NIKE INCNKE2,531,800$296.2M0.17%
88PALO ALTO NETWORKS INCPANW2,113,600$294.9M0.17%
89VANGUARD SCOTTSDALE FDS92206C4093,916,933$294.5M0.17%
90COSTCO WHSL CORP NEW22160K905636,500$290.6M0.17%
91ALPHABET INCGOOG3,257,192$289.0M0.17%
92NVIDIA CORPORATIONNVDA1,950,209$285.0M0.16%
93FIRST SOLAR INCFSLR1,891,000$283.3M0.16%
94DIAMONDBACK ENERGY INCFANG2,066,900$282.7M0.16%
95BROADCOM INCAVGO498,700$278.8M0.16%
96KRANESHARES TR5007679069,201,600$277.9M0.16%
97ISHARES TR4642876551,585,284$276.4M0.16%
98NIKE INCNKE2,347,600$274.7M0.16%
99HOME DEPOT INCHD858,800$271.3M0.16%
100BERKSHIRE HATHAWAY INC DELBRK-A869,900$268.7M0.16%
101CHEVRON CORP NEWCVX1,494,700$268.3M0.16%
102TESLA INCTSLA2,147,807$264.6M0.15%
103SELECT SECTOR SPDR TR81369Y9542,693,800$264.6M0.15%
104WELLS FARGO CO NEW9497469516,337,400$261.7M0.15%
105VANECK ETF TRUST92189H957858,800$261.1M0.15%
106NVIDIA CORPORATIONNVDA1,773,432$259.2M0.15%
107GOLDMAN SACHS GROUP INCGSCE746,450$256.3M0.15%
108BANK AMERICA CORP0605059047,613,500$252.2M0.15%
109PFIZER INCPFE4,852,100$248.6M0.14%
110NETFLIX INCNFLX839,233$247.5M0.14%
111VANGUARD INTL EQUITY INDEX F9220429544,443,400$246.3M0.14%
112ISHARES SILVER TRSLV11,072,300$243.8M0.14%
113OCCIDENTAL PETE CORP6745999053,854,400$242.8M0.14%
114ISHARES TR4642871762,245,738$239.0M0.14%
115CHEVRON CORP NEWCVX1,308,800$234.9M0.14%
116UNITEDHEALTH GROUP INCUNH440,400$233.5M0.14%
117TESLA INCTSLA1,863,100$229.5M0.13%
118TESLA INCTSLA1,861,595$229.3M0.13%
119MASTERCARD INCORPORATEDMA657,100$228.5M0.13%
120J P MORGAN EXCHANGE TRADED F46641Q1914,710,808$228.5M0.13%
121APPLE INCAAPL1,753,657$227.9M0.13%
122ISHARES INC46434G8224,170,671$227.1M0.13%
123UNITED STS OIL FD LPUNTCW3,209,000$225.0M0.13%
124PAYPAL HLDGS INCPYPL3,144,600$224.0M0.13%
125LAM RESEARCH CORPLRCX530,900$223.1M0.13%
126SPDR SER TR78468R9061,635,300$222.2M0.13%
127ISHARES TR4642872422,093,277$220.7M0.13%
128LOCKHEED MARTIN CORPLMT452,200$220.0M0.13%
129SPDR SER TR78464A3756,811,303$216.8M0.13%
130PINDUODUO INCPDD2,638,200$215.1M0.12%
131JD.COM INCJDCMF3,721,100$208.9M0.12%
132WALMART INCWMT1,466,900$208.0M0.12%
133SPDR SER TR78464A9583,524,400$207.9M0.12%
134SELECT SECTOR SPDR TR81369Y9556,026,200$206.1M0.12%
135MORGAN STANLEYMS-PQ2,417,700$205.6M0.12%
136ISHARES TR46434V4075,020,258$205.3M0.12%
137PAYPAL HLDGS INCPYPL2,867,200$204.2M0.12%
138VISA INCV981,900$204.0M0.12%
139CONOCOPHILLIPSCOP1,710,000$201.8M0.12%
140FORD MTR CO DEL34537095017,058,700$198.4M0.11%
141COSTCO WHSL CORP NEW22160K955434,400$198.3M0.11%
142ADOBE SYSTEMS INCORPORATEDADBE587,100$197.6M0.11%
143SIMPLIFY EXCHANGE TRADED FUN82889N8552,742,712$196.4M0.11%
144ARK ETF TR00214Q9046,195,800$193.6M0.11%
145MODERNA INCMRNA1,073,000$192.7M0.11%
146PALO ALTO NETWORKS INCPANW1,379,500$192.5M0.11%
147OCCIDENTAL PETE CORP6745999553,038,600$191.4M0.11%
148ISHARES INC4642869595,836,200$191.0M0.11%
149QUALCOMM INCQCOM1,729,300$190.1M0.11%
150JOHNSON & JOHNSONJNJ1,071,800$189.3M0.11%
151ROYAL CARIBBEAN GROUPV7780T9533,793,800$187.5M0.11%
152CHIPOTLE MEXICAN GRILL INCCMG135,000$187.3M0.11%
153PFIZER INCPFE3,609,200$184.9M0.11%
154MARRIOTT INTL INC NEW5719039521,241,300$184.8M0.11%
155MCDONALDS CORPMCD698,500$184.1M0.11%
156BOOKING HOLDINGS INCBKNG91,035$183.5M0.11%
157UBER TECHNOLOGIES INCUBER7,354,500$181.9M0.11%
158MASTERCARD INCORPORATEDMA522,500$181.7M0.11%
159ALIBABA GROUP HLDG LTDBBAAY2,050,491$180.6M0.10%
160DISNEY WALT CO2546879062,074,900$180.3M0.10%
161SYNOPSYS INCSNPS564,507$180.2M0.10%
162STARBUCKS CORPSBUX1,814,500$180.0M0.10%
163CATERPILLAR INCCAT746,200$178.8M0.10%
164ADOBE SYSTEMS INCORPORATEDADBE528,600$177.9M0.10%
165HSBC HLDGS PLCHBCYF5,700,638$177.6M0.10%
166MERCK & CO INCMRK1,596,800$177.2M0.10%
167SPDR SER TR78468R4087,299,135$176.9M0.10%
168DUPONT DE NEMOURS INCDD2,576,000$176.8M0.10%
169ISHARES INC4642869006,205,900$173.6M0.10%
170SPDR SER TR78464A9502,087,100$173.2M0.10%
171STARBUCKS CORPSBUX1,744,300$173.0M0.10%
172GENERAL MTRS CO37045V9505,050,200$169.9M0.10%
173CATERPILLAR INCCAT706,200$169.2M0.10%
174PIMCO ETF TR72201R8331,708,826$168.6M0.10%
175SPDR SER TR78464A9002,020,100$167.7M0.10%
176MICRON TECHNOLOGY INCMU3,352,700$167.6M0.10%
177BERKSHIRE HATHAWAY INC DELBRK-A542,000$167.4M0.10%
178SHELL PLCRYDAF2,940,326$165.4M0.10%
179BOOKING HOLDINGS INCBKNG81,800$164.8M0.10%
180LOCKHEED MARTIN CORPLMT338,400$164.6M0.10%
181ALIBABA GROUP HLDG LTDBBAAY1,867,411$164.5M0.10%
182ABBVIE INCABBV1,013,500$163.8M0.09%
183THERMO FISHER SCIENTIFIC INCTMO296,600$163.3M0.09%
184ISHARES TR4642886463,278,243$163.3M0.09%
185JANUS DETROIT STR TR47103U8453,301,899$162.7M0.09%
186VANGUARD INTL EQUITY INDEX F9220426763,919,960$162.1M0.09%
187DEERE & CODE377,800$162.0M0.09%
188VANECK ETF TRUST92189H907531,200$161.5M0.09%
189TAIWAN SEMICONDUCTOR MFG LTD8740391002,166,584$161.4M0.09%
190VANECK ETF TRUST92189F676792,022$160.7M0.09%
191ORACLE CORPORCL-PD1,945,500$159.0M0.09%
192ENPHASE ENERGY INCENPH598,300$158.5M0.09%
193TAIWAN SEMICONDUCTOR MFG LTD8740399502,126,000$158.4M0.09%
194SCHWAB STRATEGIC TR8085248054,902,968$157.9M0.09%
195QUALCOMM INCQCOM1,427,700$157.0M0.09%
196DEERE & CODE365,000$156.5M0.09%
197SELECT SECTOR SPDR TR81369Y9031,256,800$156.4M0.09%
198META PLATFORMS INCMETA1,286,494$154.8M0.09%
199DBX ETF TR2330518795,521,106$154.7M0.09%
200VANGUARD INDEX FDS922908953543,500$153.9M0.09%
201ISHARES TR464287958728,700$153.8M0.09%
202WALMART INCWMT1,083,600$153.6M0.09%
203ISHARES TR4642882247,738,327$153.6M0.09%
204MORGAN STANLEYMS-PQ1,805,700$153.5M0.09%
205COMCAST CORP NEWCCZ4,369,800$152.8M0.09%
206MICROCHIP TECHNOLOGY INC.MCHPP2,162,900$151.9M0.09%
207VANGUARD INTL EQUITY INDEX F9220428742,712,983$150.4M0.09%
208ABRDN GOLD ETF TRUST00326A1048,599,445$150.2M0.09%
209CISCO SYS INCCSCO3,092,300$147.3M0.09%
210ISHARES TR4642883723,205,635$146.9M0.09%
211KRANESHARES TR5007679564,855,700$146.6M0.08%
212ISHARES INC4642867722,574,107$145.4M0.08%
213SPDR GOLD TRGLD852,600$144.6M0.08%
214MICRON TECHNOLOGY INCMU2,887,300$144.3M0.08%
215PG&E CORPPCG-PX8,727,895$141.9M0.08%
216METLIFE INCMET-PF1,922,800$139.2M0.08%
217WELLS FARGO CO NEW9497469013,343,300$138.0M0.08%
218UBER TECHNOLOGIES INCUBER5,567,800$137.7M0.08%
219CITIGROUP INCC-PR3,025,505$136.8M0.08%
220INTERNATIONAL BUSINESS MACHSINTR967,600$136.3M0.08%
221MICROCHIP TECHNOLOGY INC.MCHPP1,925,400$135.3M0.08%
222UNITEDHEALTH GROUP INCUNH254,900$135.1M0.08%
223ISHARES INC4642868065,444,426$134.6M0.08%
224FREEPORT-MCMORAN INCFCX3,530,300$134.2M0.08%
225AMERISOURCEBERGEN CORPCOR803,709$133.2M0.08%
226MONGODB INCMDB676,500$133.2M0.08%
227MONGODB INCMDB674,600$132.8M0.08%
228ALPHABET INCGOOG1,504,808$132.8M0.08%
229FIRST TR EXCH TRADED FD III33739E1087,885,115$132.5M0.08%
230ISHARES TR4642875561,001,974$131.5M0.08%
231CHIPOTLE MEXICAN GRILL INCCMG94,800$131.5M0.08%
232SELECT SECTOR SPDR TR81369Y9053,825,200$130.8M0.08%
233SPDR SER TR78464A9082,213,700$130.2M0.08%
234ISHARES TR46434V4564,017,296$130.1M0.08%
235SNOWFLAKE INCSNOW878,800$126.1M0.07%
236VANECK ETF TRUST92189F7913,529,546$125.8M0.07%
237CISCO SYS INCCSCO2,635,000$125.5M0.07%
238COCA COLA COKO1,950,500$124.1M0.07%
239CROWDSTRIKE HLDGS INCCRWD1,171,700$123.4M0.07%
240ARK ETF TR00214Q9543,946,500$123.3M0.07%
241KRANESHARES TR5007673064,080,699$123.2M0.07%
242ISHARES TR464287908915,900$122.5M0.07%
243SELECT SECTOR SPDR TR81369Y953984,600$122.5M0.07%
244FLEXSHARES TRFLEX2,416,397$121.8M0.07%
245VANGUARD TAX-MANAGED FDS9219438582,891,042$121.3M0.07%
246UNITED PARCEL SERVICE INCUPS697,400$121.2M0.07%
247VANGUARD WHITEHALL FDS9219469061,116,800$120.8M0.07%
248TARGET CORPTGT810,000$120.7M0.07%
249CANADIAN NAT RES LTD1363851012,174,322$120.7M0.07%
250JOHNSON & JOHNSONJNJ675,100$119.3M0.07%
251SPDR SER TR78464A3591,847,064$118.8M0.07%
252ISHARES INC4642864004,194,595$117.3M0.07%
253ALPHABET INCGOOG1,316,828$116.8M0.07%
254BP PLCBPPFF3,344,492$116.8M0.07%
255ABBVIE INCABBV720,900$116.5M0.07%
256BAIDU INCBAIDF1,015,900$116.2M0.07%
257SALESFORCE INCCRM876,000$116.1M0.07%
258ATLASSIAN CORPORATIONTEAM897,544$115.5M0.07%
259ENPHASE ENERGY INCENPH433,900$115.0M0.07%
260UNION PAC CORPUNP554,800$114.9M0.07%
261REGENERON PHARMACEUTICALSREGN158,529$114.4M0.07%
262SPDR SER TR78468R7212,495,059$113.8M0.07%
263SALESFORCE INCCRM858,000$113.8M0.07%
264PEPSICO INCPEP627,000$113.3M0.07%
265ACCENTURE PLC IRELANDACN423,100$112.9M0.07%
266TEXAS INSTRS INC882508904679,100$112.2M0.06%
267VANGUARD INDEX FDS922908959579,100$110.8M0.06%
268NIKE INCNKE944,928$110.6M0.06%
269ACTIVISION BLIZZARD INC00507V9091,441,900$110.4M0.06%
270INTEL CORPINTC4,168,800$110.2M0.06%
271JD.COM INCJDCMF1,957,500$109.9M0.06%
272ISHARES INC4642865251,150,710$109.3M0.06%
273ADVANCED MICRO DEVICES INCAMD1,683,039$109.0M0.06%
274SPDR SER TR78464A4902,640,002$108.8M0.06%
275FREEPORT-MCMORAN INCFCX2,861,100$108.7M0.06%
276ISHARES INC4642861034,883,495$108.6M0.06%
277UNITED STS OIL FD LPUNTCW1,547,800$108.5M0.06%
278ISHARES TR46432F8592,332,634$108.3M0.06%
279PROSHARES TR74347G9022,003,800$108.2M0.06%
280AIRBNB INCABNB1,265,000$108.2M0.06%
281INTERNATIONAL BUSINESS MACHSINTR765,900$107.9M0.06%
282COMCAST CORP NEWCCZ3,083,700$107.8M0.06%
283WYNN RESORTS LTDWYNN1,299,900$107.2M0.06%
284APPLIED MATLS INC0382229551,099,700$107.1M0.06%
285WORKDAY INCWDAY639,900$107.1M0.06%
286SHOPIFY INCSHOP3,081,900$107.0M0.06%
287ETSY INCETSY892,500$106.9M0.06%
288BLOCK INCBSQKZ1,696,300$106.6M0.06%
289MERCADOLIBRE INCMELI125,900$106.5M0.06%
290SHOPIFY INCSHOP3,043,000$105.6M0.06%
291ISHARES INC4642864003,772,196$105.5M0.06%
292BLACKSTONE INCBX1,418,100$105.2M0.06%
293CVS HEALTH CORPCVS1,123,500$104.7M0.06%
294ISHARES TR46435G5161,577,531$103.7M0.06%
295SERVICENOW INCNOW266,100$103.3M0.06%
296LOWES COS INC548661907517,600$103.1M0.06%
297UNION PAC CORPUNP497,500$103.0M0.06%
298TJX COS INC NEW8725409091,290,300$102.7M0.06%
299BP PLCBPPFF2,932,800$102.4M0.06%
300T-MOBILE US INCTMUSZ726,100$101.7M0.06%
301AMERICAN EXPRESS COAXP682,600$100.9M0.06%
302SEA LTDSE1,935,600$100.7M0.06%
303FEDEX CORPFDX572,700$99.2M0.06%
304VANGUARD MALVERN FDS9220208052,109,040$98.5M0.06%
305INTUITIVE SURGICAL INCISRG370,000$98.2M0.06%
306WELLS FARGO CO NEW9497461012,358,371$97.4M0.06%
307ISHARES INC46434G7642,046,218$97.1M0.06%
308MERCK & CO INCMRK873,200$96.9M0.06%
309BRISTOL-MYERS SQUIBB COCELG-RI1,335,600$96.1M0.06%
310BLOCK INCBSQKZ1,526,900$96.0M0.06%
311ISHARES TR4642881821,480,483$95.9M0.06%
312ISHARES INC4642865331,800,756$95.5M0.06%
313DANAHER CORPORATION235851902359,600$95.4M0.06%
314PROSHARES TR74347X9515,512,900$95.4M0.06%
315FEDEX CORPFDX550,100$95.3M0.06%
316CIGNA CORP NEW125523950287,500$95.3M0.06%
317LAM RESEARCH CORPLRCX226,400$95.2M0.06%
318LILLY ELI & COLLY259,300$94.9M0.05%
319NORTHROP GRUMMAN CORPNOC173,400$94.6M0.05%
320DIMENSIONAL ETF TRUST25434V8804,379,397$94.6M0.05%
321AIRBNB INCABNB1,103,600$94.4M0.05%
322MICROSTRATEGY INCSTRK665,900$94.3M0.05%
323LAS VEGAS SANDS CORPLVS1,959,100$94.2M0.05%
324YUM CHINA HLDGS INCYUMC1,723,160$94.2M0.05%
325NEWMONT CORPNEMCL1,994,800$94.2M0.05%
326ISHARES TR464287440976,432$93.5M0.05%
327APPLIED MATLS INC038222905958,500$93.3M0.05%
328SCHLUMBERGER LTDSLB1,722,700$92.1M0.05%
329SNAP INCSNAP10,212,100$91.4M0.05%
330SPLUNK INC8486379041,058,000$91.1M0.05%
331AMGEN INCAMGN345,900$90.8M0.05%
332AGNICO EAGLE MINES LTDAEM1,741,091$90.5M0.05%
333SPDR INDEX SHS FDS78463X2022,315,669$89.6M0.05%
334ISHARES TR46435G3342,891,461$88.7M0.05%
335ACCENTURE PLC IRELANDACN330,000$88.1M0.05%
336ISHARES INC46434G8632,922,654$87.9M0.05%
337INTEL CORPINTC3,312,400$87.5M0.05%
338NEXTERA ENERGY INCNEE-PW1,043,100$87.2M0.05%
339TAIWAN SEMICONDUCTOR MFG LTD8740399001,166,800$86.9M0.05%
340ISHARES GOLD TRIAU2,511,612$86.9M0.05%
341ISHARES TR4642872911,929,136$86.5M0.05%
342VANGUARD INTL EQUITY INDEX F9220427421,000,845$86.3M0.05%
343MICROSOFT CORPMSFT359,590$86.2M0.05%
344SELECT SECTOR SPDR TR81369Y904875,000$85.9M0.05%
345DEVON ENERGY CORP NEW25179M9031,390,700$85.5M0.05%
346UNITED AIRLS HLDGS INCUNTCW2,260,200$85.2M0.05%
347SERVICENOW INCNOW219,400$85.2M0.05%
348CHARTER COMMUNICATIONS INC N16119P908250,400$84.9M0.05%
349J P MORGAN EXCHANGE TRADED F46641Q8371,685,194$84.5M0.05%
350BANK AMERICA CORP0605051042,540,916$84.2M0.05%
351METLIFE INCMET-PF1,149,800$83.2M0.05%
352OTIS WORLDWIDE CORPOTIS1,056,900$82.8M0.05%
353WORKDAY INCWDAY489,800$82.0M0.05%
354LILLY ELI & COLLY223,500$81.8M0.05%
355ISHARES TR46429B903783,100$81.6M0.05%
356ORACLE CORPORCL-PD996,100$81.4M0.05%
357VISA INCV391,200$81.3M0.05%
358VANGUARD INDEX FDS922908903434,700$81.2M0.05%
359AT&T INCT-PC4,389,600$80.6M0.05%
360WYNN RESORTS LTDWYNN971,200$80.1M0.05%
361SCHLUMBERGER LTDSLB1,497,100$80.0M0.05%
362MCDONALDS CORPMCD303,100$79.9M0.05%
363CIGNA CORP NEW125523900239,100$79.2M0.05%
364BLACKSTONE INCBX1,067,400$79.2M0.05%
365RAYTHEON TECHNOLOGIES CORPRTX778,100$78.5M0.05%
366GENERAL MTRS CO37045V9002,330,700$78.4M0.05%
367SPDR SER TR78464A2841,600,041$78.4M0.05%
368LAS VEGAS SANDS CORPLVS1,617,700$77.8M0.04%
369CROWDSTRIKE HLDGS INCCRWD738,100$77.7M0.04%
370DIREXION SHS ETF TR25460E9053,469,900$77.4M0.04%
371MADRIGAL PHARMACEUTICALS INCMDGL266,000$77.2M0.04%
372LLOYDS BANKING GROUP PLCLLOBF35,079,795$77.2M0.04%
373J P MORGAN EXCHANGE TRADED F46641Q1341,539,929$77.1M0.04%
374UNITED STATES STL CORP NEWUNTCW3,071,600$76.9M0.04%
375CELSIUS HLDGS INCCELH736,900$76.7M0.04%
376CHURCHILL CAPITAL CORP VII17144M1027,673,366$76.5M0.04%
377ISHARES INC4642867072,306,088$76.4M0.04%
378SPDR S&P 500 ETF TRSPY199,400$76.3M0.04%
379BLACKROCK INCBLK107,600$76.2M0.04%
380AMERICAN CENTY ETF TR0250727031,432,977$76.2M0.04%
381CHENIERE ENERGY INCLNG507,200$76.1M0.04%
382TEXAS INSTRS INC882508954459,100$75.9M0.04%
383ISHARES TR4642873903,300,746$75.6M0.04%
384GENERAL MTRS CO37045V1002,230,167$75.0M0.04%
385MARATHON PETE CORPMARA643,352$74.9M0.04%
386ALBEMARLE CORPALB-PA344,800$74.8M0.04%
387SPDR S&P 500 ETF TRSPY194,600$74.4M0.04%
388CONOCOPHILLIPSCOP630,200$74.4M0.04%
389ON SEMICONDUCTOR CORPON1,192,200$74.4M0.04%
390FORD MTR CO DEL3453708606,374,882$74.1M0.04%
391VANECK ETF TRUST92189H4091,464,971$74.1M0.04%
392SNOWFLAKE INCSNOW515,500$74.0M0.04%
393HUMANA INCHUM144,300$73.9M0.04%
394DIREXION SHS ETF TR25460G909806,400$73.8M0.04%
395WISDOMTREE TRWT1,143,449$73.5M0.04%
396GENERAL ELECTRIC CO369604951873,400$73.2M0.04%
397NETFLIX INCNFLX247,080$72.9M0.04%
398INTEL CORPINTC2,720,512$71.9M0.04%
399J P MORGAN EXCHANGE TRADED F46641Q2331,465,849$71.7M0.04%
400VALVOLINE INCVVV2,194,200$71.6M0.04%
401ABBOTT LABSABLZF652,500$71.6M0.04%
4023M COMMM597,200$71.6M0.04%
403COMCAST CORP NEWCCZ2,047,616$71.6M0.04%
404DISNEY WALT CO254687106821,491$71.4M0.04%
405COUPANG INCCPNG4,842,142$71.2M0.04%
406DELTA AIR LINES INC DELDAL2,166,400$71.2M0.04%
407CHEVRON CORP NEWCVX393,768$70.7M0.04%
408PNC FINL SVCS GROUP INC693475955446,400$70.5M0.04%
409SPDR INDEX SHS FDS78463X4341,094,824$70.2M0.04%
410EOG RES INCEOG541,800$70.2M0.04%
411RHRH262,000$70.0M0.04%
412NORTHROP GRUMMAN CORPNOC127,700$69.7M0.04%
413BIOGEN INCBIIB249,000$69.0M0.04%
414THERMO FISHER SCIENTIFIC INCTMO124,800$68.7M0.04%
415VANGUARD INDEX FDS922908909358,800$68.7M0.04%
416PROSHARES TR74347G4321,269,894$68.6M0.04%
417LI AUTO INCLAAOF3,315,700$67.6M0.04%
418HONEYWELL INTL INC438516906315,400$67.6M0.04%
419DATADOG INCDDOG917,500$67.4M0.04%
420AT&T INCT-PC3,687,000$67.3M0.04%
421UNITED PARCEL SERVICE INCUPS385,700$67.1M0.04%
422ISHARES TR46429B6891,052,694$66.9M0.04%
423AMAZON COM INCAMZN793,531$66.7M0.04%
424PHILIP MORRIS INTL INC718172909657,500$66.5M0.04%
425UNITED RENTALS INCURI186,600$66.3M0.04%
426TARGET CORPTGT438,800$65.4M0.04%
427VANECK ETF TRUST92189F9011,827,300$65.1M0.04%
428BOEING COBA-PA341,856$65.1M0.04%
429META PLATFORMS INCMETA540,371$65.0M0.04%
430SELECT SECTOR SPDR TR81369Y958871,800$65.0M0.04%
431UNITED AIRLS HLDGS INCUNTCW1,722,200$64.9M0.04%
432PHILLIPS 66PSX621,400$64.7M0.04%
433LOWES COS INC548661957323,800$64.5M0.04%
434INTUITIVE SURGICAL INCISRG242,600$64.4M0.04%
435MERCADOLIBRE INCMELI76,000$64.3M0.04%
436FORD MTR CO DEL3453709005,521,000$64.2M0.04%
437SPDR SER TR78464A9541,061,400$64.2M0.04%
438MARATHON PETE CORPMARA550,500$64.1M0.04%
439PFIZER INCPFE1,238,293$63.5M0.04%
440J P MORGAN EXCHANGE TRADED F46641Q8521,379,186$63.4M0.04%
441GENERAL ELECTRIC CO369604901756,400$63.4M0.04%
442PROSHARES TR74347G9521,172,600$63.3M0.04%
443BLACKROCK INCBLK89,200$63.2M0.04%
444VANGUARD INTL EQUITY INDEX F922042718613,357$63.1M0.04%
445BIOGEN INCBIIB226,500$62.7M0.04%
446UNITED RENTALS INCURI175,400$62.3M0.04%
447AMERICAN AIRLS GROUP INC02376R9524,880,500$62.1M0.04%
448HESS CORPHESM436,300$61.9M0.04%
449ISHARES INC46434G9021,152,300$61.6M0.04%
450SELECT SECTOR SPDR TR81369Y907476,500$61.5M0.04%
451SELECT SECTOR SPDR TR81369Y909449,600$61.1M0.04%
452ISHARES TR464288885726,894$60.9M0.04%
453SPDR INDEX SHS FDS78463X9021,572,600$60.9M0.04%
454BERKSHIRE HATHAWAY INC DELBRK-A196,625$60.7M0.04%
455CARMAX INCKMX996,200$60.7M0.04%
456ISHARES TR464288951704,100$60.6M0.04%
457ISHARES TR464288957714,000$60.1M0.03%
458COINBASE GLOBAL INCCOIN1,699,400$60.1M0.03%
459ELANCO ANIMAL HEALTH INCELAN4,912,793$60.0M0.03%
460SELECT SECTOR SPDR TR81369Y957464,100$59.9M0.03%
461INTUITINTU153,100$59.6M0.03%
462PNC FINL SVCS GROUP INC693475905376,300$59.4M0.03%
463ZSCALER INCZS525,000$58.7M0.03%
464PROCTER AND GAMBLE CO742718959387,200$58.7M0.03%
465HUMANA INCHUM114,400$58.6M0.03%
466MORGAN STANLEYMS-PQ689,049$58.6M0.03%
467ABRDN SILVER ETF TRUSTSIVR2,533,252$58.2M0.03%
468ISHARES INC4642869562,350,500$58.1M0.03%
469APPLE INCAAPL445,418$57.9M0.03%
470NEWMONT CORPNEMCL1,225,500$57.8M0.03%
471DOW INCDOW1,142,100$57.6M0.03%
472INTERNATIONAL PAPER CO4601469031,658,200$57.4M0.03%
473PEABODY ENERGY CORPBTU2,172,100$57.4M0.03%
474MATCH GROUP INC NEWMTCH1,379,678$57.2M0.03%
475FREEPORT-MCMORAN INCFCX1,499,769$57.0M0.03%
476VANGUARD SCOTTSDALE FDS92206C870734,351$56.9M0.03%
477HORIZON THERAPEUTICS PUB LG46188901498,100$56.7M0.03%
478SALESFORCE INCCRM426,404$56.5M0.03%
479ISHARES INC4642867491,346,950$56.5M0.03%
480ALCOA CORPAA1,238,500$56.3M0.03%
481SCHWAB CHARLES CORPSCHW-PJ672,800$56.0M0.03%
482INTEL CORPINTC2,109,433$55.8M0.03%
483KRAFT HEINZ COKHC1,363,400$55.5M0.03%
484PAYPAL HLDGS INCPYPL776,743$55.3M0.03%
485BOOKING HOLDINGS INCBKNG27,367$55.2M0.03%
486VALERO ENERGY CORPVLO432,700$54.9M0.03%
487CONSTELLATION BRANDS INCSTZ236,800$54.9M0.03%
488KINDER MORGAN INC DELEP-PC3,033,800$54.9M0.03%
489DUKE ENERGY CORP NEWDUKB532,400$54.8M0.03%
490SELECT SECTOR SPDR TR81369Y959403,200$54.8M0.03%
491NVIDIA CORPORATIONNVDA374,153$54.7M0.03%
492BJS WHSL CLUB HLDGS INC05550J951823,800$54.5M0.03%
493VALERO ENERGY CORPVLO429,500$54.5M0.03%
494MOSAIC CO NEWMOS1,240,300$54.4M0.03%
495VERIZON COMMUNICATIONS INCVZ1,379,300$54.3M0.03%
496CVS HEALTH CORPCVS583,100$54.3M0.03%
497REGENERON PHARMACEUTICALSREGN74,800$54.0M0.03%
498SCHWAB STRATEGIC TR8085247062,278,497$53.9M0.03%
499CHARTER COMMUNICATIONS INC N16119P958158,900$53.9M0.03%
500SCHWAB STRATEGIC TR8085246722,398,058$53.8M0.03%