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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 Q2 2023 · Filed May 16, 2023 · Accession 0001595888-23-000036

Total Value
$244.16B
Positions
11,890
Other Managers
5
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1SPDR S&P 500 ETF TRSPY50,871,800$20.83B10.41%
2SPDR S&P 500 ETF TRSPY35,849,500$14.68B7.33%
3INVESCO QQQ TRIVZ32,770,200$10.52B5.26%
4TESLA INCTSLA49,971,700$10.37B5.18%
5ISHARES TR46428795545,038,000$6.86B3.43%
6INVESCO QQQ TRIVZ17,796,800$5.71B2.85%
7TESLA INCTSLA24,300,300$5.04B2.52%
8SPDR S&P 500 ETF TRSPY8,588,038$3.52B1.76%
9APPLE INCAAPL21,114,100$3.48B1.74%
10APPLE INCAAPL20,704,200$3.41B1.71%
11MICROSOFT CORPMSFT11,302,800$3.26B1.63%
12NVIDIA CORPORATIONNVDA10,267,600$2.85B1.43%
13AMAZON COM INCAMZN24,352,000$2.52B1.26%
14NVIDIA CORPORATIONNVDA8,254,500$2.29B1.15%
15INVESCO QQQ TRIVZ6,643,286$2.13B1.07%
16META PLATFORMS INCMETA9,797,800$2.08B1.04%
17AMAZON COM INCAMZN19,790,600$2.04B1.02%
18ISHARES TR46428790516,271,500$1.87B0.94%
19SPDR GOLD TRGLD9,862,300$1.81B0.90%
20MICROSOFT CORPMSFT5,851,700$1.69B0.84%
21ISHARES TR46428895319,335,800$1.46B0.73%
22ISHARES TR46428851317,782,684$1.34B0.67%
23ALIBABA GROUP HLDG LTDBBAAY12,365,000$1.26B0.63%
24META PLATFORMS INCMETA5,854,200$1.24B0.62%
25ISHARES TR46428890316,339,600$1.23B0.62%
26SELECT SECTOR SPDR TR81369Y95614,739,700$1.18B0.59%
27ADVANCED MICRO DEVICES INCAMD11,687,300$1.15B0.57%
28ISHARES TR46428795210,216,800$1.11B0.55%
29ALPHABET INCGOOG10,578,600$1.10B0.55%
30ISHARES TR46428790210,119,100$1.09B0.55%
31VANECK ETF TRUST92189F95616,030,700$936.1M0.47%
32AMAZON COM INCAMZN8,768,043$905.7M0.45%
33NETFLIX INCNFLX2,560,600$884.6M0.44%
34FIRST SOLAR INCFSLR3,899,600$848.2M0.42%
35TESLA INCTSLA3,984,513$826.6M0.41%
36ALPHABET INCGOOG7,469,200$776.8M0.39%
37NETFLIX INCNFLX2,120,400$732.6M0.37%
38ISHARES TR46428790419,601,900$724.9M0.36%
39ALPHABET INCGOOG6,929,500$718.8M0.36%
40ISHARES TR46435G33422,079,220$712.3M0.36%
41BANK AMERICA CORP06050595424,099,000$689.2M0.34%
42PALO ALTO NETWORKS INCPANW3,392,900$677.7M0.34%
43SPDR S&P 500 ETF TRSPY1,632,900$668.5M0.33%
44T-MOBILE US INCTMUSZ4,606,200$667.2M0.33%
45SPDR S&P 500 ETF TRSPY1,625,300$665.4M0.33%
46ISHARES TR46429B65513,189,239$664.6M0.33%
47FIRST SOLAR INCFSLR3,027,400$658.5M0.33%
48ADVANCED MICRO DEVICES INCAMD6,662,700$653.0M0.33%
49ALPHABET INCGOOG6,247,400$649.7M0.32%
50ISHARES TR46428795418,146,700$641.1M0.32%
51BOEING COBA-PA2,965,600$630.0M0.31%
52SELECT SECTOR SPDR TR81369Y9067,706,400$628.8M0.31%
53SPDR SER TR78468R6226,567,988$609.6M0.30%
54NVIDIA CORPORATIONNVDA2,187,608$607.7M0.30%
55ISHARES TR46432F8349,635,881$596.9M0.30%
56ALIBABA GROUP HLDG LTDBBAAY5,828,200$595.5M0.30%
57APPLE INCAAPL3,525,224$581.3M0.29%
58VANGUARD TAX-MANAGED FDS92194385812,392,100$559.8M0.28%
59ISHARES TR46428887711,182,830$542.7M0.27%
60META PLATFORMS INCMETA2,387,532$506.0M0.25%
61EXXON MOBIL CORPXOM4,457,700$488.8M0.24%
62VANECK ETF TRUST92189F9069,825,400$486.0M0.24%
63VANGUARD INTL EQUITY INDEX F9220427758,398,153$449.0M0.22%
64ALBEMARLE CORPALB-PA2,011,400$444.6M0.22%
65ISHARES TR4642874324,105,934$436.7M0.22%
66SPDR DOW JONES INDL AVERAGE78467X9591,253,500$416.9M0.21%
67CITIGROUP INCC-PR8,824,400$413.8M0.21%
68SPDR GOLD TRGLD2,232,433$409.0M0.20%
69MICROSOFT CORPMSFT1,389,080$400.5M0.20%
70ISHARES TR4642882814,606,172$397.4M0.20%
71SALESFORCE INCCRM1,940,600$387.7M0.19%
72SALESFORCE INCCRM1,905,800$380.7M0.19%
73JPMORGAN CHASE & COVYLD2,909,700$379.2M0.19%
74SPDR SER TR78468R20012,021,297$365.8M0.18%
75ISHARES TR4642876552,043,644$364.6M0.18%
76ALPHABET INCGOOG3,495,293$362.6M0.18%
77SPDR S&P 500 ETF TRSPY872,566$357.2M0.18%
78UBER TECHNOLOGIES INCUBER10,761,700$341.1M0.17%
79ISHARES SILVER TRSLV15,150,800$335.1M0.17%
80DUPONT DE NEMOURS INCDD4,610,300$330.9M0.17%
81FORD MTR CO DEL34537086026,246,061$330.7M0.17%
82NETFLIX INCNFLX955,357$330.1M0.16%
83SCHWAB CHARLES CORPSCHW-PJ6,250,000$327.4M0.16%
84J P MORGAN EXCHANGE TRADED F46641Q1916,092,811$325.2M0.16%
85SELECT SECTOR SPDR TR81369Y9559,945,800$319.8M0.16%
86VANGUARD STAR FDS9219097685,522,108$304.9M0.15%
87SPDR DOW JONES INDL AVERAGE78467X909914,800$304.3M0.15%
88EXXON MOBIL CORPXOM2,715,200$297.7M0.15%
89LILLY ELI & COLLY861,515$295.9M0.15%
90SPDR SER TR78464A9086,540,000$292.4M0.15%
91SPDR SER TR78464A9586,461,500$291.4M0.15%
92DISNEY WALT CO2546879562,797,900$280.2M0.14%
93BOEING COBA-PA1,305,900$277.4M0.14%
94JPMORGAN CHASE & COVYLD2,124,500$276.8M0.14%
95ISHARES INC46428695010,014,000$274.2M0.14%
96VANECK ETF TRUST92189H30010,832,310$273.5M0.14%
97GOLDMAN SACHS GROUP INCGSCE833,000$272.5M0.14%
98WALMART INCWMT1,838,057$271.0M0.14%
99J P MORGAN EXCHANGE TRADED F46641Q8375,369,637$270.2M0.14%
100OCCIDENTAL PETE CORP6745999554,299,200$268.4M0.13%
101CONOCOPHILLIPSCOP2,704,529$268.3M0.13%
102WELLS FARGO CO NEW9497469517,171,800$268.1M0.13%
103PDD HOLDINGS INCPDD3,530,600$268.0M0.13%
104VANECK ETF TRUST92189H957962,000$266.6M0.13%
105ROYAL CARIBBEAN GROUPV7780T9534,075,700$266.1M0.13%
106FORD MTR CO DEL34537095020,023,900$252.3M0.13%
107ISHARES INC4642865334,561,210$248.9M0.12%
108ARK ETF TR00214Q1046,156,991$248.4M0.12%
109FREEPORT-MCMORAN INCFCX5,969,500$244.2M0.12%
110VOYA FINANCIAL INCVOYA-PB3,411,307$243.8M0.12%
111BOOKING HOLDINGS INCBKNG91,700$243.2M0.12%
112ISHARES INC4642865252,499,446$241.8M0.12%
113VANECK ETF TRUST92189F676903,436$237.8M0.12%
114INVESCO EXCH TRADED FD TR IIIVZ3,026,607$235.0M0.12%
115SHOPIFY INCSHOP4,896,300$234.7M0.12%
116PROSHARES TR74347X9518,287,500$234.2M0.12%
117SPDR SER TR78468R9561,835,300$234.2M0.12%
118ISHARES TR4642879501,724,200$233.9M0.12%
119COMCAST CORP NEWCCZ6,154,700$233.3M0.12%
120TESLA INCTSLA1,120,126$232.4M0.12%
121PALO ALTO NETWORKS INCPANW1,159,200$231.5M0.12%
122SNOWFLAKE INCSNOW1,499,700$231.4M0.12%
123ISHARES TR4642876551,290,224$230.2M0.12%
124ALIBABA GROUP HLDG LTDBBAAY2,229,121$227.8M0.11%
125BERKSHIRE HATHAWAY INC DELBRK-A721,900$222.9M0.11%
126PDD HOLDINGS INCPDD2,892,900$219.6M0.11%
127DISNEY WALT CO2546879062,161,800$216.5M0.11%
128BARCLAYS BANK PLCVXZ4,698,725$211.0M0.11%
129CHIPOTLE MEXICAN GRILL INCCMG123,200$210.5M0.11%
130MICRON TECHNOLOGY INCMU3,473,300$209.6M0.10%
131CATERPILLAR INCCAT913,000$208.9M0.10%
132ISHARES TR4642874652,870,270$205.3M0.10%
133SPDR SER TR78464A9502,656,900$202.5M0.10%
134WALMART INCWMT1,373,100$202.5M0.10%
135BLOCK INCBSQKZ2,933,100$201.4M0.10%
136GOLDMAN SACHS GROUP INCGSCE614,400$201.0M0.10%
137SNOWFLAKE INCSNOW1,292,100$199.4M0.10%
138MORGAN STANLEYMS-PQ2,243,900$197.0M0.10%
139GENERAL MTRS CO37045V9505,361,000$196.6M0.10%
140SPDR SER TR78468R6632,139,859$196.5M0.10%
141J P MORGAN EXCHANGE TRADED F46654Q1044,118,291$195.6M0.10%
142BANK AMERICA CORP0605059046,789,200$194.2M0.10%
143SELECT SECTOR SPDR TR81369Y9056,003,600$193.0M0.10%
144CHEVRON CORP NEWCVX1,177,800$192.2M0.10%
145PAYPAL HLDGS INCPYPL2,508,700$190.5M0.10%
146DUPONT DE NEMOURS INCDD2,649,500$190.2M0.10%
147SCHWAB CHARLES CORPSCHW-PJ3,574,800$187.2M0.09%
148ARK ETF TR00214Q9544,637,700$187.1M0.09%
149MCDONALDS CORPMCD668,200$186.8M0.09%
150UBER TECHNOLOGIES INCUBER5,855,800$185.6M0.09%
151MICROSOFT CORPMSFT641,136$184.8M0.09%
152SPDR GOLD TRGLD1,008,800$184.8M0.09%
153HOME DEPOT INCHD618,100$182.4M0.09%
154SELECT SECTOR SPDR TR81369Y9541,802,100$182.3M0.09%
155CISCO SYS INCCSCO3,483,900$182.1M0.09%
156SPDR INDEX SHS FDS78463X8895,624,606$180.7M0.09%
157INVESCO QQQ TRIVZ562,165$180.4M0.09%
158SCHWAB STRATEGIC TR8085248055,156,249$179.4M0.09%
159BROADCOM INCAVGO278,600$178.7M0.09%
160J P MORGAN EXCHANGE TRADED F46641Q1343,229,603$177.9M0.09%
161ISHARES TR4642874401,791,863$177.6M0.09%
162QUALCOMM INCQCOM1,384,300$176.6M0.09%
163MICROCHIP TECHNOLOGY INC.MCHPP2,101,200$176.0M0.09%
164AMAZON COM INCAMZN1,678,137$173.3M0.09%
165JD.COM INCJDCMF3,931,400$172.5M0.09%
166JD.COM INCJDCMF3,930,300$172.5M0.09%
167CHIPOTLE MEXICAN GRILL INCCMG100,900$172.4M0.09%
168COINBASE GLOBAL INCCOIN2,549,100$172.2M0.09%
169AMERICAN ELEC PWR CO INC0255371011,889,278$171.9M0.09%
170BLACKSTONE INCBX1,913,900$168.1M0.08%
171TEXAS INSTRS INC882508904901,800$167.7M0.08%
172INTEL CORPINTC5,126,307$167.5M0.08%
173AIRBNB INCABNB1,341,100$166.8M0.08%
174VISA INCV729,300$164.4M0.08%
175SPDR SER TR78468R9061,286,100$164.1M0.08%
176PEPSICO INCPEP893,300$162.8M0.08%
177ISHARES INC4642867074,307,202$162.8M0.08%
178COINBASE GLOBAL INCCOIN2,392,900$161.7M0.08%
179INTERNATIONAL BUSINESS MACHSINTR1,227,300$160.9M0.08%
180HSBC HLDGS PLCHBCYF4,695,662$160.3M0.08%
181MICRON TECHNOLOGY INCMU2,648,300$159.8M0.08%
182BOOKING HOLDINGS INCBKNG59,800$158.6M0.08%
183MICROCHIP TECHNOLOGY INC.MCHPP1,873,700$157.0M0.08%
184COSTCO WHSL CORP NEW22160K905313,200$155.6M0.08%
185CITIGROUP INCC-PR3,305,600$155.0M0.08%
186CVS HEALTH CORPCVS2,082,900$154.8M0.08%
187KRANESHARES TR5007679064,962,300$154.8M0.08%
188UNITEDHEALTH GROUP INCUNH327,500$154.8M0.08%
189ISHARES TR4642872343,919,013$154.6M0.08%
190CITIGROUP INCC-PR3,291,819$154.4M0.08%
191VANGUARD INDEX FDS922908363409,622$154.0M0.08%
192ISHARES TR46436E7181,521,244$153.0M0.08%
193VALERO ENERGY CORPVLO1,094,593$152.8M0.08%
194STARBUCKS CORPSBUX1,461,300$152.2M0.08%
195SHOPIFY INCSHOP3,150,200$151.0M0.08%
196BRISTOL-MYERS SQUIBB COCELG-RI2,176,200$150.8M0.08%
197QUALCOMM INCQCOM1,174,800$149.9M0.07%
198HOME DEPOT INCHD501,900$148.1M0.07%
199PINTEREST INCPINS5,429,700$148.1M0.07%
200ISHARES INC4642864005,392,919$147.7M0.07%
201ISHARES TR4642872261,478,765$147.3M0.07%
202ISHARES TR4642871844,959,588$146.5M0.07%
203ISHARES TR46432F8422,186,054$146.1M0.07%
204BROADCOM INCAVGO227,700$146.1M0.07%
205SPDR SER TR78464A9001,916,600$146.1M0.07%
206DELTA AIR LINES INC DELDAL4,153,900$145.1M0.07%
207ISHARES TR4642891807,745,112$144.8M0.07%
208AMERICAN EXPRESS COAXP876,300$144.5M0.07%
209BLOCK INCBSQKZ2,101,800$144.3M0.07%
210SELECT SECTOR SPDR TR81369Y953954,700$144.2M0.07%
211BANK AMERICA CORP0605059545,037,900$144.1M0.07%
212ALPHABET INCGOOG1,383,192$143.9M0.07%
213TAIWAN SEMICONDUCTOR MFG LTD8740399501,542,900$143.5M0.07%
214AIRBNB INCABNB1,148,500$142.9M0.07%
215ARK ETF TR00214Q9043,526,300$142.3M0.07%
216MERCK & CO INCMRK1,332,500$141.8M0.07%
217LULULEMON ATHLETICA INCLULU389,200$141.7M0.07%
218META PLATFORMS INCMETA665,423$141.0M0.07%
219INTEL CORPINTC4,308,600$140.8M0.07%
220VANGUARD INTL EQUITY INDEX F9220427421,526,638$140.6M0.07%
221MODERNA INCMRNA913,650$140.3M0.07%
222BAIDU INCBAIDF927,100$139.9M0.07%
223SELECT SECTOR SPDR TR81369Y903921,400$139.1M0.07%
224KRANESHARES TR5007679564,444,700$138.6M0.07%
225NEXTERA ENERGY INCNEE-PW1,797,800$138.6M0.07%
226LILLY ELI & COLLY403,200$138.5M0.07%
227SELECT SECTOR SPDR TR81369Y907919,400$137.5M0.07%
228INTEL CORPINTC4,188,900$136.9M0.07%
229MASTERCARD INCORPORATEDMA374,100$136.0M0.07%
230NIKE INCNKE1,105,100$135.5M0.07%
231ACCENTURE PLC IRELANDACN473,100$135.2M0.07%
232PROSHARES TR II74347Y9031,852,900$134.2M0.07%
233ADVANCED MICRO DEVICES INCAMD1,365,349$133.8M0.07%
234BOEING COBA-PA627,920$133.4M0.07%
235MERCADOLIBRE INCMELI101,000$133.1M0.07%
236ISHARES TR46429B7471,339,245$132.9M0.07%
237OCCIDENTAL PETE CORP6745999052,125,200$132.7M0.07%
238VANGUARD INTL EQUITY INDEX F9220428742,172,582$132.4M0.07%
239SEA LTDSE1,514,400$131.1M0.07%
240CATERPILLAR INCCAT560,400$128.2M0.06%
241BP PLCBPPFF3,367,600$127.8M0.06%
242COSTCO WHSL CORP NEW22160K955257,100$127.7M0.06%
243PAYPAL HLDGS INCPYPL1,679,600$127.5M0.06%
244MORGAN STANLEYMS-PQ1,429,500$125.5M0.06%
245THERMO FISHER SCIENTIFIC INCTMO217,400$125.3M0.06%
246TARGET CORPTGT755,000$125.1M0.06%
247STARBUCKS CORPSBUX1,193,700$124.3M0.06%
248PROCTER AND GAMBLE CO742718909832,800$123.8M0.06%
249UNITED PARCEL SERVICE INCUPS637,900$123.7M0.06%
250UNITEDHEALTH GROUP INCUNH260,400$123.1M0.06%
251CONOCOPHILLIPSCOP1,234,200$122.4M0.06%
252APPLE INCAAPL740,309$122.1M0.06%
253VANGUARD WHITEHALL FDS9219469061,152,100$121.5M0.06%
254MODERNA INCMRNA789,600$121.3M0.06%
255COCA COLA COKO1,951,200$121.0M0.06%
256UNITED STS OIL FD LPUNTCW1,817,300$120.7M0.06%
257WYNN RESORTS LTDWYNN1,077,700$120.6M0.06%
258ISHARES INC4642869593,458,800$120.0M0.06%
259SNAP INCSNAP10,693,000$119.9M0.06%
260SERVICENOW INCNOW257,000$119.4M0.06%
261ENPHASE ENERGY INCENPH565,100$118.8M0.06%
262PFIZER INCPFE2,897,500$118.2M0.06%
263ISHARES TR4642889511,360,200$117.6M0.06%
264ADOBE SYSTEMS INCORPORATEDADBE304,800$117.5M0.06%
265VANECK ETF TRUST92189H907422,000$116.9M0.06%
266VANGUARD INTL EQUITY INDEX F9220428582,891,530$116.8M0.06%
267SERVICENOW INCNOW250,800$116.6M0.06%
268ON SEMICONDUCTOR CORPON1,415,805$116.5M0.06%
269MASTERCARD INCORPORATEDMA319,800$116.2M0.06%
270NVIDIA CORPORATIONNVDA417,054$115.8M0.06%
271JOHNSON & JOHNSONJNJ742,800$115.1M0.06%
272ISHARES TR4642872342,902,052$114.5M0.06%
273COMCAST CORP NEWCCZ2,991,813$113.4M0.06%
274SPDR INDEX SHS FDS78463X9522,517,600$113.0M0.06%
275COMCAST CORP NEWCCZ2,980,300$113.0M0.06%
276SCHWAB STRATEGIC TR8085247553,612,954$113.0M0.06%
277DEERE & CODE272,700$112.6M0.06%
278ISHARES TR4642879591,324,100$112.2M0.06%
279SSGA ACTIVE ETF TR78467V6082,692,429$111.6M0.06%
280HONEYWELL INTL INC438516106582,052$111.2M0.06%
281SELECT SECTOR SPDR TR81369Y957740,900$110.8M0.06%
282PFIZER INCPFE2,685,600$109.6M0.05%
283SHELL PLCRYDAF1,923,600$109.5M0.05%
284VANECK ETF TRUST92189F7912,769,168$109.4M0.05%
285GENERAL MTRS CO37045V9002,939,300$107.8M0.05%
286SPDR SER TR78464A3915,061,493$107.4M0.05%
287CHEVRON CORP NEWCVX658,000$107.4M0.05%
288BERKSHIRE HATHAWAY INC DELBRK-A347,400$107.3M0.05%
289ISHARES TR46434V4072,552,553$106.4M0.05%
290COMCAST CORP NEWCCZ2,803,700$106.3M0.05%
291UBS GROUP AGUBS4,980,100$106.3M0.05%
292SCHWAB CHARLES CORPSCHW-PJ2,019,768$105.8M0.05%
293CROWDSTRIKE HLDGS INCCRWD769,500$105.6M0.05%
294AT&T INCT-PC5,488,500$105.6M0.05%
295MARATHON PETE CORPMARA779,700$105.1M0.05%
296ALBEMARLE CORPALB-PA474,300$104.8M0.05%
297PHILIP MORRIS INTL INC7181721091,076,199$104.7M0.05%
298INTERNATIONAL BUSINESS MACHSINTR798,303$104.6M0.05%
299NEXTERA ENERGY INCNEE-PW1,355,600$104.5M0.05%
300HOME DEPOT INCHD350,560$103.5M0.05%
301ADOBE SYSTEMS INCORPORATEDADBE268,100$103.3M0.05%
302VANGUARD INDEX FDS922908953549,900$103.3M0.05%
303FORD MTR CO DEL3453708608,094,572$102.0M0.05%
304VANGUARD INDEX FDS922908903580,100$101.6M0.05%
305CELSIUS HLDGS INCCELH1,087,600$101.1M0.05%
306ISHARES TR464287908812,200$100.8M0.05%
307TAIWAN SEMICONDUCTOR MFG LTD8740399001,083,900$100.8M0.05%
308LOCKHEED MARTIN CORPLMT212,000$100.2M0.05%
309FREEPORT-MCMORAN INCFCX2,425,500$99.2M0.05%
310ABBVIE INCABBV619,500$98.7M0.05%
311ORACLE CORPORCL-PD1,060,100$98.5M0.05%
312DISNEY WALT CO254687106979,809$98.1M0.05%
313LAM RESEARCH CORPLRCX184,400$97.8M0.05%
314VISA INCV431,800$97.4M0.05%
315UBER TECHNOLOGIES INCUBER3,067,843$97.3M0.05%
316FLEXSHARES TRFLEX2,292,631$97.0M0.05%
317MICRON TECHNOLOGY INCMU1,601,703$96.6M0.05%
318UNITED AIRLS HLDGS INCUNTCW2,170,800$96.1M0.05%
319ETSY INCETSY860,200$95.8M0.05%
320VANGUARD WHITEHALL FDS9219468101,298,649$95.7M0.05%
321BROADCOM INCAVGO148,594$95.3M0.05%
322ISHARES TR464288661805,261$94.7M0.05%
323LAS VEGAS SANDS CORPLVS1,648,900$94.7M0.05%
324ISHARES INC46434G9021,605,900$94.3M0.05%
325ALPHABET INCGOOG903,022$93.9M0.05%
326MODERNA INCMRNA611,200$93.9M0.05%
327KEURIG DR PEPPER INCKDP2,633,679$92.9M0.05%
328FEDEX CORPFDX406,600$92.9M0.05%
329ABBOTT LABSABLZF913,000$92.5M0.05%
330WYNN RESORTS LTDWYNN826,000$92.4M0.05%
331ENPHASE ENERGY INCENPH437,800$92.1M0.05%
332FEDEX CORPFDX402,300$91.9M0.05%
333ALIBABA GROUP HLDG LTDBBAAY894,538$91.4M0.05%
334ISHARES TR464287900689,800$91.1M0.05%
335PIMCO ETF TR72201R833916,367$90.9M0.05%
336LOWES COS INC548661957454,800$90.9M0.05%
337DEERE & CODE219,400$90.6M0.05%
338ON HLDG AGH5919C9042,883,600$89.5M0.04%
339CHENIERE ENERGY INCLNG566,900$89.3M0.04%
340METLIFE INCMET-PF1,538,100$89.1M0.04%
341DIAMONDBACK ENERGY INCFANG656,100$88.7M0.04%
342VANECK ETF TRUST92189F4863,550,827$88.7M0.04%
343SELECT SECTOR SPDR TR81369Y909684,200$88.6M0.04%
344UNITED STS NAT GAS FD LPUNTCW12,675,006$88.0M0.04%
345VANGUARD INTL EQUITY INDEX F9220429541,438,100$87.7M0.04%
346INTUITINTU196,200$87.5M0.04%
347DATADOG INCDDOG1,198,900$87.1M0.04%
348ISHARES TR4642889521,239,300$87.1M0.04%
349HONEYWELL INTL INC438516906454,900$86.9M0.04%
350WELLS FARGO CO NEW9497461012,313,145$86.5M0.04%
351GENERAL MTRS CO37045V1002,354,310$86.4M0.04%
352SEA LTDSE993,500$86.0M0.04%
353MONGODB INCMDB367,500$85.7M0.04%
354VANGUARD BD INDEX FDS9219378351,155,520$85.3M0.04%
355VANGUARD INDEX FDS922908909414,600$84.7M0.04%
356SHOALS TECHNOLOGIES GROUP INSHLS3,693,856$84.2M0.04%
357ROKU INCROKU1,278,700$84.2M0.04%
358SPDR SER TR78464A6722,906,951$84.1M0.04%
359SCHLUMBERGER LTDSLB1,712,900$84.1M0.04%
360NIKE INCNKE681,900$83.6M0.04%
361LINDE PLCLIN234,230$83.3M0.04%
362GILEAD SCIENCES INCGILD1,003,300$83.2M0.04%
363SELECT SECTOR SPDR TR81369Y904819,600$82.9M0.04%
364UNITED AIRLS HLDGS INCUNTCW1,872,500$82.9M0.04%
365EATON CORP PLCETN481,700$82.5M0.04%
366ADVANCED MICRO DEVICES INCAMD841,926$82.5M0.04%
367ISHARES TR46432F8591,711,470$80.7M0.04%
368FEDEX CORPFDX352,476$80.5M0.04%
369ISHARES TR46435G6721,635,876$80.1M0.04%
370INSULET CORPPODD250,830$80.0M0.04%
371AMERICAN TOWER CORP NEW03027X900391,400$80.0M0.04%
372PFIZER INCPFE1,949,150$79.5M0.04%
373RHRH325,600$79.3M0.04%
374FIRST REP BK SAN FRANCISCO C33616C9005,606,100$78.4M0.04%
375MARRIOTT INTL INC NEW571903952468,300$77.8M0.04%
376CHURCHILL CAPITAL CORP VII17144M1027,667,182$77.7M0.04%
377ALPHABET INCGOOG745,526$77.3M0.04%
378DOW INCDOW1,406,200$77.1M0.04%
379LILLY ELI & COLLY223,300$76.7M0.04%
380LAM RESEARCH CORPLRCX143,600$76.1M0.04%
381CISCO SYS INCCSCO1,451,500$75.9M0.04%
382ISHARES TR464287906659,200$75.6M0.04%
383VALERO ENERGY CORPVLO540,100$75.4M0.04%
384VANGUARD SCOTTSDALE FDS92206C813943,929$75.3M0.04%
385TAIWAN SEMICONDUCTOR MFG LTD874039100802,432$74.6M0.04%
386DEVON ENERGY CORP NEW25179M9031,467,900$74.3M0.04%
387UBER TECHNOLOGIES INCUBER2,334,847$74.0M0.04%
388AMERICAN EXPRESS COAXP447,800$73.9M0.04%
389RHRH302,700$73.7M0.04%
390INTEL CORPINTC2,253,367$73.6M0.04%
391SPLUNK INC848637904764,300$73.3M0.04%
392ISHARES TR464288679660,916$73.0M0.04%
393LOWES COS INC548661907364,700$72.9M0.04%
394ALCOA CORPAA1,713,300$72.9M0.04%
395CONOCOPHILLIPSCOP730,200$72.4M0.04%
396MICROSTRATEGY INCSTRK247,400$72.3M0.04%
397ISHARES TR4642871842,432,627$71.8M0.04%
398APPLIED MATLS INC038222955582,200$71.5M0.04%
399CACI INTL INC127190954240,100$71.1M0.04%
400ABBVIE INCABBV445,500$71.0M0.04%
401VALERO ENERGY CORPVLO505,200$70.5M0.04%
402GENERAL ELECTRIC CO369604901736,500$70.5M0.04%
403SPDR INDEX SHS FDS78463X9021,568,100$70.4M0.04%
404SELECT SECTOR SPDR TR81369Y959543,300$70.3M0.04%
405HUMANA INCHUM144,300$70.1M0.04%
406JPMORGAN CHASE & COVYLD535,194$69.7M0.03%
407AIR PRODS & CHEMS INCAIIR241,700$69.4M0.03%
408PROSHARES TR II74347Y87019,079,610$68.9M0.03%
409SPDR SER TR78464A870902,578$68.8M0.03%
410ISHARES INC4642869002,511,700$68.8M0.03%
411SIMPLIFY EXCHANGE TRADED FUN82889N8551,127,163$68.7M0.03%
412ISHARES TR46435G3261,135,664$68.7M0.03%
413CUMMINS INCCMI284,148$67.9M0.03%
414FIRST SOLAR INCFSLR311,203$67.7M0.03%
415EOG RES INCEOG589,600$67.6M0.03%
416PALO ALTO NETWORKS INCPANW337,551$67.4M0.03%
417WALMART INCWMT457,000$67.4M0.03%
418MERCADOLIBRE INCMELI50,800$67.0M0.03%
419LAS VEGAS SANDS CORPLVS1,164,500$66.9M0.03%
420ROBLOX CORPRBLX1,484,500$66.8M0.03%
421ISHARES TR46435G102915,343$66.5M0.03%
422BLACKSTONE INCBX756,700$66.5M0.03%
423BLACKROCK INCBLK99,200$66.4M0.03%
424EXELON CORPEXC1,578,286$66.1M0.03%
425VANECK ETF TRUST92189H607237,144$65.7M0.03%
426ISHARES INC46434G8481,535,569$65.6M0.03%
427DIREXION SHS ETF TR25460G909758,400$65.4M0.03%
428JOHNSON & JOHNSONJNJ419,700$65.1M0.03%
429LULULEMON ATHLETICA INCLULU178,200$64.9M0.03%
430LLOYDS BANKING GROUP PLCLLOBF27,930,180$64.8M0.03%
431FREEPORT-MCMORAN INCFCX1,583,343$64.8M0.03%
432BANK AMERICA CORP0605051042,259,734$64.6M0.03%
433WELLS FARGO CO NEW9497469011,725,800$64.5M0.03%
434SEMPRASREA426,746$64.5M0.03%
435PARAMOUNT GLOBAL92556H9562,891,300$64.5M0.03%
436RAYTHEON TECHNOLOGIES CORPRTX657,100$64.3M0.03%
437ISHARES TR464288957704,000$64.2M0.03%
438JD.COM INCJDCMF1,461,151$64.1M0.03%
439S&P GLOBAL INCSPGI185,306$63.9M0.03%
440SOLAREDGE TECHNOLOGIES INCSEDG209,700$63.7M0.03%
441APPLIED MATLS INC038222905518,800$63.7M0.03%
442CROWDSTRIKE HLDGS INCCRWD463,200$63.6M0.03%
443PROSHARES TR74347G9522,160,000$63.4M0.03%
444FIRST TR EXCHNG TRADED FD VI33740F8882,593,781$62.8M0.03%
445ACTIVISION BLIZZARD INC00507V909733,500$62.8M0.03%
446OTIS WORLDWIDE CORPOTIS739,800$62.4M0.03%
447BAIDU INCBAIDF412,400$62.2M0.03%
448EXELON CORPEXC1,468,900$61.5M0.03%
449GOLDMAN SACHS GROUP INCGSCE187,631$61.4M0.03%
450INTERNATIONAL BUSINESS MACHSINTR466,800$61.2M0.03%
451YUM CHINA HLDGS INCYUMC964,559$61.1M0.03%
452UNITED AIRLS HLDGS INCUNTCW1,380,568$61.1M0.03%
453ACTIVISION BLIZZARD INC00507V959713,600$61.1M0.03%
454COMCAST CORP NEWCCZ1,605,823$60.9M0.03%
455INTERNATIONAL PAPER CO4601469031,685,100$60.8M0.03%
456PAYPAL HLDGS INCPYPL799,704$60.7M0.03%
457MARRIOTT INTL INC NEW571903902365,400$60.7M0.03%
458ISHARES SILVER TRSLV2,734,178$60.5M0.03%
4593M COMMM575,300$60.5M0.03%
460NUCOR CORPNUE390,200$60.3M0.03%
461DATADOG INCDDOG823,900$59.9M0.03%
462SPDR S&P MIDCAP 400 ETF TRMDY130,400$59.8M0.03%
463VANGUARD INTL EQUITY INDEX F922042866880,105$59.7M0.03%
464BP PLCBPPFF1,565,400$59.4M0.03%
465ISHARES TR464287242541,157$59.3M0.03%
466EQT CORPEQT1,858,400$59.3M0.03%
467ATLASSIAN CORPORATIONTEAM345,924$59.2M0.03%
468METLIFE INCMET-PF1,018,700$59.0M0.03%
469UNITED STS OIL FD LPUNTCW886,229$58.9M0.03%
470HALLIBURTON COHAL1,851,400$58.6M0.03%
471MICROSTRATEGY INCSTRK200,300$58.6M0.03%
472NICE LTDNCSYF255,500$58.5M0.03%
473KRANESHARES TR5007673061,873,927$58.4M0.03%
474DCP MIDSTREAM LP23311P1001,385,904$57.8M0.03%
475PRUDENTIAL FINL INCPUKPF697,188$57.7M0.03%
476ACTIVISION BLIZZARD INC00507V109672,265$57.5M0.03%
477DIMENSIONAL ETF TRUST25434V2032,120,284$57.1M0.03%
478SELECT SECTOR SPDR TR81369Y950721,700$57.1M0.03%
479JPMORGAN CHASE & COVYLD438,038$57.1M0.03%
480ISHARES TR464288653497,145$56.9M0.03%
481PEABODY ENERGY CORPBTU2,221,100$56.9M0.03%
482AMGEN INCAMGN235,100$56.8M0.03%
483PROSHARES TR74347B9012,031,500$56.8M0.03%
484MOBILEYE GLOBAL INCMBLY1,306,700$56.5M0.03%
485OCCIDENTAL PETE CORP674599105902,712$56.4M0.03%
486VANECK ETF TRUST92189F9011,404,500$55.5M0.03%
487AMERICAN CENTY ETF TR025072703972,185$55.4M0.03%
488BLACKROCK INCBLK82,605$55.3M0.03%
489KLA CORPKLAC138,200$55.2M0.03%
490INTERNATIONAL PAPER CO4601469531,528,400$55.1M0.03%
491NETFLIX INCNFLX159,499$55.1M0.03%
492INVESCO DB US DLR INDEX TRIVZ1,975,700$55.1M0.03%
493ISHARES TR46434V7381,050,643$55.0M0.03%
494QUALCOMM INCQCOM430,744$55.0M0.03%
495ISHARES TR464288273918,212$54.6M0.03%
496STRYKER CORPORATIONSYK190,900$54.5M0.03%
497SCHWAB STRATEGIC TR8085248701,011,085$54.2M0.03%
498BILIBILI INCBLBLF2,301,900$54.1M0.03%
499UNITED RENTALS INCURI135,900$53.8M0.03%
500ISHARES INC4642869561,888,600$53.7M0.03%