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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 Q4 2023 · Filed November 15, 2023 · Accession 0001595888-23-000050

Total Value
$309.41B
Positions
11,967
Other Managers
5
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1SPDR S&P 500 ETF TRSPY49,453,000$21.14B8.13%
2INVESCO QQQ TRIVZ48,649,700$17.43B6.70%
3SPDR S&P 500 ETF TRSPY31,960,200$13.66B5.25%
4TESLA INCTSLA51,642,400$12.92B4.97%
5INVESCO QQQ TRIVZ26,640,500$9.54B3.67%
6TESLA INCTSLA37,751,800$9.45B3.63%
7NVIDIA CORPORATIONNVDA19,955,600$8.68B3.34%
8ISHARES TR46428795554,232,100$8.62B3.31%
9SPDR S&P 500 ETF TRSPY16,231,382$6.94B2.67%
10APPLE INCAAPL35,097,200$6.01B2.31%
11APPLE INCAAPL32,730,100$5.60B2.16%
12AMAZON COM INCAMZN41,845,100$5.32B2.05%
13NVIDIA CORPORATIONNVDA12,194,900$5.30B2.04%
14META PLATFORMS INCMETA14,384,200$4.32B1.66%
15MICROSOFT CORPMSFT11,583,000$3.66B1.41%
16SPDR S&P 500 ETF TRSPY8,334,412$3.56B1.37%
17MICROSOFT CORPMSFT10,236,000$3.23B1.24%
18META PLATFORMS INCMETA10,386,900$3.12B1.20%
19ISHARES TR46428790234,587,000$3.11B1.19%
20AMAZON COM INCAMZN22,695,600$2.89B1.11%
21ISHARES TR46428790517,456,000$2.46B0.95%
22ADVANCED MICRO DEVICES INCAMD19,907,100$2.05B0.79%
23ISHARES TR46428895325,571,400$1.89B0.73%
24ALPHABET INCGOOG13,257,200$1.73B0.67%
25SPDR GOLD TRGLD10,034,000$1.72B0.66%
26INVESCO QQQ TRIVZ4,097,353$1.47B0.56%
27ALPHABET INCGOOG11,037,900$1.44B0.56%
28ISHARES TR46428795215,074,300$1.36B0.52%
29PALO ALTO NETWORKS INCPANW5,670,000$1.33B0.51%
30ISHARES TR46428851315,140,244$1.12B0.43%
31ADVANCED MICRO DEVICES INCAMD10,496,600$1.08B0.42%
32SELECT SECTOR SPDR TR81369Y95611,454,900$975.9M0.38%
33FIRST SOLAR INCFSLR5,946,000$960.8M0.37%
34INVESCO QQQ TRIVZ2,634,079$943.7M0.36%
35ALIBABA GROUP HLDG LTDBBAAY10,632,900$922.3M0.35%
36NVIDIA CORPORATIONNVDA2,105,067$915.7M0.35%
37ALPHABET INCGOOG6,431,500$848.0M0.33%
38ALPHABET INCGOOG6,159,200$812.1M0.31%
39NETFLIX INCNFLX2,115,500$798.8M0.31%
40T-MOBILE US INCTMUSZ5,472,200$766.4M0.29%
41SPDR DOW JONES INDL AVERAGE78467X9092,047,000$685.6M0.26%
42VANECK ETF TRUST92189F95614,829,900$678.9M0.26%
43EXXON MOBIL CORPXOM5,770,400$678.5M0.26%
44NETFLIX INCNFLX1,770,900$668.7M0.26%
45VANGUARD INTL EQUITY INDEX F92204287411,406,355$660.8M0.25%
46FIRST SOLAR INCFSLR4,070,000$657.7M0.25%
47EXXON MOBIL CORPXOM5,260,300$618.5M0.24%
48BROADCOM INCAVGO733,800$609.5M0.23%
49SELECT SECTOR SPDR TR81369Y9066,911,300$586.6M0.23%
50ISHARES TR46428795417,540,900$577.2M0.22%
51ALIBABA GROUP HLDG LTDBBAAY6,508,200$564.5M0.22%
52SPDR S&P 500 ETF TRSPY1,273,600$544.4M0.21%
53BOEING COBA-PA2,779,900$532.9M0.20%
54ISHARES INC46434G10311,152,855$530.8M0.20%
55ISHARES TR46428795414,843,200$528.5M0.20%
56BRISTOL-MYERS SQUIBB COCELG-RI9,000,000$522.4M0.20%
57BRISTOL-MYERS SQUIBB COCELG-RI9,000,000$522.4M0.20%
58APPLE INCAAPL3,019,507$517.0M0.20%
59SPDR S&P 500 ETF TRSPY1,205,200$515.2M0.20%
60ALBEMARLE CORPALB-PA3,006,900$511.3M0.20%
61TESLA INCTSLA2,042,364$511.0M0.20%
62ISHARES TR46428790413,376,500$490.0M0.19%
63VANECK ETF TRUST92189F90611,261,900$489.2M0.19%
64PDD HOLDINGS INCPDD4,844,500$475.1M0.18%
65ROYAL CARIBBEAN GROUPV7780T9535,016,200$462.2M0.18%
66BANK AMERICA CORP06050595416,301,400$446.3M0.17%
67ELI LILLY & COLLY824,900$443.1M0.17%
68ISHARES TR46428723411,592,083$439.9M0.17%
69APPLE INCAAPL2,553,280$437.1M0.17%
70HOME DEPOT INCHD1,410,100$426.1M0.16%
71SPDR SER TR78464A9589,337,300$413.5M0.16%
72ISHARES SILVER TRSLV20,249,200$411.9M0.16%
73UBER TECHNOLOGIES INCUBER8,930,200$410.7M0.16%
74SALESFORCE INCCRM2,023,900$410.4M0.16%
75BROADCOM INCAVGO494,100$410.4M0.16%
76UBER TECHNOLOGIES INCUBER8,872,382$408.0M0.16%
77VANGUARD INTL EQUITY INDEX F92204285810,253,271$402.0M0.15%
78JPMORGAN CHASE & COVYLD2,770,300$401.7M0.15%
79UNITEDHEALTH GROUP INCUNH787,300$396.9M0.15%
80PALO ALTO NETWORKS INCPANW1,678,331$393.5M0.15%
81SNOWFLAKE INCSNOW2,512,500$383.8M0.15%
82SPDR DOW JONES INDL AVERAGE78467X9591,139,000$381.5M0.15%
83SHOPIFY INCSHOP6,793,000$370.7M0.14%
84ISHARES TR4642879502,710,200$369.2M0.14%
85VANGUARD CHARLOTTE FDS92203J4077,702,197$368.4M0.14%
86SPDR SER TR78468R6224,071,184$368.0M0.14%
87ISHARES TR4642874324,040,041$358.3M0.14%
88ALIBABA GROUP HLDG LTDBBAAY4,085,193$354.3M0.14%
89ADOBE INCADBE681,100$347.3M0.13%
90BOOKING HOLDINGS INCBKNG111,500$343.9M0.13%
91BERKSHIRE HATHAWAY INC DELBRK-A960,400$336.4M0.13%
92UNITED STS OIL FD LPUNTCW4,092,800$330.9M0.13%
93JOHNSON & JOHNSONJNJ2,123,800$330.8M0.13%
94PALO ALTO NETWORKS INCPANW1,406,900$329.8M0.13%
95ELI LILLY & COLLY610,100$327.7M0.13%
96SPDR SER TR78468R9562,208,200$326.6M0.13%
97ISHARES TR4642874654,693,354$323.5M0.12%
98NVIDIA CORPORATIONNVDA737,557$320.8M0.12%
99BOEING COBA-PA1,657,800$317.8M0.12%
100ISHARES TR4642876551,759,989$311.1M0.12%
101SPDR SER TR78464A9504,236,800$309.4M0.12%
102ORACLE CORPORCL-PD2,907,100$307.9M0.12%
103KENVUE INCKVUE15,288,374$307.0M0.12%
104ADOBE INCADBE601,900$306.9M0.12%
105CHEVRON CORP NEWCVX1,817,156$306.4M0.12%
106FREEPORT-MCMORAN INCFCX8,150,900$303.9M0.12%
107DISNEY WALT CO2546879563,692,600$299.3M0.12%
108TESLA INCTSLA1,168,869$292.5M0.11%
109SELECT SECTOR SPDR TR81369Y9558,744,100$290.0M0.11%
110BOOKING HOLDINGS INCBKNG93,500$288.3M0.11%
111COSTCO WHSL CORP NEW22160K905501,500$283.3M0.11%
112ISHARES TR4642879553,881,600$283.2M0.11%
113CHIPOTLE MEXICAN GRILL INCCMG153,400$281.0M0.11%
114AMAZON COM INCAMZN2,202,831$280.0M0.11%
115VANGUARD INTL EQUITY INDEX F9220427422,966,780$276.4M0.11%
116SELECT SECTOR SPDR TR81369Y9531,674,700$274.5M0.11%
117ALPHABET INCGOOG2,074,655$273.5M0.11%
118DIMENSIONAL ETF TRUST25434V8078,327,832$271.7M0.10%
119MONGODB INCMDB783,900$271.1M0.10%
120CELSIUS HLDGS INCCELH1,572,300$269.8M0.10%
121MICRON TECHNOLOGY INCMU3,952,600$268.9M0.10%
122ISHARES TR4642874323,000,520$266.1M0.10%
123WELLS FARGO CO NEW9497469516,499,900$265.6M0.10%
124SNOWFLAKE INCSNOW1,725,500$263.6M0.10%
125S&P GLOBAL INCSPGI718,400$262.5M0.10%
126INTEL CORPINTC7,357,800$261.6M0.10%
127COSTCO WHSL CORP NEW22160K955460,900$260.4M0.10%
128CITIGROUP INCC-PR6,259,600$257.5M0.10%
129ALIBABA GROUP HLDG LTDBBAAY2,951,645$256.0M0.10%
130ISHARES TR4642874653,701,722$255.1M0.10%
131QUALCOMM INCQCOM2,294,900$254.9M0.10%
132VANECK ETF TRUST92189H957737,700$254.5M0.10%
133OCCIDENTAL PETE CORP6745999553,918,400$254.2M0.10%
134AIRBNB INCABNB1,840,000$252.5M0.10%
135ISHARES INC46434G7725,647,555$251.6M0.10%
136SPDR INDEX SHS FDS78463X2025,947,086$249.8M0.10%
137ADVANCED MICRO DEVICES INCAMD2,366,170$243.3M0.09%
138ISHARES TR4642882572,593,758$239.6M0.09%
139VISA INCV1,034,800$238.0M0.09%
140OCCIDENTAL PETE CORP6745999053,635,700$235.9M0.09%
141ZILLOW GROUP INCZ5,032,300$232.3M0.09%
142SPDR GOLD TRGLD1,349,900$231.4M0.09%
143MONGODB INCMDB664,700$229.9M0.09%
144NETFLIX INCNFLX607,987$229.6M0.09%
145CROWDSTRIKE HLDGS INCCRWD1,366,200$228.7M0.09%
146GOLDMAN SACHS GROUP INCGSCE706,700$228.7M0.09%
147GOLDMAN SACHS GROUP INCGSCE701,500$227.0M0.09%
148SELECT SECTOR SPDR TR81369Y9542,219,800$225.0M0.09%
149BERKSHIRE HATHAWAY INC DELBRK-A638,400$223.6M0.09%
150SELECT SECTOR SPDR TR81369Y9031,363,900$223.6M0.09%
151TARGET CORPTGT2,008,300$222.1M0.09%
152ISHARES TR4642889572,400,000$221.7M0.09%
153ALPHABET INCGOOG1,692,815$221.5M0.09%
154MASTERCARD INCORPORATEDMA558,700$221.2M0.09%
155CHIPOTLE MEXICAN GRILL INCCMG120,100$220.0M0.08%
156BLACKSTONE INCBX2,027,600$217.2M0.08%
157FREEPORT-MCMORAN INCFCX5,807,100$216.5M0.08%
158MICROSOFT CORPMSFT680,481$214.9M0.08%
159CITIGROUP INCC-PR5,216,600$214.6M0.08%
160JOHNSON & JOHNSONJNJ1,369,165$213.2M0.08%
161FORD MTR CO DEL34537095017,069,000$212.0M0.08%
162ARK ETF TR00214Q9545,340,200$211.8M0.08%
163APPLIED MATLS INC0382229551,529,000$211.7M0.08%
164NIKE INCNKE2,164,500$207.0M0.08%
165DATADOG INCDDOG2,270,400$206.8M0.08%
166VANECK ETF TRUST92189F6761,423,130$206.3M0.08%
167UNITED PARCEL SERVICE INCUPS1,314,400$204.9M0.08%
168SELECT SECTOR SPDR TR81369Y9056,141,200$203.7M0.08%
169MORGAN STANLEYMS-PQ2,492,100$203.5M0.08%
170PROSHARES TR74347B2015,135,626$201.4M0.08%
171SPDR SER TR78464A9084,387,600$198.9M0.08%
172CHEVRON CORP NEWCVX1,179,300$198.9M0.08%
173SPDR INDEX SHS FDS78463X8896,408,331$198.7M0.08%
174AMAZON COM INCAMZN1,557,091$197.9M0.08%
175TAIWAN SEMICONDUCTOR MFG LTD8740399502,252,800$195.8M0.08%
176MASTERCARD INCORPORATEDMA493,500$195.4M0.08%
177INTEL CORPINTC5,495,200$195.4M0.08%
178ACTIVISION BLIZZARD INC00507V9092,068,600$193.7M0.07%
179MERCADOLIBRE INCMELI152,400$193.2M0.07%
180PDD HOLDINGS INCPDD1,964,200$192.6M0.07%
181SCHWAB CHARLES CORPSCHW-PJ3,507,500$192.6M0.07%
182CHARTER COMMUNICATIONS INC N16119P908435,100$191.4M0.07%
183ISHARES TR4642889032,568,900$189.4M0.07%
184SHOPIFY INCSHOP3,461,200$188.9M0.07%
185DATADOG INCDDOG2,058,200$187.5M0.07%
186INVESCO EXCHANGE TRADED FD TIVZ1,315,500$186.4M0.07%
187UNION PAC CORPUNP896,000$182.5M0.07%
188DIAMONDBACK ENERGY INCFANG1,176,500$182.2M0.07%
189METLIFE INCMET-PF2,891,400$181.9M0.07%
190FEDEX CORPFDX681,600$180.6M0.07%
191PROSHARES TR74347X9515,008,700$178.4M0.07%
192CROWDSTRIKE HLDGS INCCRWD1,055,400$176.7M0.07%
193CISCO SYS INCCSCO3,283,900$176.5M0.07%
194PALANTIR TECHNOLOGIES INCPLTR11,010,538$176.2M0.07%
195HOME DEPOT INCHD583,000$176.2M0.07%
196VANECK ETF TRUST92189H907510,300$176.1M0.07%
197MARVELL TECHNOLOGY INCMRVL3,209,300$173.7M0.07%
198BRISTOL-MYERS SQUIBB COCELG-RI2,987,657$173.4M0.07%
199DISNEY WALT CO2546879062,133,000$172.9M0.07%
200AIRBNB INCABNB1,252,300$171.8M0.07%
201COINBASE GLOBAL INCCOIN2,250,800$169.0M0.06%
202SALESFORCE INCCRM831,100$168.5M0.06%
203BP PLCBPPFF4,350,600$168.5M0.06%
204CATERPILLAR INCCAT602,000$164.3M0.06%
205PULTE GROUP INC7458679012,218,300$164.3M0.06%
206INVESCO EXCHANGE TRADED FD TIVZ1,150,500$163.0M0.06%
207MICROSOFT CORPMSFT515,157$162.7M0.06%
208PALANTIR TECHNOLOGIES INCPLTR10,151,900$162.4M0.06%
209COINBASE GLOBAL INCCOIN2,155,100$161.8M0.06%
210AMERICAN EXPRESS COAXP1,082,100$161.4M0.06%
211SPDR SER TR78468R6067,166,495$160.7M0.06%
212ROYAL CARIBBEAN GROUPV7780T9031,743,000$160.6M0.06%
213ISHARES TR4642886791,444,212$159.5M0.06%
214GENERAL MTRS CO37045V9504,830,800$159.3M0.06%
215TARGET CORPTGT1,439,400$159.2M0.06%
216SPDR SER TR78468R9061,066,000$157.7M0.06%
217SCHWAB CHARLES CORPSCHW-PJ2,870,800$157.6M0.06%
218EXXON MOBIL CORPXOM1,339,303$157.5M0.06%
219ISHARES INC4642866083,722,131$157.2M0.06%
220WALMART INCWMT981,700$157.0M0.06%
221PAYPAL HLDGS INCPYPL2,668,100$156.0M0.06%
222DIAMONDBACK ENERGY INCFANG996,300$154.3M0.06%
223MICROCHIP TECHNOLOGY INC.MCHPP1,976,500$154.3M0.06%
224SELECT SECTOR SPDR TR81369Y957950,700$153.0M0.06%
225ALPHABET INCGOOG1,169,479$153.0M0.06%
226UBER TECHNOLOGIES INCUBER3,313,700$152.4M0.06%
227JOHNSON & JOHNSONJNJ977,700$152.3M0.06%
228CISCO SYS INCCSCO2,806,300$150.9M0.06%
229ISHARES INC4642869504,918,400$150.8M0.06%
230SELECT SECTOR SPDR TR81369Y9041,482,900$150.3M0.06%
231MICROCHIP TECHNOLOGY INC.MCHPP1,914,800$149.5M0.06%
232BLOCK INCBSQKZ3,351,700$148.3M0.06%
233ISHARES TR4642879091,901,200$148.3M0.06%
234APPLIED MATLS INC0382229051,067,600$147.8M0.06%
235TEXAS INSTRS INC882508904926,200$147.3M0.06%
236APOLLO GLOBAL MGMT INC03769M1061,590,391$142.8M0.05%
237INTERNATIONAL BUSINESS MACHSINTR1,015,100$142.4M0.05%
238PAYPAL HLDGS INCPYPL2,425,400$141.8M0.05%
239NEWMONT CORPNEMCL3,835,928$141.7M0.05%
240LULULEMON ATHLETICA INCLULU364,774$140.7M0.05%
241KRANESHARES TR5007679565,099,500$139.6M0.05%
242JPMORGAN CHASE & COVYLD960,756$139.3M0.05%
243BANK AMERICA CORP0605051045,021,896$137.5M0.05%
244LI AUTO INCLAAOF3,854,100$137.4M0.05%
245SPLUNK INC848637904937,100$137.1M0.05%
246MERCK & CO INCMRK1,326,300$136.5M0.05%
247MARATHON PETE CORPMARA896,000$135.6M0.05%
248CARVANA COCVNA3,223,200$135.3M0.05%
249JPMORGAN CHASE & COVYLD922,300$133.8M0.05%
250SPDR GOLD TRGLD777,243$133.3M0.05%
251THERMO FISHER SCIENTIFIC INCTMO261,800$132.5M0.05%
252KRANESHARES TR5007679064,797,400$131.3M0.05%
253ROKU INCROKU1,854,300$130.9M0.05%
254ZTO EXPRESS CAYMAN INCZTOEF5,406,000$130.7M0.05%
255DISNEY WALT CO2546871061,607,686$130.3M0.05%
256QUALCOMM INCQCOM1,172,300$130.2M0.05%
257SELECT SECTOR SPDR TR81369Y907808,500$130.2M0.05%
258LAM RESEARCH CORPLRCX207,400$130.0M0.05%
259MERCADOLIBRE INCMELI102,200$129.6M0.05%
260BANK AMERICA CORP0605059044,723,600$129.3M0.05%
261TAIWAN SEMICONDUCTOR MFG LTD8740399001,484,700$129.0M0.05%
262FIRST SOLAR INCFSLR789,721$127.6M0.05%
263PALANTIR TECHNOLOGIES INCPLTR7,848,900$125.6M0.05%
264CONOCOPHILLIPSCOP1,044,600$125.1M0.05%
265ISHARES TR46434V7382,515,961$124.9M0.05%
266SPDR SER TR78464A9001,708,300$124.7M0.05%
267MCDONALDS CORPMCD470,900$124.1M0.05%
268MICRON TECHNOLOGY INCMU1,821,700$123.9M0.05%
269ETSY INCETSY1,917,600$123.8M0.05%
270ARK ETF TR00214Q1043,109,188$123.3M0.05%
271THE TRADE DESK INC88339J1051,575,864$123.2M0.05%
272ROPER TECHNOLOGIES INCROP253,603$122.8M0.05%
273RHRH462,600$122.3M0.05%
274J P MORGAN EXCHANGE TRADED F46641Q7463,251,056$121.1M0.05%
275ABBVIE INCABBV812,000$121.0M0.05%
276SEA LTDSE2,747,700$120.8M0.05%
277ORACLE CORPORCL-PD1,138,900$120.6M0.05%
278KKR & CO INCKKRT1,935,616$119.2M0.05%
279ALBEMARLE CORPALB-PA699,300$118.9M0.05%
280ISHARES TR4642871844,401,227$116.8M0.04%
281DOORDASH INCDASH1,468,500$116.7M0.04%
282DIMENSIONAL ETF TRUST25434V8805,179,874$116.7M0.04%
283BP PLCBPPFF3,012,100$116.6M0.04%
284HOME DEPOT INCHD385,221$116.4M0.04%
285ASML HOLDING N VASMLF197,400$116.2M0.04%
286ISHARES TR46432F8421,804,506$116.1M0.04%
287SELECT SECTOR SPDR TR81369Y8861,957,221$115.3M0.04%
288SNAP INCSNAP12,919,600$115.1M0.04%
289DEERE & CODE305,000$115.1M0.04%
290ISHARES INC4642869593,388,100$113.4M0.04%
291VANGUARD WHITEHALL FDS9219469061,094,700$113.1M0.04%
292UNITEDHEALTH GROUP INCUNH224,300$113.1M0.04%
293CONOCOPHILLIPSCOP928,200$111.2M0.04%
294PROCTER AND GAMBLE CO742718909761,600$111.1M0.04%
295ISHARES TR4642871844,177,052$110.8M0.04%
296PFIZER INCPFE3,333,700$110.6M0.04%
297DBX ETF TR2330518794,221,865$109.8M0.04%
298INVESCO EXCH TRADED FD TR IIIVZ2,100,482$108.8M0.04%
299ISHARES TR4642882811,314,492$108.5M0.04%
300KE HLDGS INCBEKE6,965,700$108.1M0.04%
301SELECT SECTOR SPDR TR81369Y9501,584,000$107.8M0.04%
302BROADCOM INCAVGO129,381$107.5M0.04%
303PFIZER INCPFE3,222,600$106.9M0.04%
304HCA HEALTHCARE INCHCA433,300$106.6M0.04%
305ADOBE INCADBE208,462$106.3M0.04%
306VISA INCV459,600$105.7M0.04%
307BALL CORPBALL2,116,783$105.4M0.04%
308META PLATFORMS INCMETA349,983$105.1M0.04%
309ISHARES TR464288661925,350$104.7M0.04%
310SYNOPSYS INCSNPS228,000$104.6M0.04%
311LAM RESEARCH CORPLRCX166,000$104.0M0.04%
312AMGEN INCAMGN386,200$103.8M0.04%
313PEPSICO INCPEP609,300$103.2M0.04%
314SOUTHERN COSOMN1,590,600$102.9M0.04%
315SERVICENOW INCNOW182,500$102.0M0.04%
316UNITED STS OIL FD LPUNTCW1,256,200$101.6M0.04%
317COCA COLA COKO1,813,999$101.5M0.04%
318VEEVA SYS INCVEEV497,496$101.2M0.04%
319TEXAS INSTRS INC882508954636,200$101.2M0.04%
320METLIFE INCMET-PF1,603,000$100.8M0.04%
321SHELL PLCRYDAF1,580,200$100.5M0.04%
322SPDR SER TR78464A9551,914,000$100.5M0.04%
323VANGUARD SCOTTSDALE FDS92206C8701,322,392$100.5M0.04%
324INTUITINTU196,600$100.5M0.04%
325BAIDU INCBAIDF747,400$100.4M0.04%
326CENCORA INCCOR556,200$100.1M0.04%
327BLACKSTONE INCBX933,600$100.0M0.04%
328AMGEN INCAMGN371,778$99.9M0.04%
329COMCAST CORP NEWCCZ2,251,600$99.8M0.04%
330PALO ALTO NETWORKS INCPANW422,492$99.0M0.04%
331ADOBE INCADBE193,425$98.6M0.04%
332MARATHON PETE CORPMARA650,276$98.4M0.04%
333CARNIVAL CORPCUKPF7,170,700$98.4M0.04%
334SEA LTDSE2,230,800$98.0M0.04%
335PROCTER AND GAMBLE CO742718109663,880$96.8M0.04%
336CHEVRON CORP NEWCVX571,694$96.4M0.04%
337LOCKHEED MARTIN CORPLMT234,800$96.0M0.04%
338VANGUARD WHITEHALL FDS9219467941,548,289$95.8M0.04%
339GENERAL MTRS CO37045V9002,905,400$95.8M0.04%
340SELECT SECTOR SPDR TR81369Y9001,247,900$95.7M0.04%
341DEERE & CODE252,400$95.3M0.04%
342PROSHARES TR74347G9006,765,500$95.1M0.04%
343CITIGROUP INCC-PR2,310,702$95.0M0.04%
344HALLIBURTON COHAL2,331,000$94.4M0.04%
345INVESCO QQQ TRIVZ263,200$94.3M0.04%
346CENCORA INCCOR523,667$94.2M0.04%
347MORGAN STANLEYMS-PQ1,149,400$93.9M0.04%
348UNITY SOFTWARE INCU2,967,100$93.1M0.04%
349PROSHARES TR II74347Y9031,558,365$92.9M0.04%
350ABBVIE INCABBV619,300$92.3M0.04%
351T-MOBILE US INCTMUSZ658,585$92.2M0.04%
352MARRIOTT INTL INC NEW571903952467,500$91.9M0.04%
353ISHARES TR46435G3342,899,588$91.7M0.04%
354KRANESHARES TR5007673063,325,112$91.0M0.04%
355VALERO ENERGY CORPVLO633,700$89.8M0.03%
356APOLLO GLOBAL MGMT INC03769M9561,000,000$89.8M0.03%
357SELECT SECTOR SPDR TR81369Y909697,000$89.7M0.03%
358ISHARES TR464287648400,000$89.7M0.03%
359ASML HOLDING N VASMLF152,100$89.5M0.03%
360INTEL CORPINTC2,506,636$89.1M0.03%
361HUMANA INCHUM182,900$89.0M0.03%
362WALMART INCWMT556,100$88.9M0.03%
363SPDR GOLD TRGLD516,275$88.5M0.03%
364ENPHASE ENERGY INCENPH733,000$88.1M0.03%
365ISHARES TR4642889521,121,700$88.0M0.03%
366VANGUARD SCOTTSDALE FDS92206C8131,225,748$87.8M0.03%
367ISHARES TR464287242856,885$87.4M0.03%
368RIVIAN AUTOMOTIVE INCRIVN3,600,000$87.4M0.03%
369AIRBNB INCABNB636,133$87.3M0.03%
370ISHARES TR464287900328,600$87.2M0.03%
371ISHARES INC464286525913,788$87.2M0.03%
372MORGAN STANLEYMS-PQ1,064,915$87.0M0.03%
373ARK ETF TR00214Q9042,175,800$86.3M0.03%
374STARBUCKS CORPSBUX942,200$86.0M0.03%
375ROKU INCROKU1,211,600$85.5M0.03%
376SCHLUMBERGER LTDSLB1,463,500$85.3M0.03%
377MICROSTRATEGY INCSTRK259,400$85.2M0.03%
378COSTCO WHSL CORP NEW22160K105150,134$84.8M0.03%
379THERMO FISHER SCIENTIFIC INCTMO166,300$84.2M0.03%
380MODERNA INCMRNA813,100$84.0M0.03%
381VANECK ETF TRUST92189F1063,120,003$84.0M0.03%
382VANGUARD STAR FDS9219097681,568,255$83.9M0.03%
383UNITED AIRLS HLDGS INCUNTCW1,983,100$83.9M0.03%
384ENPHASE ENERGY INCENPH697,300$83.8M0.03%
385DRAFTKINGS INC NEWDKNG2,845,000$83.8M0.03%
386PROSHARES TR74347G9024,082,200$83.4M0.03%
387JD.COM INCJDCMF2,847,856$83.0M0.03%
388DUKE ENERGY CORP NEWDUKB930,400$82.1M0.03%
389ISHARES TR4642879591,047,200$81.9M0.03%
390CATERPILLAR INCCAT299,800$81.8M0.03%
391PEPSICO INCPEP480,600$81.4M0.03%
392THE TRADE DESK INC88339J9051,040,100$81.3M0.03%
393BOOKING HOLDINGS INCBKNG26,213$80.8M0.03%
394UNITED STS NAT GAS FD LPUNTCW11,764,907$80.4M0.03%
395FORD MTR CO DEL3453708606,460,502$80.2M0.03%
396DOLLAR GEN CORP NEW256677955753,700$79.7M0.03%
397JD.COM INCJDCMF2,732,600$79.6M0.03%
398SUPER MICRO COMPUTER INCSMCI289,400$79.4M0.03%
399SPLUNK INC848637954541,500$79.2M0.03%
400SALESFORCE INCCRM390,506$79.2M0.03%
401KE HLDGS INCBEKE5,101,600$79.2M0.03%
402INTUITINTU154,300$78.8M0.03%
403BLOCK INCBSQKZ1,774,700$78.5M0.03%
404WALMART INCWMT487,007$77.9M0.03%
405COMCAST CORP NEWCCZ1,755,163$77.8M0.03%
406SOFI TECHNOLOGIES INCSOFI9,732,400$77.8M0.03%
407VISA INCV336,102$77.3M0.03%
408NOVO-NORDISK A SNONOF848,154$77.1M0.03%
409WAYFAIR INCW1,272,900$77.1M0.03%
410AMERICAN EXPRESS COAXP511,100$76.3M0.03%
411ISHARES INC4642869002,471,500$75.7M0.03%
412THE TRADE DESK INC88339J955965,500$75.5M0.03%
413SPDR SER TR78464A9541,232,000$75.0M0.03%
414RHRH283,300$74.9M0.03%
415SUNCOR ENERGY INC NEWSU2,178,200$74.9M0.03%
416PROSHARES TR74347B9011,907,100$74.8M0.03%
417FIDELITY MERRIMACK STR TR3161883091,713,101$74.6M0.03%
418PG&E CORPPCG-PX4,614,726$74.4M0.03%
419LI AUTO INCLAAOF2,077,282$74.1M0.03%
420HSBC HLDGS PLCHBCYF1,872,526$73.9M0.03%
421NEXTERA ENERGY INCNEE-PW1,279,400$73.3M0.03%
422WELLS FARGO CO NEW9497461011,793,244$73.3M0.03%
423MORGAN STANLEYMS-PQ892,014$72.9M0.03%
424BAIDU INCBAIDF534,300$71.8M0.03%
425COCA COLA COKO1,280,900$71.7M0.03%
426ISHARES TR46429B903721,600$71.4M0.03%
427NETFLIX INCNFLX188,795$71.3M0.03%
428JD.COM INCJDCMF2,440,800$71.1M0.03%
429MODERNA INCMRNA686,200$70.9M0.03%
430DEVON ENERGY CORP NEW25179M9531,483,200$70.7M0.03%
431MICROSTRATEGY INCSTRK215,500$70.7M0.03%
432ISHARES TR464288885818,292$70.6M0.03%
433ISHARES TR46434V4071,720,768$70.6M0.03%
434FEDEX CORPFDX266,100$70.5M0.03%
435CLOUDFLARE INCNET1,116,400$70.4M0.03%
436AMERICAN AIRLS GROUP INC02376R9525,486,400$70.3M0.03%
437NOVO-NORDISK A SNONOF768,900$69.9M0.03%
438SCHLUMBERGER LTDSLB1,198,097$69.8M0.03%
439NXP SEMICONDUCTORS N VNXPI349,000$69.8M0.03%
440ZILLOW GROUP INCZ1,510,497$69.7M0.03%
441ISHARES TR4642882401,482,126$69.7M0.03%
442GENERAL MTRS CO37045V1002,105,848$69.4M0.03%
443ISHARES TR46434V9011,401,100$69.4M0.03%
444CVS HEALTH CORPCVS993,300$69.4M0.03%
445ISHARES INC4642864002,248,222$69.0M0.03%
446ISHARES TR464288653700,065$68.9M0.03%
447SYNOPSYS INCSNPS150,100$68.9M0.03%
448DELTA AIR LINES INC DELDAL1,850,300$68.5M0.03%
449BERKSHIRE HATHAWAY INC DELBRK-A194,647$68.2M0.03%
450PIONEER NAT RES CO723787107297,002$68.2M0.03%
451NIKE INCNKE709,600$67.9M0.03%
452DOORDASH INCDASH851,563$67.7M0.03%
453SPDR SER TR78464A9041,111,500$67.6M0.03%
454LOWES COS INC548661907323,900$67.3M0.03%
455SPDR INDEX SHS FDS78463X9521,602,400$67.3M0.03%
456CARVANA COCVNA1,600,500$67.2M0.03%
457UNITED STS OIL FD LPUNTCW825,580$66.8M0.03%
458SERVICENOW INCNOW118,700$66.3M0.03%
459NICE LTDNCSYF390,000$66.3M0.03%
460ISHARES TR46436E718657,739$66.2M0.03%
461PAYPAL HLDGS INCPYPL1,130,366$66.1M0.03%
462SHELL PLCRYDAF1,034,600$65.8M0.03%
463INTUITINTU128,563$65.7M0.03%
464UNITEDHEALTH GROUP INCUNH130,235$65.7M0.03%
465VERIZON COMMUNICATIONS INCVZ2,011,500$65.2M0.03%
466CRH PLCCRH1,186,440$64.9M0.02%
467PINTEREST INCPINS2,396,400$64.8M0.02%
468DEVON ENERGY CORP NEW25179M9031,350,800$64.4M0.02%
469HUMANA INCHUM131,700$64.1M0.02%
470DANAHER CORPORATION235851102258,171$64.1M0.02%
471TECK RESOURCES LTDTCKRF1,472,800$63.5M0.02%
472ZOETIS INCZTS364,400$63.4M0.02%
473KRANESHARES TR5007673062,316,070$63.4M0.02%
474ZSCALER INCZS407,300$63.4M0.02%
475SPDR S&P MIDCAP 400 ETF TRMDY138,500$63.2M0.02%
476BROADCOM INCAVGO75,835$63.0M0.02%
477ASTRAZENECA PLCAZN929,500$62.9M0.02%
478CATERPILLAR INCCAT230,425$62.9M0.02%
479ISHARES INC4642867071,748,070$62.2M0.02%
480BLACKSTONE INCBX578,984$62.0M0.02%
481ABBVIE INCABBV415,227$61.9M0.02%
482CVS HEALTH CORPCVS886,042$61.9M0.02%
483SUPER MICRO COMPUTER INCSMCI225,300$61.8M0.02%
484DOW INCDOW1,193,900$61.6M0.02%
485QUALCOMM INCQCOM552,953$61.4M0.02%
486NEXTERA ENERGY INCNEE-PW1,067,700$61.2M0.02%
487ALPHABET INCGOOG463,196$61.1M0.02%
488STARBUCKS CORPSBUX661,400$60.4M0.02%
489SPDR INDEX SHS FDS78463X9021,432,900$60.2M0.02%
490ISHARES GOLD TRIAU1,715,856$60.0M0.02%
491VANGUARD INDEX FDS922908903266,400$59.7M0.02%
492PIMCO ETF TR72201R833594,278$59.5M0.02%
493SELECT SECTOR SPDR TR81369Y209462,051$59.5M0.02%
494UNITED PARCEL SERVICE INCUPS381,300$59.4M0.02%
495SPDR SER TR78464A714975,500$59.4M0.02%
496ACCENTURE PLC IRELANDACN192,800$59.2M0.02%
497CATERPILLAR INCCAT216,456$59.1M0.02%
498WELLS FARGO CO NEW9497461011,441,563$58.9M0.02%
499ETF SER SOLUTIONS26922A8423,457,472$58.9M0.02%
500MICRON TECHNOLOGY INCMU852,058$58.0M0.02%