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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 2025 · Filed August 14, 2025 · Accession 0001595888-25-000117

Total Value
$505.64B
Positions
13,538
Other Managers
6
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1SPDR S&P 500 ETF TRSPY67,707,600$41.83B9.60%
2SPDR S&P 500 ETF TRSPY59,278,900$36.63B8.40%
3NVIDIA CORPORATIONNVDA134,066,400$21.18B4.86%
4TESLA INCTSLA49,352,000$15.68B3.60%
5INVESCO QQQ TRIVZ27,688,200$15.27B3.50%
6INVESCO QQQ TRIVZ26,847,900$14.81B3.40%
7NVIDIA CORPORATIONNVDA81,945,200$12.95B2.97%
8META PLATFORMS INCMETA14,068,100$10.38B2.38%
9TESLA INCTSLA32,180,900$10.22B2.34%
10ISHARES TR46428765547,175,900$10.18B2.34%
11ISHARES TR46428765534,916,500$7.53B1.73%
12META PLATFORMS INCMETA8,146,900$6.01B1.38%
13SPDR GOLD TRGLD17,630,900$5.37B1.23%
14MICROSOFT CORPMSFT10,497,700$5.22B1.20%
15MICROSTRATEGY INCSTRK11,349,000$4.59B1.05%
16APPLE INCAAPL22,219,600$4.56B1.05%
17AMAZON COM INCAMZN20,206,000$4.43B1.02%
18APPLE INCAAPL18,138,400$3.72B0.85%
19MICROSTRATEGY INCSTRK8,858,000$3.58B0.82%
20ISHARES TR46428743238,190,900$3.37B0.77%
21MICROSOFT CORPMSFT6,634,000$3.30B0.76%
22SPDR GOLD TRGLD10,774,000$3.28B0.75%
23TAIWAN SEMICONDUCTOR MFG LTD87403910013,652,100$3.09B0.71%
24AMAZON COM INCAMZN13,830,000$3.03B0.70%
25BROADCOM INCAVGO9,863,900$2.72B0.62%
26ALPHABET INCGOOG14,831,300$2.61B0.60%
27NETFLIX INCNFLX1,947,600$2.61B0.60%
28ADVANCED MICRO DEVICES INCAMD17,035,000$2.42B0.55%
29SPDR S&P 500 ETF TRSPY3,483,500$2.15B0.49%
30ISHARES TR46428743224,249,200$2.14B0.49%
31COINBASE GLOBAL INCCOIN6,039,100$2.12B0.49%
32BROADCOM INCAVGO7,593,600$2.09B0.48%
33COINBASE GLOBAL INCCOIN5,669,200$1.99B0.46%
34PALANTIR TECHNOLOGIES INCPLTR13,862,100$1.89B0.43%
35NETFLIX INCNFLX1,407,800$1.89B0.43%
36KROGER COKR25,982,300$1.86B0.43%
37SPDR S&P 500 ETF TRSPY2,939,100$1.82B0.42%
38ADVANCED MICRO DEVICES INCAMD12,754,600$1.81B0.42%
39PALANTIR TECHNOLOGIES INCPLTR13,160,500$1.79B0.41%
40PALO ALTO NETWORKS INCPANW8,619,600$1.76B0.40%
41ALPHABET INCGOOG9,835,700$1.73B0.40%
42VANECK ETF TRUST92189F6765,998,400$1.67B0.38%
43ELI LILLY & COLLY2,125,600$1.66B0.38%
44TAIWAN SEMICONDUCTOR MFG LTD8740391006,915,700$1.57B0.36%
45ROBINHOOD MKTS INC77070010214,826,700$1.39B0.32%
46ALIBABA GROUP HLDG LTDBBAAY11,937,100$1.35B0.31%
47ISHARES SILVER TRSLV40,574,000$1.33B0.31%
48ALPHABET INCGOOG7,139,900$1.27B0.29%
49TESLA INCTSLA3,905,240$1.24B0.28%
50SPOTIFY TECHNOLOGY S ASPOT1,603,200$1.23B0.28%
51MICRON TECHNOLOGY INCMU9,130,100$1.13B0.26%
52SELECT SECTOR SPDR TR81369Y50613,206,900$1.12B0.26%
53UNITEDHEALTH GROUP INCUNH3,494,400$1.09B0.25%
54SELECT SECTOR SPDR TR81369Y60520,523,100$1.07B0.25%
55T-MOBILE US INCTMUSZ4,509,609$1.07B0.25%
56ISHARES TR46428723422,214,200$1.07B0.25%
57BOEING COBA-PA5,038,900$1.06B0.24%
58ISHARES BITCOIN TRUST ETFIBIT16,596,400$1.02B0.23%
59ISHARES TR46428851312,343,000$995.5M0.23%
60ORACLE CORPORCL-PD4,446,800$972.2M0.22%
61PDD HOLDINGS INCPDD9,167,000$959.4M0.22%
62CARVANA COCVNA2,811,400$947.3M0.22%
63SELECT SECTOR SPDR TR81369Y60517,444,500$913.6M0.21%
64ISHARES TR46428746510,097,500$902.6M0.21%
65ELI LILLY & COLLY1,156,300$901.4M0.21%
66NVIDIA CORPORATIONNVDA5,692,943$899.4M0.21%
67FIRST SOLAR INCFSLR5,403,200$894.4M0.21%
68DELL TECHNOLOGIES INCDELL7,239,026$887.5M0.20%
69ISHARES SILVER TRSLV26,892,800$882.4M0.20%
70SUPER MICRO COMPUTER INCSMCI17,772,900$871.0M0.20%
71ALIBABA GROUP HLDG LTDBBAAY7,580,600$859.7M0.20%
72JPMORGAN CHASE & CO.VYLD2,871,800$832.6M0.19%
73COREWEAVE INCCRWV5,043,481$822.4M0.19%
74ISHARES TR4642874659,163,900$819.2M0.19%
75ARM HOLDINGS PLC0420682055,021,600$812.2M0.19%
76VANECK ETF TRUST92189F6762,814,800$785.0M0.18%
77ISHARES BITCOIN TRUST ETFIBIT12,776,606$782.1M0.18%
78BOEING COBA-PA3,722,000$779.9M0.18%
79ISHARES BITCOIN TRUST ETFIBIT12,709,800$778.0M0.18%
80CIRCLE INTERNET GROUP INCCRCL4,219,800$765.0M0.18%
81COSTCO WHSL CORP NEW22160K105761,700$754.0M0.17%
82BERKSHIRE HATHAWAY INC DELBRK-A1,545,400$750.7M0.17%
83PDD HOLDINGS INCPDD7,119,800$745.2M0.17%
84ROBINHOOD MKTS INC7707001027,746,200$725.3M0.17%
85GOLDMAN SACHS GROUP INCGSCE1,014,700$718.2M0.16%
86FIRST SOLAR INCFSLR4,307,000$713.0M0.16%
87ISHARES TR4642872001,147,400$712.4M0.16%
88BOOKING HOLDINGS INCBKNG122,700$710.3M0.16%
89ORACLE CORPORCL-PD3,211,800$702.2M0.16%
90SELECT SECTOR SPDR TR81369Y8032,733,600$692.2M0.16%
91INTEL CORPINTC30,834,700$690.7M0.16%
92CROWDSTRIKE HLDGS INCCRWD1,351,600$688.4M0.16%
93ISHARES BITCOIN TRUST ETFIBIT11,190,993$685.0M0.16%
94JPMORGAN CHASE & CO.VYLD2,356,200$683.1M0.16%
95SPDR SERIES TRUST78464A69811,410,500$677.7M0.16%
96ISHARES TR46428718418,291,900$672.4M0.15%
97APPLOVIN CORPAPP1,915,000$670.4M0.15%
98ISHARES TR4642874327,569,343$668.0M0.15%
99VANECK ETF TRUST92189F10612,631,700$657.6M0.15%
100EXXON MOBIL CORPXOM5,927,800$639.0M0.15%
101ARM HOLDINGS PLC0420682053,929,900$635.6M0.15%
102NASDAQ INCNDAQ7,049,087$630.3M0.14%
103UNITEDHEALTH GROUP INCUNH2,002,400$624.7M0.14%
104COREWEAVE INCCRWV3,830,700$624.6M0.14%
105ALPHABET INCGOOG3,493,600$619.7M0.14%
106DELL TECHNOLOGIES INCDELL5,041,500$618.1M0.14%
107VISTRA CORPVST3,187,500$617.8M0.14%
108GOLDMAN SACHS GROUP INCGSCE871,200$616.6M0.14%
109COLUMBIA ETF TR I19761L70616,658,312$612.9M0.14%
110ISHARES TR4642885137,576,200$611.0M0.14%
111UBER TECHNOLOGIES INCUBER6,464,300$603.1M0.14%
112APPLOVIN CORPAPP1,714,800$600.3M0.14%
113AMAZON COM INCAMZN2,717,600$596.2M0.14%
114TAIWAN SEMICONDUCTOR MFG LTD8740391002,615,283$592.3M0.14%
115DOORDASH INCDASH2,334,200$575.4M0.13%
116SPOTIFY TECHNOLOGY S ASPOT743,700$570.7M0.13%
117WELLS FARGO CO NEW9497461017,116,500$570.2M0.13%
118BANK AMERICA CORP06050510412,021,600$568.9M0.13%
119CITIGROUP INCC-PR6,678,700$568.5M0.13%
120PROSHARES TR74347X8316,734,000$558.9M0.13%
121HOME DEPOT INCHD1,483,400$543.9M0.12%
122NIKE INCNKE7,536,800$535.4M0.12%
123UNITEDHEALTH GROUP INCUNH1,711,167$533.8M0.12%
124CENCORA INCCOR1,770,600$530.9M0.12%
125SPDR DOW JONES INDL AVERAGE78467X1091,197,400$527.6M0.12%
126ISHARES TR46428723410,932,400$527.4M0.12%
127SNOWFLAKE INCSNOW2,300,700$514.8M0.12%
128MICROSTRATEGY INCSTRK1,267,100$512.2M0.12%
129TAIWAN SEMICONDUCTOR MFG LTD8740391002,258,731$511.6M0.12%
130ALPHABET INCGOOG2,870,708$509.2M0.12%
131APOLLO GLOBAL MGMT INC03769M1063,589,400$509.2M0.12%
132CARVANA COCVNA1,503,900$506.8M0.12%
133ALIBABA GROUP HLDG LTDBBAAY395,863,000$504.6M0.12%
134EXXON MOBIL CORPXOM4,648,400$501.1M0.11%
135APOLLO GLOBAL MGMT INC03769M1063,512,200$498.3M0.11%
136MICRON TECHNOLOGY INCMU4,017,500$495.2M0.11%
137SPDR S&P 500 ETF TRSPY797,253$492.6M0.11%
138TESLA INCTSLA1,550,000$492.4M0.11%
139MARVELL TECHNOLOGY INCMRVL6,356,300$492.0M0.11%
140TAIWAN SEMICONDUCTOR MFG LTD8740391002,150,000$487.0M0.11%
141UBER TECHNOLOGIES INCUBER5,172,700$482.6M0.11%
142DIREXION SHS ETF TR25459W45818,951,400$475.9M0.11%
143COSTCO WHSL CORP NEW22160K105479,700$474.9M0.11%
144ISHARES TR4642874404,947,100$473.8M0.11%
145ISHARES TR4642872349,672,024$466.6M0.11%
146MORGAN STANLEYMS-PQ3,310,500$466.3M0.11%
147SELECT SECTOR SPDR TR81369Y5065,362,800$454.8M0.10%
148SOFI TECHNOLOGIES INCSOFI24,925,900$453.9M0.10%
149ISHARES TR4642872349,390,200$453.0M0.10%
150NVIDIA CORPORATIONNVDA2,862,200$452.2M0.10%
151ISHARES TR4642872264,445,428$441.0M0.10%
152TARGET CORPTGT4,422,600$436.3M0.10%
153VERTIV HOLDINGS COVRT3,385,600$434.7M0.10%
154SALESFORCE INCCRM1,566,800$427.3M0.10%
155ADVANCED MICRO DEVICES INCAMD3,005,876$426.5M0.10%
156GE VERNOVA INCGEV798,109$422.3M0.10%
157SPDR DOW JONES INDL AVERAGE78467X109950,300$418.7M0.10%
158BOOKING HOLDINGS INCBKNG72,000$416.8M0.10%
159GE VERNOVA INCGEV787,075$416.5M0.10%
160CROWDSTRIKE HLDGS INCCRWD809,700$412.4M0.09%
161GE VERNOVA INCGEV778,000$411.7M0.09%
162SUPER MICRO COMPUTER INCSMCI8,240,400$403.9M0.09%
163QUALCOMM INCQCOM2,532,100$403.3M0.09%
164FIDELITY WISE ORIGIN BITCOINFBTC4,236,842$398.2M0.09%
165COREWEAVE INCCRWV2,417,500$394.2M0.09%
166SELECT SECTOR SPDR TR81369Y8031,555,400$393.9M0.09%
167SPDR GOLD TRGLD1,274,283$388.4M0.09%
168REDDIT INCRDDT2,579,300$388.4M0.09%
169VANECK ETF TRUST92189F6761,373,335$383.0M0.09%
170WELLS FARGO CO NEW9497461014,742,398$380.0M0.09%
171BERKSHIRE HATHAWAY INC DELBRK-A780,000$378.9M0.09%
172ISHARES TR4642872423,420,000$374.9M0.09%
173INTEL CORPINTC16,515,900$370.0M0.08%
174HOME DEPOT INCHD1,006,300$368.9M0.08%
175STARBUCKS CORPSBUX4,011,600$367.6M0.08%
176WELLS FARGO CO NEW9497461014,542,200$363.9M0.08%
177VERTIV HOLDINGS COVRT2,787,300$357.9M0.08%
178TEXAS INSTRS INC8825081041,694,300$351.8M0.08%
179INTEL CORPINTC15,515,616$347.5M0.08%
180SERVICENOW INCNOW337,100$346.6M0.08%
181ARK 21SHARES BITCOIN ETFARKB9,620,993$344.3M0.08%
182DIREXION SHS ETF TR25459W45813,703,416$344.1M0.08%
183PFIZER INCPFE14,180,400$343.7M0.08%
184SELECT SECTOR SPDR TR81369Y8864,208,200$343.6M0.08%
185TEXAS INSTRS INC8825081041,613,200$334.9M0.08%
186VISA INCV941,500$334.3M0.08%
187PALO ALTO NETWORKS INCPANW1,630,900$333.7M0.08%
188ISHARES TR4642877393,486,900$330.5M0.08%
189WALMART INCWMT3,377,337$330.2M0.08%
190ISHARES INC4642868067,762,855$328.4M0.08%
191CLOUDFLARE INCNET1,670,800$327.2M0.08%
192CONSTELLATION ENERGY CORPCEG1,010,300$326.1M0.07%
193FREEPORT-MCMORAN INCFCX7,512,600$325.7M0.07%
194BANK AMERICA CORP0605051046,835,000$323.4M0.07%
195WALMART INCWMT3,299,400$322.6M0.07%
196SEA LTDSE2,013,100$322.0M0.07%
197SPDR SERIES TRUST78464A8703,876,400$321.5M0.07%
198DATADOG INCDDOG2,351,500$315.9M0.07%
199SELECT SECTOR SPDR TR81369Y2092,342,800$315.8M0.07%
200ARK ETF TR00214Q1044,472,400$314.4M0.07%
201GE AEROSPACE3696043011,212,600$312.1M0.07%
202CITIGROUP INCC-PR3,653,000$310.9M0.07%
203ISHARES INC46434G1035,157,158$309.6M0.07%
204MICRON TECHNOLOGY INCMU2,499,000$308.0M0.07%
205JOHNSON & JOHNSONJNJ2,011,600$307.3M0.07%
206CELSIUS HLDGS INCCELH6,623,400$307.3M0.07%
207AVIS BUDGET GROUPCAR1,793,300$303.2M0.07%
208ISHARES TR4642874653,390,567$303.1M0.07%
209PEPSICO INCPEP2,276,300$300.6M0.07%
210FREEPORT-MCMORAN INCFCX6,891,400$298.7M0.07%
211ISHARES TR4642872422,710,900$297.1M0.07%
212INTERNATIONAL BUSINESS MACHSINTR1,004,300$296.0M0.07%
213NRG ENERGY INCNRG1,839,634$295.4M0.07%
214ANALOG DEVICES INCADI1,233,500$293.6M0.07%
215CIRCLE INTERNET GROUP INCCRCL1,611,300$292.1M0.07%
216DELL TECHNOLOGIES INCDELL2,373,400$291.0M0.07%
217TEMPUS AI INCTEM4,535,100$288.2M0.07%
218PROCTER AND GAMBLE CO7427181091,801,200$287.0M0.07%
219LIVE NATION ENTERTAINMENT INLYV1,889,400$285.8M0.07%
220NEXTERA ENERGY INCNEE-PW4,109,000$285.2M0.07%
221INVESCO QQQ TRIVZ514,304$283.7M0.07%
222TARGET CORPTGT2,873,900$283.5M0.07%
223DISNEY WALT CO2546871062,273,800$282.0M0.06%
224SALESFORCE INCCRM1,022,200$278.7M0.06%
225NIKE INCNKE3,919,800$278.5M0.06%
226ADVANCED MICRO DEVICES INCAMD1,956,173$277.6M0.06%
227BLACKROCK INCBLK260,000$272.8M0.06%
228GRAINGER W W INC384802104258,800$269.2M0.06%
229CATERPILLAR INCCAT690,600$268.1M0.06%
230ASML HOLDING N VASMLF327,800$262.7M0.06%
231APPLIED MATLS INC0382221051,434,400$262.6M0.06%
232ADOBE INCADBE677,600$262.1M0.06%
233MICROCHIP TECHNOLOGY INC.MCHPP3,713,200$261.3M0.06%
234SERVICENOW INCNOW251,900$259.0M0.06%
235VISA INCV724,400$257.2M0.06%
236MASTERCARD INCORPORATEDMA454,800$255.6M0.06%
237THERMO FISHER SCIENTIFIC INCTMO630,200$255.5M0.06%
238DIREXION SHS ETF TR25459W45810,139,600$254.6M0.06%
239INVESCO QQQ TRIVZ461,200$254.4M0.06%
240PFIZER INCPFE10,474,100$253.9M0.06%
241SNOWFLAKE INCSNOW1,131,300$253.2M0.06%
242AVIS BUDGET GROUPCAR1,492,400$252.3M0.06%
243AIR PRODS & CHEMS INCAIIR891,700$251.5M0.06%
244AMAZON COM INCAMZN1,143,925$251.0M0.06%
245VANECK ETF TRUST92189F1064,793,600$249.6M0.06%
246TRUMP MEDIA & TECHNOLOGY GRODJTWW13,803,943$249.0M0.06%
247META PLATFORMS INCMETA336,449$248.3M0.06%
248NVIDIA CORPORATIONNVDA1,570,200$248.1M0.06%
249STARBUCKS CORPSBUX2,679,000$245.5M0.06%
250ISHARES TR4642871846,502,900$239.0M0.05%
251ZILLOW GROUP INCZ3,408,000$238.7M0.05%
252ORACLE CORPORCL-PD1,090,056$238.3M0.05%
253ISHARES TR464287523997,100$238.0M0.05%
254SOUTHWEST AIRLS CO8447411087,315,000$237.3M0.05%
255AMGEN INCAMGN843,800$235.6M0.05%
256ABBVIE INCABBV1,264,100$234.6M0.05%
257ARISTA NETWORKS INCANET2,289,300$234.2M0.05%
258COINBASE GLOBAL INCCOIN665,763$233.3M0.05%
259GE HEALTHCARE TECHNOLOGIES IGEHC3,118,287$231.0M0.05%
260CISCO SYS INCCSCO3,315,400$230.0M0.05%
261ARK ETF TR00214Q1043,251,200$228.5M0.05%
262PROSHARES TR74347X8312,745,800$227.9M0.05%
263WALMART INCWMT2,326,100$227.4M0.05%
264PAYPAL HLDGS INCPYPL3,047,500$226.5M0.05%
265LOCKHEED MARTIN CORPLMT488,600$226.3M0.05%
266BAIDU INCBAIDF2,635,600$226.0M0.05%
267PHILIP MORRIS INTL INC7181721091,234,400$224.8M0.05%
268RTX CORPORATIONRTX1,534,700$224.1M0.05%
2693M COMMM1,454,000$221.4M0.05%
270BLACKSTONE INCBX1,473,400$220.4M0.05%
271MONGODB INCMDB1,048,600$220.2M0.05%
272MASTERCARD INCORPORATEDMA390,500$219.4M0.05%
273INTEL CORPINTC9,777,633$219.0M0.05%
274RTX CORPORATIONRTX1,496,300$218.5M0.05%
275SELECT SECTOR SPDR TR81369Y5062,574,696$218.4M0.05%
276ROBLOX CORPRBLX2,056,100$216.3M0.05%
277CHEVRON CORP NEWCVX1,492,600$213.7M0.05%
278NVIDIA CORPORATIONNVDA1,350,635$213.4M0.05%
279DISNEY WALT CO2546871061,716,200$212.8M0.05%
280CORE SCIENTIFIC INC NEW21874A10612,265,200$209.4M0.05%
281MERCADOLIBRE INCMELI80,038$209.2M0.05%
282IQVIA HLDGS INCIQV1,322,700$208.4M0.05%
283AMERICAN EXPRESS COAXP651,300$207.8M0.05%
284FISERV INCFISV1,196,455$206.3M0.05%
285SELECT SECTOR SPDR TR81369Y407948,800$206.2M0.05%
286SPDR SERIES TRUST78468R5561,636,900$205.9M0.05%
287ACCENTURE PLC IRELANDACN688,400$205.8M0.05%
288MARVELL TECHNOLOGY INCMRVL2,658,300$205.8M0.05%
289MCDONALDS CORPMCD703,800$205.6M0.05%
290COCA COLA COKO2,893,800$204.7M0.05%
291ANALOG DEVICES INCADI859,700$204.6M0.05%
292MERCK & CO INCMRK2,570,900$203.5M0.05%
293SELECT SECTOR SPDR TR81369Y2091,495,900$201.6M0.05%
294VISTRA CORPVST1,033,689$200.3M0.05%
295CATERPILLAR INCCAT515,500$200.1M0.05%
296SHOPIFY INCSHOP1,721,500$198.6M0.05%
297DATADOG INCDDOG1,472,400$197.8M0.05%
298VISTRA CORPVST1,017,100$197.1M0.05%
299CONSTELLATION ENERGY CORPCEG608,700$196.5M0.05%
300PEPSICO INCPEP1,487,900$196.5M0.05%
301KRANESHARES TRUST5007673065,685,500$195.2M0.04%
302VANGUARD INTL EQUITY INDEX F9220427421,504,739$193.4M0.04%
303CHEVRON CORP NEWCVX1,349,500$193.2M0.04%
304SOFI TECHNOLOGIES INCSOFI10,610,300$193.2M0.04%
305INVESCO EXCHANGE TRADED FD TIVZ1,063,000$193.2M0.04%
306VANGUARD TAX-MANAGED FDS9219438583,374,356$192.4M0.04%
307HIMS & HERS HEALTH INCHIMS3,853,300$192.1M0.04%
308CHIPOTLE MEXICAN GRILL INCCMG3,413,500$191.7M0.04%
309REDDIT INCRDDT1,260,400$189.8M0.04%
310FUTU HLDGS LTDFUTU1,532,200$189.4M0.04%
311MERCK & CO INCMRK2,376,400$188.1M0.04%
312CRH PLCCRH2,002,771$183.9M0.04%
313ISHARES TR4642885132,279,167$183.8M0.04%
314INTUITINTU230,300$181.4M0.04%
315AMGEN INCAMGN640,400$178.8M0.04%
316CISCO SYS INCCSCO2,569,500$178.3M0.04%
317LULULEMON ATHLETICA INCLULU742,700$176.5M0.04%
318CHENIERE ENERGY INCLNG722,100$175.8M0.04%
319TOAST INCTOST3,968,000$175.7M0.04%
320GE AEROSPACE369604301678,100$174.5M0.04%
321MICRON TECHNOLOGY INCMU1,415,484$174.5M0.04%
322CVS HEALTH CORPCVS2,517,300$173.6M0.04%
323WAYFAIR INCW3,394,900$173.6M0.04%
324SPDR SERIES TRUST78464A6982,918,715$173.3M0.04%
325TESLA INCTSLA544,534$173.0M0.04%
326MEDTRONIC PLCMDT1,956,900$170.6M0.04%
327SPDR SERIES TRUST78464A6982,866,700$170.3M0.04%
328MCDONALDS CORPMCD580,000$169.5M0.04%
329SEA LTDSE1,059,100$169.4M0.04%
330QUALCOMM INCQCOM1,058,800$168.6M0.04%
331VANGUARD INDEX FDS922908363295,300$167.7M0.04%
332HUMANA INCHUM685,800$167.7M0.04%
333THE CIGNA GROUP125523100504,100$166.6M0.04%
334IONQ INCIONQ-WT3,857,200$165.7M0.04%
335KE HLDGS INCBEKE9,327,800$165.5M0.04%
336META PLATFORMS INCMETA223,626$165.1M0.04%
337MERCADOLIBRE INCMELI63,100$164.9M0.04%
338APPLE INCAAPL799,400$164.0M0.04%
339AMPHENOL CORP NEW0320951011,644,017$162.3M0.04%
340ISHARES TR464287523679,700$162.2M0.04%
341PDD HOLDINGS INCPDD1,541,700$161.4M0.04%
342MARVELL TECHNOLOGY INCMRVL2,067,445$160.0M0.04%
343KRANESHARES TRUST5007673064,613,100$158.4M0.04%
344INVESCO QQQ TRIVZ286,600$158.1M0.04%
345ISHARES TR464287655728,400$157.2M0.04%
346MORGAN STANLEYMS-PQ1,115,800$157.2M0.04%
347BRIDGEBIO PHARMA INCBBIO3,571,000$154.2M0.04%
348THE CIGNA GROUP125523100465,193$153.8M0.04%
349INTUITINTU193,500$152.4M0.03%
350SELECT SECTOR SPDR TR81369Y7041,032,800$152.4M0.03%
351MARRIOTT INTL INC NEW571903202556,200$152.0M0.03%
352PROGRESSIVE CORP743315103566,475$151.2M0.03%
353KROGER COKR2,082,200$149.4M0.03%
354VANGUARD INDEX FDS922908363260,900$148.2M0.03%
355ISHARES TR46435G3261,948,751$148.2M0.03%
356ISHARES TR4642884141,407,700$147.1M0.03%
357ISHARES TR4642874651,633,900$146.1M0.03%
358ISHARES TR4642874651,633,900$146.1M0.03%
359MIDDLEBY CORPMIDD1,003,700$144.5M0.03%
360FIRST SOLAR INCFSLR872,159$144.4M0.03%
361SELECT SECTOR SPDR TR81369Y8861,766,000$144.2M0.03%
362NICE LTDNCSYF850,100$143.6M0.03%
363DRAFTKINGS INC NEWDKNG3,326,300$142.7M0.03%
364APPLIED MATLS INC038222105775,800$142.0M0.03%
365ADOBE INCADBE366,000$141.6M0.03%
366HEWLETT PACKARD ENTERPRISE CHPE-PC6,886,700$140.8M0.03%
367PAYPAL HLDGS INCPYPL1,893,000$140.7M0.03%
368CHIPOTLE MEXICAN GRILL INCCMG2,501,400$140.5M0.03%
369DOORDASH INCDASH569,700$140.4M0.03%
370NEWMONT CORPNEMCL2,398,800$139.8M0.03%
371NOVO-NORDISK A SNONOF2,022,300$139.6M0.03%
372AMAZON COM INCAMZN636,140$139.6M0.03%
373DIREXION SHS ETF TR25459W4585,550,645$139.4M0.03%
374VERIZON COMMUNICATIONS INCVZ3,209,700$138.9M0.03%
375HEWLETT PACKARD ENTERPRISE CHPE-PC6,784,500$138.7M0.03%
376DICKS SPORTING GOODS INC253393102700,400$138.5M0.03%
377DIREXION SHS ETF TR25460G28611,708,700$138.3M0.03%
378CARRIER GLOBAL CORPORATIONCARR1,887,332$138.1M0.03%
379MASTERCARD INCORPORATEDMA245,544$138.0M0.03%
380AMERICAN EXPRESS COAXP432,400$137.9M0.03%
381CONSTELLATION ENERGY CORPCEG420,016$135.6M0.03%
382SELECT SECTOR SPDR TR81369Y407622,900$135.4M0.03%
383NICE LTDNCSYF798,300$134.8M0.03%
384SPDR SERIES TRUST78464A7141,748,800$134.8M0.03%
385CVS HEALTH CORPCVS1,935,000$133.5M0.03%
386VERIZON COMMUNICATIONS INCVZ3,074,200$133.0M0.03%
387NEWMONT CORPNEMCL2,276,700$132.6M0.03%
388ADOBE INCADBE341,524$132.1M0.03%
389COMCAST CORP NEWCCZ3,692,900$131.8M0.03%
390ROKU INCROKU1,495,200$131.4M0.03%
391ALPHABET INCGOOG740,943$130.6M0.03%
392INTUITIVE SURGICAL INCISRG238,200$129.4M0.03%
393GRANITESHARES ETF TR38747R8271,837,800$129.4M0.03%
394LAM RESEARCH CORPLRCX1,324,200$128.9M0.03%
395ASML HOLDING N VASMLF160,300$128.5M0.03%
396SHOPIFY INCSHOP1,111,200$128.2M0.03%
397SCHWAB CHARLES CORPSCHW-PJ1,401,700$127.9M0.03%
398CATERPILLAR INCCAT329,295$127.8M0.03%
399SPDR SERIES TRUST78464A8701,521,900$126.2M0.03%
400MICROCHIP TECHNOLOGY INC.MCHPP1,785,500$125.6M0.03%
401INVESCO EXCH TRADED FD TR IIIVZ548,800$124.6M0.03%
402ARISTA NETWORKS INCANET1,216,100$124.4M0.03%
403FEDEX CORPFDX543,300$123.5M0.03%
404SOFI TECHNOLOGIES INCSOFI6,777,634$123.4M0.03%
405APPLOVIN CORPAPP352,549$123.4M0.03%
406IREN LIMITEDIREN8,468,400$123.4M0.03%
407VANGUARD INDEX FDS922908769404,000$122.8M0.03%
408KRANESHARES TRUST5007673063,564,346$122.4M0.03%
409ASTERA LABS INCALAB1,352,900$122.3M0.03%
410CAPITAL ONE FINL CORP14040H105574,945$122.3M0.03%
411UNITED AIRLS HLDGS INCUNTCW1,523,600$121.3M0.03%
412MCDONALDS CORPMCD414,016$121.0M0.03%
413JD.COM INCJDCMF115,550,000$120.8M0.03%
414JD.COM INCJDCMF3,676,900$120.0M0.03%
415GRANITESHARES ETF TR38747R8271,700,700$119.8M0.03%
416VANGUARD WHITEHALL FDS921946406896,200$119.5M0.03%
417SALESFORCE INCCRM435,498$118.8M0.03%
418MODERNA INCMRNA4,295,000$118.5M0.03%
419ADOBE INCADBE305,757$118.3M0.03%
420HIMS & HERS HEALTH INCHIMS2,365,600$117.9M0.03%
421DRAFTKINGS INC NEWDKNG2,748,400$117.9M0.03%
422AT&T INCT-PC4,018,400$116.3M0.03%
423CRH PLCCRH1,266,035$116.2M0.03%
424ISHARES TR4642877391,217,600$115.4M0.03%
425T-MOBILE US INCTMUSZ478,000$113.9M0.03%
426PROCTER AND GAMBLE CO742718109714,100$113.8M0.03%
427BLOCK INCBSQKZ1,672,100$113.6M0.03%
428AKAMAI TECHNOLOGIES INCAKAM1,421,900$113.4M0.03%
429DOLLAR TREE INCDLTR1,134,500$112.4M0.03%
430MCKESSON CORPMCK153,200$112.3M0.03%
431VERTIV HOLDINGS COVRT870,430$111.8M0.03%
432ISHARES TR464287168835,300$110.9M0.03%
433TAKE-TWO INTERACTIVE SOFTWARTTWO456,300$110.8M0.03%
434THERMO FISHER SCIENTIFIC INCTMO271,600$110.1M0.03%
435SCHLUMBERGER LTDSLB3,253,900$110.0M0.03%
436INTERNATIONAL BUSINESS MACHSINTR372,400$109.8M0.03%
437UNITED PARCEL SERVICE INCUPS1,074,200$108.4M0.02%
438DIREXION SHS ETF TR25460G1382,752,860$108.0M0.02%
439AMERICAN TOWER CORP NEW03027X100485,500$107.3M0.02%
440JOHNSON & JOHNSONJNJ700,000$106.9M0.02%
441WYNN RESORTS LTDWYNN1,139,500$106.7M0.02%
442SPDR SERIES TRUST78464A7551,582,200$106.4M0.02%
443AIRBNB INCABNB803,300$106.3M0.02%
444ISHARES TR4642874651,184,952$105.9M0.02%
445ABBVIE INCABBV569,000$105.6M0.02%
446DIREXION SHS ETF TR25460G1952,569,381$105.3M0.02%
447MEDTRONIC PLCMDT1,204,100$105.0M0.02%
448PALANTIR TECHNOLOGIES INCPLTR764,771$104.3M0.02%
449UNITED STS OIL FD LPUNTCW1,423,300$104.1M0.02%
450DIREXION SHS ETF TR25459Y694612,800$103.3M0.02%
451ZTO EXPRESS CAYMAN INCZTOEF5,800,700$103.0M0.02%
452PVH CORPORATIONPVH1,496,700$102.7M0.02%
453EXPAND ENERGY CORPORATIONEXE874,491$102.3M0.02%
454GAMESTOP CORP NEWGME-WT4,174,800$101.8M0.02%
455AST SPACEMOBILE INCASTS2,158,000$100.8M0.02%
456PALANTIR TECHNOLOGIES INCPLTR737,666$100.6M0.02%
457ISHARES TR4642883561,792,639$99.9M0.02%
458ROYAL CARIBBEAN GROUPV7780T103318,800$99.8M0.02%
459VISA INCV279,131$99.1M0.02%
460CONOCOPHILLIPSCOP1,102,075$98.9M0.02%
461SPDR S&P 500 ETF TRSPY159,689$98.7M0.02%
462EATON CORP PLCETN275,600$98.4M0.02%
463EATON CORP PLCETN275,000$98.2M0.02%
464HONEYWELL INTL INC438516106420,300$97.9M0.02%
465CAVA GROUP INCCAVA1,162,000$97.9M0.02%
466OCCIDENTAL PETE CORP6745991052,323,700$97.6M0.02%
467ROYAL CARIBBEAN GROUPV7780T103311,400$97.5M0.02%
468FUTU HLDGS LTDFUTU788,200$97.4M0.02%
469SNAP INCSNAP11,129,500$96.7M0.02%
470MONDAY COM LTDMNDY307,400$96.7M0.02%
471CONOCOPHILLIPSCOP1,075,900$96.6M0.02%
472INVESCO EXCHANGE TRADED FD TIVZ530,700$96.4M0.02%
473ALIBABA GROUP HLDG LTDBBAAY850,000$96.4M0.02%
474ACCENTURE PLC IRELANDACN322,500$96.4M0.02%
475C3 AI INCAI3,913,300$96.1M0.02%
476INSMED INCINSM951,951$95.8M0.02%
477TECK RESOURCES LTDTCKRF2,365,900$95.5M0.02%
478NU HLDGS LTDNU6,960,142$95.5M0.02%
479VALERO ENERGY CORPVLO705,500$94.8M0.02%
480BANK AMERICA CORP0605051042,001,391$94.7M0.02%
481PHILIP MORRIS INTL INC718172109518,000$94.3M0.02%
482INTUITIVE SURGICAL INCISRG173,600$94.3M0.02%
483MADRIGAL PHARMACEUTICALS INCMDGL310,100$93.8M0.02%
484CAVA GROUP INCCAVA1,110,800$93.6M0.02%
485AFFIRM HLDGS INCAFRM1,347,300$93.2M0.02%
486TEVA PHARMACEUTICAL INDS LTD8816242095,553,000$93.1M0.02%
487MEDPACE HLDGS INCMEDP296,117$92.9M0.02%
488CAMECO CORPCCJ1,250,200$92.8M0.02%
489NEWMONT CORPNEMCL1,588,643$92.6M0.02%
490CAPITAL ONE FINL CORP14040H105432,174$91.9M0.02%
491ELEVANCE HEALTH INCELV235,400$91.6M0.02%
492PFIZER INCPFE3,760,361$91.2M0.02%
493ETSY INCETSY1,814,100$91.0M0.02%
494SEAGATE TECHNOLOGY HLDNGS PLSE630,400$91.0M0.02%
495FREEPORT-MCMORAN INCFCX2,097,230$90.9M0.02%
496SPDR SERIES TRUST78464A8701,095,666$90.9M0.02%
497VANECK ETF TRUST92189F7911,335,600$90.3M0.02%
498SPDR SERIES TRUST78464A7141,166,900$89.9M0.02%
499RIVIAN AUTOMOTIVE INCRIVN6,540,600$89.9M0.02%
500THOMSON REUTERS CORPTMSOF446,418$89.8M0.02%