First-hand SEC EDGAR 13F-HR institutional holdings: the top 25 holders ranked by market value, plus the largest adds and trims this quarter. Quarter 2026-03-31.
| Filer | Shares | Market Value | Δ Shares | Change |
|---|---|---|---|---|
ARK Investment Management LLCCIK 0001697748 | 9,607,745 | $434.46M | +2,050,162 | ↑ INC |
BlackRock, Inc.CIK 0002012383 | 8,968,330 | $405.55M | +1,452,220 | ↑ INC |
BAILLIE GIFFORD & COCIK 0001088875 | 8,649,356 | $391.12M | -92,086 | ↓ DEC |
SUSQUEHANNA INTERNATIONAL GROUP, LLPCIK 0001446194 | 6,872,288 | $310.76M | -2,970,686 | ↓ DEC |
GC Wealth Management RIA, LLCCIK 0002011169 | 6,611,211 | $298.96M | -150,296 | ↓ DEC |
SOFTBANK GROUP CORP.CIK 0001065521 | 5,405,406 | $244.43M | – | no_change |
JANE STREET GROUP, LLCCIK 0001595888 | 5,328,354 | $240.95M | -63,676 | ↓ DEC |
VANGUARD CAPITAL MANAGEMENT LLCCIK 0002100119 | 4,918,122 | $222.40M | +4,918,122 | NEW |
VANGUARD PORTFOLIO MANAGEMENT LLCCIK 0002100121 | 4,679,057 | $211.59M | +4,679,057 | NEW |
JPMORGAN CHASE & COCIK 0000019617 | 4,933,193 | $209.02M | +23,273 | ↑ INC |
Sumitomo Mitsui Trust Group, Inc.CIK 0001475365 | 4,326,313 | $195.64M | +821,490 | ↑ INC |
Amova Asset Management Americas, Inc.CIK 0001480751 | 4,326,313 | $195.55M | +821,490 | ↑ INC |
CITADEL ADVISORS LLCCIK 0001423053 | 3,757,205 | $169.90M | +598,335 | ↑ INC |
UBS Group AGCIK 0001610520 | 3,401,637 | $153.82M | +1,653,725 | ↑ INC |
FRANKLIN RESOURCES INCCIK 0000038777 | 2,581,644 | $116.74M | +719,862 | ↑ INC |
MORGAN STANLEYCIK 0000895421 | 2,083,435 | $94.21M | +41 | ↑ INC |
GOLDMAN SACHS GROUP INCCIK 0000886982 | 1,971,956 | $89.17M | -84,027 | ↓ DEC |
GEODE CAPITAL MANAGEMENT, LLCCIK 0001214717 | 1,940,207 | $87.76M | +69,697 | ↑ INC |
STATE STREET CORPCIK 0000093751 | 1,689,761 | $76.41M | +73,423 | ↑ INC |
PEAK6 LLCCIK 0001389958 | 1,617,926 | $73.16M | +111,549 | ↑ INC |
Alphabet Inc.CIK 0001652044 | 1,551,102 | $70.14M | – | no_change |
Lingotto Investment Management LLPCIK 0001732768 | 1,415,766 | $64.02M | +272,240 | ↑ INC |
VOLORIDGE INVESTMENT MANAGEMENT, LLCCIK 0001556921 | 1,173,402 | $53.06M | -400,128 | ↓ DEC |
TWO SIGMA INVESTMENTS, LPCIK 0001179392 | 1,003,198 | $45.36M | -648,183 | ↓ DEC |
TORONTO DOMINION BANKCIK 0000947263 | 987,464 | $44.65M | +23,973 | ↑ INC |
| Filer | Δ Shares | Value |
|---|---|---|
VANGUARD CAPITAL MANAGEMENT LLCNEW | +4,918,122 | $222.40M |
VANGUARD PORTFOLIO MANAGEMENT LLCNEW | +4,679,057 | $211.59M |
ARK Investment Management LLC↑ INC | +2,050,162 | $434.46M |
UBS Group AG↑ INC | +1,653,725 | $153.82M |
BlackRock, Inc.↑ INC | +1,452,220 | $405.55M |
Sumitomo Mitsui Trust Group, Inc.↑ INC | +821,490 | $195.64M |
Amova Asset Management Americas, Inc.↑ INC | +821,490 | $195.55M |
FRANKLIN RESOURCES INC↑ INC | +719,862 | $116.74M |
CANADA PENSION PLAN INVESTMENT BOARD↑ INC | +718,700 | $32.79M |
VANGUARD FIDUCIARY TRUST CONEW | +654,299 | $29.59M |
| Filer | Δ Shares | Value |
|---|---|---|
SUSQUEHANNA INTERNATIONAL GROUP, LLP↓ DEC | -2,970,686 | $310.76M |
BANK OF AMERICA CORP /DE/↓ DEC | -725,709 | $18.76M |
TWO SIGMA INVESTMENTS, LP↓ DEC | -648,183 | $45.36M |
MILLENNIUM MANAGEMENT LLC↓ DEC | -542,834 | $1.77M |
Walleye Trading LLC↓ DEC | -436,641 | $26.99M |
VOLORIDGE INVESTMENT MANAGEMENT, LLC↓ DEC | -400,128 | $53.06M |
Squarepoint Ops LLC↓ DEC | -376,158 | $9.17M |
Quadrature Capital Ltd↓ DEC | -324,780 | $895.81K |
GROUP ONE TRADING LLC↓ DEC | -302,000 | $8.20M |
CAPITAL FUND MANAGEMENT S.A.↓ DEC | -279,134 | $15.85M |