第一手 SEC EDGAR 13F-HR 機構持倉:依市值排序的前 25 大持有人,以及本季增持 / 減持最多的機構。季度 2026-03-31。
| 申報機構 | 持股數 | 市值 | Δ 持股 | 變動 |
|---|---|---|---|---|
BlackRock, Inc.CIK 0002012383 | 63,458,589 | $4.40B | -722,841 | ↓ DEC |
VANGUARD CAPITAL MANAGEMENT LLCCIK 0002100119 | 51,326,495 | $3.56B | +51,326,495 | NEW |
VANGUARD PORTFOLIO MANAGEMENT LLCCIK 0002100121 | 37,149,630 | $2.57B | +37,149,630 | NEW |
STATE STREET CORPCIK 0000093751 | 33,373,068 | $2.31B | +251,616 | ↑ INC |
SUSQUEHANNA INTERNATIONAL GROUP, LLPCIK 0001446194 | 32,361,532 | $2.24B | -9,937,986 | ↓ DEC |
JANE STREET GROUP, LLCCIK 0001595888 | 24,844,288 | $1.72B | -465,605 | ↓ DEC |
Newlands Management Operations LLCCIK 0001908450 | 24,158,860 | $1.67B | – | no_change |
GEODE CAPITAL MANAGEMENT, LLCCIK 0001214717 | 21,505,352 | $1.49B | +333,427 | ↑ INC |
CITADEL ADVISORS LLCCIK 0001423053 | 19,980,810 | $1.38B | -8,592,540 | ↓ DEC |
FMR LLCCIK 0000315066 | 18,057,391 | $1.25B | -3,375,703 | ↓ DEC |
JPMORGAN CHASE & COCIK 0000019617 | 14,268,817 | $929.76M | -20,688,584 | ↓ DEC |
Index Venture Associates VI LtdCIK 0001755035 | 11,574,318 | $802.10M | – | no_change |
MORGAN STANLEYCIK 0000895421 | 11,420,694 | $791.45M | +736,918 | ↑ INC |
Alyeska Investment Group, L.P.CIK 0001453072 | 7,954,874 | $551.27M | +7,571,914 | ↑ INC |
Invesco Ltd.CIK 0000914208 | 7,392,374 | $512.29M | +416,818 | ↑ INC |
Sumitomo Mitsui Trust Group, Inc.CIK 0001475365 | 6,812,999 | $472.14M | +632,403 | ↑ INC |
GOLDMAN SACHS GROUP INCCIK 0000886982 | 6,644,558 | $460.47M | +112,966 | ↑ INC |
NORTHERN TRUST CORPCIK 0000073124 | 6,281,478 | $435.31M | +77,598 | ↑ INC |
BANK OF AMERICA CORP /DE/CIK 0000070858 | 6,165,099 | $427.24M | -683,351 | ↓ DEC |
ARK Investment Management LLCCIK 0001697748 | 6,003,061 | $416.01M | +1,196,850 | ↑ INC |
Tidal Investments LLCCIK 0001600064 | 5,971,781 | $413.82M | +463,308 | ↑ INC |
CHARLES SCHWAB INVESTMENT MANAGEMENT INCCIK 0000884546 | 5,776,026 | $400.28M | +202,999 | ↑ INC |
BNP PARIBAS FINANCIAL MARKETSCIK 0001166588 | 4,866,704 | $395.10M | +3,148,618 | ↑ INC |
Amova Asset Management Americas, Inc.CIK 0001480751 | 5,240,796 | $362.93M | +685,041 | ↑ INC |
RENAISSANCE TECHNOLOGIES LLCCIK 0001037389 | 5,104,137 | $353.72M | +1,668,400 | ↑ INC |
| 申報機構 | Δ 持股 | 市值 |
|---|---|---|
VANGUARD CAPITAL MANAGEMENT LLCNEW | +51,326,495 | $3.56B |
VANGUARD PORTFOLIO MANAGEMENT LLCNEW | +37,149,630 | $2.57B |
Alyeska Investment Group, L.P.↑ INC | +7,571,914 | $551.27M |
VANGUARD FIDUCIARY TRUST CONEW | +4,459,343 | $309.03M |
BNP PARIBAS FINANCIAL MARKETS↑ INC | +3,148,618 | $395.10M |
TWO SIGMA INVESTMENTS, LP↑ INC | +3,041,721 | $268.84M |
WELLS FARGO & COMPANY/MN↑ INC | +2,680,200 | $293.53M |
MILLENNIUM MANAGEMENT LLC↑ INC | +2,343,005 | $277.23M |
Vanguard Global Advisers, LLCNEW | +1,726,756 | $119.66M |
RENAISSANCE TECHNOLOGIES LLC↑ INC | +1,668,400 | $353.72M |
| 申報機構 | Δ 持股 | 市值 |
|---|---|---|
JPMORGAN CHASE & CO↓ DEC | -20,688,584 | $929.76M |
SUSQUEHANNA INTERNATIONAL GROUP, LLP↓ DEC | -9,937,986 | $2.24B |
CITADEL ADVISORS LLC↓ DEC | -8,592,540 | $1.38B |
FMR LLC↓ DEC | -3,375,703 | $1.25B |
JENNISON ASSOCIATES LLC↓ DEC | -2,962,334 | $100.46M |
Hudson Bay Capital Management LP↓ DEC | -2,903,947 | $21.55M |
Corient Private Wealth LLC↓ DEC | -2,480,374 | $5.05M |
WCM INVESTMENT MANAGEMENT, LLC↓ DEC | -2,449,189 | $176.49M |
Walleye Trading LLC↓ DEC | -2,387,271 | $116.38M |
BARCLAYS PLC↓ DEC | -2,132,710 | $274.18M |