Tour
v509
13F Radar
Updated Aug 15, 2026 at 7:29 AM · quarter ending 2026-06-30
Every 13F-HR hitting EDGAR during the filing deadline window, parsed within
minutes and diffed against each filer's previous quarter. Tile area is the net dollar flow
(shares bought minus sold × our latest close); green is net buying, red is net selling.
A fund adding to a position is ordinary — a fund opening one is the signal, so new
positions get their own section below.
Filings parsed
8,927
In last hour
0
Queue pending
0
$ bought
$790.81B
$ sold
$519.18B
New positions
225,856
Where the money went
C+$34.93BNEW×397SPCX+$28.25BNEW×1609BLK-$24.80BNEW×56HONA+$22.23BNEW×1970GOOGL+$18.95BNEW×332SPY+$18.76BNEW×239AMZN+$17.64BNEW×204BKNG-$16.95BNEW×168ASND-$16.25BNEW×80AAPL-$14.45BNEW×165MU-$13.83BNEW×1033CBRS+$12.98BNEW×385STT+$11.42BNEW×571SNDK-$10.58BNEW×702META+$10.11BNEW×154DVN+$9.80BNEW×325STX+$8.93BNEW×545XOM-$8.91BNEW×111GOOG+$7.93BNEW×213MKSI-$7.92BNEW×196ANET+$7.73BNEW×392COHR-$7.70BNEW×401HTHT-$7.67BNEW×27NBIS+$7.45BNEW×380NVDA+$6.94BNEW×237WDC-$6.86BNEW×498IQV+$6.27BNEW×224INTC+$6.23BNEW×1046AMD+$6.07BNEW×914CRWV+$5.93BNEW×256PLTR+$5.37BNEW×171MSFT+$5.01BNEW×269ON-$4.82BNEW×204MA+$4.66BNEW×160SCHW+$4.59BNEW×222IRTC-$4.50BNEW×35LITE-$4.45BNEW×347XYZ-$4.39BNEW×164PANW-$4.36BNEW×540LYV-$4.27BNEW×110TSM-$4.24BGH-$4.19BWFC+$4.10BDLR+$4.09BAEIS-$4.02BSNOW+$3.75BPSX+$3.65BBA+$3.63BHON+$3.45BTSLA+$3.36BMDT+$3.32BAMGN+$3.29BBE-$3.29BFRVO+$3.28BTMO-$3.28BSTM+$3.26BMRVL-$3.23BOKTA-$3.18BTXN+$3.11BLLY+$3.09BGE-$3.08BAMAT-$3.07BDELL-$2.99BNOC+$2.93BQSR+$2.90BCOST+$2.88BGILD+$2.80BASML-$2.76BNFLX+$2.75BHPE+$2.72BBN+$2.71BMCHP-$2.70BEW+$2.66BMIRM-$2.63BTVTX-$2.62BW-$2.58BTER-$2.58BBMRN-$2.58BSU-$2.57BGWRE
Net bought
Net sold
Tile area = |net $ flow| · hover for buyer/seller counts
Biggest new positions
| Ticker | Filer | Value | Shares | Known? | Filed |
|---|---|---|---|---|---|
| SEM | Decagon Asset Management LLP | $44.83B | 2.72M | first seen | 2026-08-14 |
| AIIR | Harraden Circle Investments, LLC | $33.29B | 5.00M | KNOWN 08-14 | 2026-08-14 |
| VLOS | METEORA CAPITAL, LLC | $30.75B | 3.48M | first seen | 2026-08-14 |
| TONT | Harraden Circle Investments, LLC | $22.46B | 4.00M | first seen | 2026-08-14 |
| BDCI | METEORA CAPITAL, LLC | $19.92B | 2.50M | KNOWN 08-14 | 2026-08-14 |
| RMIX | Harraden Circle Investments, LLC | $17.65B | 783.3K | KNOWN 08-14 | 2026-08-14 |
| CUB | Decagon Asset Management LLP | $16.16B | 1.50M | KNOWN 08-13 | 2026-08-14 |
| GCGR | METEORA CAPITAL, LLC | $15.84B | 1.97M | first seen | 2026-08-14 |
| GSRV | Harraden Circle Investments, LLC | $15.71B | 1.57M | KNOWN 08-14 | 2026-08-14 |
| OCAC | Harraden Circle Investments, LLC | $14.20B | 1.39M | KNOWN 08-14 | 2026-08-14 |
| CUB | Harraden Circle Investments, LLC | $13.98B | 1.30M | KNOWN 08-14 | 2026-08-14 |
| VACI | Decagon Asset Management LLP | $13.77B | 1.52M | first seen | 2026-08-14 |
| AESP | Harraden Circle Investments, LLC | $13.48B | 1.33M | KNOWN 08-14 | 2026-08-14 |
| FTRA | Harraden Circle Investments, LLC | $12.66B | 1.25M | KNOWN 08-14 | 2026-08-14 |
| QLEP | Decagon Asset Management LLP | $11.96B | 1.20M | first seen | 2026-08-14 |
| BLUE ACQUISITION CORP. | Harraden Circle Investments, LLC | $11.29B | 1.06M | first seen | 2026-08-14 |
| KEYY | METEORA CAPITAL, LLC | $11.25B | 1.67M | first seen | 2026-08-14 |
| CHURCHILL CAPITAL CORP IX | Harraden Circle Investments, LLC | $10.74B | 986.6K | first seen | 2026-08-14 |
| ATII | Decagon Asset Management LLP | $10.11B | 937.8K | first seen | 2026-08-14 |
| CAES | METEORA CAPITAL, LLC | $10.09B | 1.00M | first seen | 2026-08-14 |
| QRED | Decagon Asset Management LLP | $10.08B | 1.98M | KNOWN 08-13 | 2026-08-14 |
| YICC | Harraden Circle Investments, LLC | $10.04B | 1.00M | first seen | 2026-08-14 |
| GHXI | METEORA CAPITAL, LLC | $9.51B | 936.8K | first seen | 2026-08-14 |
| OTAI | Decagon Asset Management LLP | $9.25B | 1.83M | KNOWN 08-13 | 2026-08-14 |
| JAB | Decagon Asset Management LLP | $9.11B | 908.0K | KNOWN 08-13 | 2026-08-14 |
Pre-13F disclosures
Position information that beats the 13F. A 13D (activist, 5%+) is due within 5
business days of crossing; a 13G (passive, 5%+) and a Form 4 (10% owner) land
within days of the trade — all long before the quarterly 13F. announced rows are
positions a manager made public outside EDGAR (a listed manager's earnings release, a fund
shareholder report); those are reported facts carrying a citation, never parsed filings.
The gap this cannot close: 13D/G only trigger at 5% of the issuer, so a sub-5% stake in
a large cap — Ackman's Netflix position is ~0.7% of Netflix — has no SEC early
warning at all and can only surface through the manager's own disclosure.
| Via | Manager | Ticker | Detail | Holding | Event | Public |
|---|---|---|---|---|---|---|
| announced src | Pershing Square Capital Management, L. | ALC | New position disclosed pre-13F | -- | 2026-06-30 | 2026-08-12 |
| announced src | Pershing Square Capital Management, L. | ICE | New position disclosed pre-13F | -- | 2026-06-30 | 2026-08-12 |
| announced src | Pershing Square Capital Management, L. | SPGI | New position disclosed pre-13F | -- | 2026-06-30 | 2026-08-12 |
| announced src | Pershing Square Capital Management, L. | MA | New position disclosed pre-13F | -- | 2026-06-30 | 2026-08-12 |
| announced src | Pershing Square Capital Management, L. | V | New position disclosed pre-13F | -- | 2026-06-30 | 2026-08-12 |
| announced src | Pershing Square Capital Management, L. | NFLX | New position, ~4.9% of portfolio, disclosed in Q2 in | 3.15M sh | 2026-06-30 | 2026-08-12 |
| 13D | Mudrick Capital Management, L.P. | Vertical Aerospace Ltd. | 64.2% of class | 214.70M sh | 2026-08-12 | 2026-08-14 |
| 13D | Mudrick Capital Management, LLC | Vertical Aerospace Ltd. | 64.2% of class | 214.70M sh | 2026-08-12 | 2026-08-14 |
| 13D | Jason Mudrick | Vertical Aerospace Ltd. | 64.2% of class | 214.70M sh | 2026-08-12 | 2026-08-14 |
| 13D | Muhammad Asif Seemab | PLCE | 61.6% of class | 13.70M sh | 2026-08-11 | 2026-08-14 |
| 13D | Mithaq Capital SPC | PLCE | 61.1% of class | 13.59M sh | 2026-08-11 | 2026-08-14 |
| 13D | Mithaq Global | PLCE | 61.1% of class | 13.59M sh | 2026-08-11 | 2026-08-14 |
| 13D | Mithaq Capital | PLCE | 61.1% of class | 13.59M sh | 2026-08-11 | 2026-08-14 |
| 13D | Turki Saleh A. Alrajhi | PLCE | 61.1% of class | 13.59M sh | 2026-08-11 | 2026-08-14 |
| 13D | SIT INVESTMENT ASSOCIATES INC | ABERDEEN GOVERNMENT MARKET | 34.8% of class | 11.34M sh | 2026-08-12 | 2026-08-14 |
| 13D | SIT FIXED INCOME ADVISORS II LLC /ADV | ABERDEEN GOVERNMENT MARKET | 34.8% of class | 11.34M sh | 2026-08-12 | 2026-08-14 |
| 13D | Bleichroeder LP | MDxHealth SA | 33.2% of class | 31.65M sh | 2026-08-11 | 2026-08-14 |
| 13D | Bleichroeder Holdings LLC | MDxHealth SA | 33.2% of class | 31.65M sh | 2026-08-11 | 2026-08-14 |
| 13D | Andrew Gundlach | MDxHealth SA | 33.2% of class | 31.65M sh | 2026-08-11 | 2026-08-14 |
| 13D | Mudrick Distressed Opportunity Fund Gl | Vertical Aerospace Ltd. | 20.0% of class | 40.23M sh | 2026-08-12 | 2026-08-14 |
| 13D | Mudrick GP, LLC | Vertical Aerospace Ltd. | 20.0% of class | 40.23M sh | 2026-08-12 | 2026-08-14 |
| 13D | Meteora Capital, LLC | Investcorp Europe Acquisit | 18.8% of class | 2.00M sh | 2026-06-30 | 2026-08-14 |
| 13D | GoldenTree Asset Management LP | QVC GROUP, INC. | 17.1% of class | 8.56M sh | 2026-08-07 | 2026-08-14 |
| 13D | GoldenTree Asset Management LLC | QVC GROUP, INC. | 17.1% of class | 8.56M sh | 2026-08-07 | 2026-08-14 |
| 13D | Steven A. Tananbaum | QVC GROUP, INC. | 17.1% of class | 8.56M sh | 2026-08-07 | 2026-08-14 |
Marquee filers
BlackRock, Inc.229 new · 186 exited · 3648 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| ISHARES TR | ADD | +1.99M sh (+2%) | $65.84B |
| ISHARES TR | TRIM | -4.34M sh (-2%) | $26.16B |
| ISHARES TR | ADD | +1.97M sh (+5%) | $4.52B |
| ISHARES TR | ADD | +11.28M sh (+16%) | $3.79B |
| ISHARES TR | ADD | +2.53M sh (+9%) | $2.57B |
| ISHARES INC | ADD | +9.48M sh (+53%) | $2.56B |
| PDD | TRIM | -7.44M sh (-19%) | $2.44B |
| ISHARES TR | ADD | +2.13M sh (+9%) | $2.42B |
| ISHARES TR | ADD | +1.11M sh (+4%) | $2.24B |
| ISHARES TR | TRIM | -2.31M sh (-11%) | $2.10B |
| AER | ADD | +810.4K sh (+6%) | $2.00B |
| ISHARES TR | ADD | +273.8K sh (+2%) | $2.00B |
| BAP | ADD | +208.2K sh (+4%) | $1.93B |
| TLN | ADD | +265.4K sh (+6%) | $1.67B |
GEODE CAPITAL MANAGEMENT, LLC123 new · 189 exited · 3927 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| BLK | ADD | +30.9K sh (+1%) | $3.14B |
| TD | ADD | +1.70M sh (+10%) | $2.41B |
| FLEX | ADD | +1.97M sh (+24%) | $1.66B |
| CRH | ADD | +84.6K sh (+1%) | $1.62B |
| BMO | ADD | +661.6K sh (+9%) | $1.46B |
| EBAY | ADD | +132.9K sh (+1%) | $1.40B |
| ALAB | ADD | +287.9K sh (+11%) | $1.35B |
| HUM | ADD | +43.1K sh (+1%) | $1.34B |
| TEL | ADD | +108.5K sh (+2%) | $1.33B |
| AXON | ADD | +56.5K sh (+3%) | $1.29B |
| BNS | ADD | +1.47M sh (+11%) | $1.28B |
| CM | ADD | +1.06M sh (+11%) | $1.26B |
| STT | TRIM | -327.6K sh (-4%) | $1.26B |
| VTR | ADD | +507.3K sh (+4%) | $1.24B |
AQR CAPITAL MANAGEMENT LLC235 new · 84 exited · 3694 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| NVDA | ADD | +5.70M sh (+18%) | $7.49B |
| AAPL | ADD | +2.97M sh (+20%) | $5.01B |
| MU | TRIM | -666.8K sh (-14%) | $4.47B |
| MSFT | ADD | +1.51M sh (+14%) | $4.29B |
| AMZN | ADD | +2.46M sh (+26%) | $2.84B |
| AVGO | ADD | +497.9K sh (+8%) | $2.52B |
| GOOG | ADD | +1.14M sh (+22%) | $2.24B |
| GOOGL | ADD | +226.0K sh (+4%) | $2.11B |
| FIX | TRIM | -57.2K sh (-5%) | $2.08B |
| WDC | TRIM | -518.6K sh (-15%) | $1.88B |
| GEV | ADD | +40.8K sh (+3%) | $1.71B |
| ABNB | ADD | +2.62M sh (+33%) | $1.52B |
| LRCX | ADD | +33.3K sh (+1%) | $1.51B |
| INTC | TRIM | -727.5K sh (-6%) | $1.47B |
WELLINGTON MANAGEMENT GROUP LLP204 new · 152 exited · 1744 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| MU | ADD | +1.13M sh (+29%) | $5.82B |
| BLK | ADD | +1.04M sh (+24%) | $4.39B |
| TSM | TRIM | -1.21M sh (-16%) | $3.05B |
| LIN | TRIM | -337.3K sh (-7%) | $2.50B |
| SNDK | ADD | +443.7K sh (+71%) | $2.43B |
| INTC | ADD | +14.24M sh (+580%) | $2.33B |
| STX | ADD | +2.33M sh (+2656%) | $2.33B |
| TTE | ADD | +4.01M sh (+18%) | $2.05B |
| TJX | TRIM | -1.16M sh (-9%) | $1.84B |
| BRK.B | ADD | +1.97M sh (+120%) | $1.81B |
| FERG | TRIM | -1.28M sh (-15%) | $1.71B |
| VRTX | ADD | +35.1K sh (+1%) | $1.61B |
| TEL | ADD | +2.51M sh (+48%) | $1.55B |
| ISRG | TRIM | -157.3K sh (-4%) | $1.51B |
CITADEL ADVISORS LLC1560 new · 1250 exited · 7273 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| ISHARES TR | ADD | +13.62M sh (+335%) | $13.24B |
| AMZN | ADD | +2.78M sh (+34%) | $2.59B |
| NVDA | TRIM | -6.90M sh (-37%) | $2.36B |
| AAPL | ADD | +2.99M sh (+57%) | $2.19B |
| MSFT | ADD | +812.5K sh (+27%) | $1.41B |
| GOOGL | ADD | +5.46M sh (+192%) | $1.34B |
| BLK | ADD | +263.5K sh (+8%) | $1.24B |
| EA | ADD | +3.00M sh (+103%) | $1.21B |
| WBD | ADD | +15.21M sh (+52%) | $1.19B |
| LLY | ADD | +703.7K sh (+291%) | $1.13B |
| AVGO | TRIM | -355.7K sh (-11%) | $1.10B |
| AMD | ADD | +972.0K sh (+155%) | $929.1M |
| GOOG | ADD | +141.5K sh (+6%) | $899.4M |
| SPCX | NEW | opened 5.13M sh | $876.5M |
MILLENNIUM MANAGEMENT LLC505 new · 560 exited · 3927 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| ISHARES TR | ADD | +1.52M sh (+12%) | $10.86B |
| SPY | ADD | +4.24M sh (+680%) | $3.63B |
| NVDA | ADD | +1.57M sh (+15%) | $2.43B |
| MSFT | ADD | +1.44M sh (+52%) | $1.58B |
| VANGUARD INDEX FDS | ADD | +808.3K sh (+79%) | $1.25B |
| AMZN | ADD | +1.31M sh (+47%) | $981.2M |
| EA | ADD | +62.0K sh (+1%) | $889.4M |
| SNDK | TRIM | -776.2K sh (-68%) | $832.5M |
| BE | ADD | +2.14M sh (+552%) | $763.5M |
| TSM | TRIM | -640.4K sh (-29%) | $760.5M |
| META | TRIM | -705.6K sh (-35%) | $731.9M |
| FCX | TRIM | -1.22M sh (-10%) | $720.2M |
| KVUE | ADD | +5.14M sh (+16%) | $705.9M |
| QQQ | ADD | +315.6K sh (+51%) | $687.5M |
TWO SIGMA INVESTMENTS, LP595 new · 371 exited · 3865 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| AMZN | TRIM | -618.9K sh (-10%) | $1.36B |
| AAPL | TRIM | -767.1K sh (-13%) | $1.30B |
| NVDA | TRIM | -4.95M sh (-44%) | $1.26B |
| TSLA | TRIM | -51.3K sh (-2%) | $1.20B |
| BRK.B | ADD | +652.8K sh (+40%) | $1.14B |
| STT | ADD | +4.22M sh (+59%) | $1.05B |
| GOOGL | ADD | +2.09M sh (+47%) | $1.02B |
| JPM | TRIM | -353.4K sh (-11%) | $968.1M |
| MA | ADD | +166.0K sh (+10%) | $945.6M |
| COST | ADD | +131.4K sh (+15%) | $941.3M |
| ASML | ADD | +82.6K sh (+22%) | $918.1M |
| AMD | ADD | +143.4K sh (+10%) | $880.3M |
| C | ADD | +1.64M sh (+38%) | $831.1M |
| BSX | ADD | +9.95M sh (+106%) | $826.2M |
RENAISSANCE TECHNOLOGIES LLC535 new · 611 exited · 3650 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| NVDA | ADD | +4.56M sh (+181%) | $1.42B |
| META | ADD | +1.77M sh (+698%) | $1.14B |
| INTC | TRIM | -77.5K sh (-1%) | $1.02B |
| UTHR | TRIM | -78.3K sh (-4%) | $925.8M |
| PLTR | ADD | +582.4K sh (+8%) | $883.0M |
| GOOGL | ADD | +1.77M sh (+327%) | $828.2M |
| EXEL | TRIM | -299.0K sh (-2%) | $730.6M |
| VRSN | TRIM | -368.4K sh (-13%) | $616.3M |
| KGC | TRIM | -799.2K sh (-3%) | $584.5M |
| CRWD | NEW | opened 749.0K sh | $571.6M |
| STRL | TRIM | -94.7K sh (-12%) | $564.2M |
| GOOG | ADD | +1.37M sh (+684%) | $556.8M |
| AMZN | NEW | opened 2.29M sh | $546.0M |
| AGX | ADD | +37.5K sh (+6%) | $517.8M |
Point72 Asset Management, L.P.609 new · 596 exited · 2432 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| CRDO | TRIM | -1.33M sh (-18%) | $1.67B |
| ASML | TRIM | -10.1K sh (-2%) | $1.10B |
| AMZN | TRIM | -509.3K sh (-10%) | $1.06B |
| ANET | TRIM | -1.41M sh (-21%) | $873.1M |
| STX | ADD | +276.5K sh (+51%) | $794.1M |
| AMD | TRIM | -86.2K sh (-6%) | $771.7M |
| TSM | TRIM | -253.9K sh (-14%) | $766.0M |
| PG | ADD | +2.22M sh (+106%) | $633.9M |
| RTX | ADD | +1.25M sh (+61%) | $625.7M |
| COF | ADD | +880.6K sh (+53%) | $507.4M |
| ORCL | ADD | +2.20M sh (+175%) | $502.1M |
| MDLZ | ADD | +3.29M sh (+67%) | $475.2M |
| KDP | ADD | +12.97M sh (+1319%) | $456.5M |
| AMAT | TRIM | -1.12M sh (-65%) | $433.8M |
Artisan Partners Limited Partnership44 new · 42 exited · 358 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| GOOGL | TRIM | -86.1K sh (-2%) | $1.98B |
| SCHW | ADD | +1.48M sh (+8%) | $1.75B |
| C | TRIM | -142.5K sh (-1%) | $1.59B |
| ICLR | ADD | +357.5K sh (+4%) | $1.50B |
| BRK.B | ADD | +287.9K sh (+11%) | $1.45B |
| ARGX | ADD | +40.8K sh (+3%) | $1.40B |
| META | ADD | +24.3K sh (+1%) | $1.33B |
| MRSH | ADD | +2.39M sh (+49%) | $1.21B |
| PGR | TRIM | -76.5K sh (-1%) | $1.12B |
| AXTA | ADD | +2.94M sh (+10%) | $1.09B |
| AMZN | TRIM | -999.0K sh (-18%) | $1.05B |
| IQV | TRIM | -315.4K sh (-6%) | $916.5M |
| CPNG | ADD | +16.77M sh (+50%) | $876.1M |
| WST | TRIM | -246.1K sh (-9%) | $865.8M |
COATUE MANAGEMENT LLC8 new · 5 exited · 40 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| TSM | TRIM | -368.6K sh (-4%) | $4.26B |
| LRCX | TRIM | -601.9K sh (-6%) | $4.09B |
| MU | ADD | +2.98M sh (+1794%) | $3.63B |
| AMAT | TRIM | -1.03M sh (-20%) | $3.05B |
| AMZN | ADD | +3.90M sh (+49%) | $2.82B |
| AVGO | ADD | +343.0K sh (+6%) | $2.21B |
| GOOGL | ADD | +542.8K sh (+13%) | $1.74B |
| INTC | NEW | opened 12.08M sh | $1.69B |
| CBRS | NEW | opened 7.01M sh | $1.55B |
| META | TRIM | -286.0K sh (-10%) | $1.42B |
| EQIX | ADD | +182.6K sh (+17%) | $1.33B |
| NVDA | TRIM | -276.4K sh (-4%) | $1.21B |
| FPS | NEW | opened 20.50M sh | $1.15B |
| HUT | NEW | opened 9.72M sh | $1.12B |
VIKING GLOBAL INVESTORS LP34 new · 21 exited · 98 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| V | ADD | +65.4K sh (+1%) | $2.19B |
| TSM | TRIM | -1.30M sh (-29%) | $1.51B |
| SHW | ADD | +763.1K sh (+25%) | $1.33B |
| META | ADD | +805.0K sh (+76%) | $1.05B |
| SCHW | TRIM | -4.03M sh (-27%) | $981.6M |
| TMO | ADD | +269.4K sh (+16%) | $971.3M |
| JPM | ADD | +195.4K sh (+7%) | $949.1M |
| LII | ADD | +18.5K sh (+1%) | $911.5M |
| AMZN | ADD | +2.51M sh (+210%) | $882.1M |
| RACE | NEW | opened 2.20M sh | $816.9M |
| CVNA | TRIM | -1.58M sh (-57%) | $811.1M |
| MCD | TRIM | -795.9K sh (-22%) | $764.7M |
| BBIO | TRIM | -1.89M sh (-16%) | $741.0M |
| BA | ADD | +78.8K sh (+2%) | $708.9M |
Bridgewater Associates, LP212 new · 209 exited · 1189 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| SPY | ADD | +955.4K sh (+22%) | $3.97B |
| ISHARES TR | ADD | +323.2K sh (+12%) | $2.25B |
| NVDA | TRIM | -826.8K sh (-18%) | $773.6M |
| AVGO | TRIM | -517.5K sh (-28%) | $497.8M |
| AMZN | TRIM | -2.36M sh (-54%) | $482.8M |
| GOOGL | TRIM | -675.5K sh (-34%) | $472.5M |
| LRCX | TRIM | -633.0K sh (-40%) | $406.6M |
| VANGUARD INDEX FDS | ADD | +299.8K sh (+189%) | $314.8M |
| AMD | TRIM | -754.1K sh (-58%) | $312.9M |
| EWY | TRIM | -381.5K sh (-22%) | $279.6M |
| MSFT | TRIM | -373.1K sh (-34%) | $265.6M |
| NEM | ADD | +378.5K sh (+16%) | $251.7M |
| AMAT | TRIM | -268.5K sh (-48%) | $210.7M |
| ORCL | TRIM | -159.1K sh (-10%) | $210.0M |
TIGER GLOBAL MANAGEMENT LLC9 new · 16 exited · 50 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| TSM | TRIM | -684.1K sh (-12%) | $2.33B |
| AMZN | TRIM | -316.4K sh (-3%) | $2.31B |
| NVDA | TRIM | -813.0K sh (-7%) | $2.24B |
| GOOGL | TRIM | -4.83M sh (-45%) | $2.07B |
| META | TRIM | -263.7K sh (-9%) | $1.59B |
| LRCX | TRIM | -736.9K sh (-19%) | $1.37B |
| AMAT | TRIM | -24.7K sh (-1%) | $1.18B |
| GEV | TRIM | -175.5K sh (-18%) | $937.0M |
| MSFT | TRIM | -233.1K sh (-9%) | $845.6M |
| CPAY | ADD | +397.7K sh (+23%) | $716.5M |
| CBRS | NEW | opened 3.00M sh | $662.8M |
| AVGO | TRIM | -1.83M sh (-51%) | $662.6M |
| CPNG | ADD | +1.87M sh (+5%) | $633.4M |
| INTC | ADD | +2.61M sh (+160%) | $593.8M |
LONE PINE CAPITAL LLC13 new · 15 exited · 49 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| NBIS | NEW | opened 4.26M sh | $1.18B |
| ASML | TRIM | -86.0K sh (-13%) | $1.13B |
| STX | NEW | opened 1.00M sh | $965.1M |
| HD | NEW | opened 2.60M sh | $918.1M |
| AMAT | NEW | opened 1.21M sh | $873.2M |
| MDLN | ADD | +9.18M sh (+78%) | $827.0M |
| LIN | NEW | opened 1.56M sh | $808.6M |
| TER | TRIM | -379.8K sh (-20%) | $722.4M |
| GLW | TRIM | -990.1K sh (-27%) | $696.8M |
| CVNA | ADD | +1.75M sh (+100%) | $692.5M |
| HUT | TRIM | -305.9K sh (-5%) | $666.5M |
| PFGC | ADD | +1.87M sh (+47%) | $654.3M |
| NU | ADD | +9.21M sh (+24%) | $630.9M |
| WULF | ADD | +4.22M sh (+21%) | $596.4M |
MAVERICK CAPITAL LTD84 new · 146 exited · 319 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| NVDA | TRIM | -118.1K sh (-4%) | $611.6M |
| AMD | ADD | +299.8K sh (+44%) | $567.2M |
| ALAB | ADD | +111.9K sh (+12%) | $515.5M |
| INTC | ADD | +673.4K sh (+22%) | $512.3M |
| GOOG | ADD | +569.4K sh (+65%) | $509.5M |
| AMZN | TRIM | -297.1K sh (-13%) | $481.7M |
| NU | ADD | +13.11M sh (+58%) | $475.0M |
| META | NEW | opened 764.0K sh | $430.4M |
| GFL | ADD | +6.35M sh (+165%) | $375.3M |
| NTRA | ADD | +185.0K sh (+16%) | $368.3M |
| TSM | TRIM | -525.6K sh (-42%) | $339.9M |
| DKS | ADD | +429.0K sh (+41%) | $334.3M |
| MSFT | ADD | +106.7K sh (+15%) | $310.5M |
| RTX | ADD | +185.6K sh (+14%) | $294.2M |
Altimeter Capital Management, LP9 new · 2 exited · 19 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| NVDA | ADD | +77.5K sh (+1%) | $1.88B |
| CBRS | NEW | opened 7.23M sh | $1.60B |
| META | TRIM | -598.4K sh (-31%) | $763.3M |
| TSM | ADD | +63.7K sh (+5%) | $682.6M |
| CRWV | ADD | +1.57M sh (+35%) | $604.6M |
| ARM | TRIM | -73.5K sh (-4%) | $582.2M |
| AMZN | ADD | +335.8K sh (+16%) | $578.1M |
| UBER | TRIM | -599.3K sh (-8%) | $532.0M |
| MSFT | ADD | +84.5K sh (+7%) | $473.0M |
| QCOM | NEW | opened 1.88M sh | $347.9M |
| SPCX | NEW | opened 1.78M sh | $303.5M |
| MU | NEW | opened 209.5K sh | $241.8M |
| AMAT | NEW | opened 261.9K sh | $189.4M |
| KLAC | NEW | opened 578.2K sh | $174.5M |
Appaloosa LP6 new · 12 exited · 34 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| AMZN | ADD | +680.0K sh (+16%) | $1.19B |
| MU | TRIM | -690.0K sh (-41%) | $1.13B |
| TSM | ADD | +322.5K sh (+24%) | $788.0M |
| GOOG | ADD | +117.3K sh (+7%) | $653.7M |
| UBER | ADD | +1.36M sh (+21%) | $555.2M |
| EWY | ADD | +25.0K sh (+1%) | $489.6M |
| META | ADD | +238.5K sh (+55%) | $380.2M |
| VST | ADD | +192.9K sh (+10%) | $351.4M |
| NVDA | ADD | +53.5K sh (+4%) | $305.1M |
| NRG | ADD | +25.6K sh (+1%) | $257.1M |
| BABA | TRIM | -1.47M sh (-42%) | $192.0M |
| BA | NEW | opened 800.0K sh | $173.2M |
| BIDU | ADD | +602.9K sh (+87%) | $148.0M |
| AAL | NEW | opened 7.50M sh | $135.5M |
SOROS FUND MANAGEMENT LLC86 new · 76 exited · 277 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| AMZN | TRIM | -763.3K sh (-39%) | $281.8M |
| GOOGL | ADD | +1.22M sh (+213%) | $273.3M |
| NVDA | TRIM | -8.6K sh (-1%) | $213.0M |
| EA | ADD | +5.2K sh (+1%) | $199.1M |
| AAPL | ADD | +29.0K sh (+6%) | $153.2M |
| LIN | ADD | +7.4K sh (+3%) | $138.7M |
| TKO | TRIM | -26.1K sh (-4%) | $116.4M |
| SMCI | NEW | opened 2.18M sh | $111.5M |
| AEP | NEW | opened 768.0K sh | $105.1M |
| ETR | ADD | +836.7K sh (+1084%) | $105.0M |
| ITRI | ADD | +360.5K sh (+46%) | $98.5M |
| DLR | ADD | +482.2K sh (+840%) | $96.9M |
| GTLS | TRIM | -53.9K sh (-11%) | $87.0M |
| NBIS | NEW | opened 310.0K sh | $85.6M |
Third Point LLC14 new · 9 exited · 40 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| WBD | NEW | opened 20.00M sh | $533.2M |
| GOOGL | ADD | +2.35M sh (+1343%) | $442.5M |
| AMZN | TRIM | -190.0K sh (-10%) | $417.1M |
| CRH | ADD | +295.0K sh (+16%) | $234.9M |
| TDS | TRIM | -325.0K sh (-5%) | $232.2M |
| TSM | ADD | +185.0K sh (+67%) | $219.7M |
| LYV | ADD | +670.0K sh (+144%) | $207.8M |
| KEYS | NEW | opened 585.0K sh | $204.8M |
| SGI | ADD | +300.0K sh (+13%) | $201.5M |
| XYZ | NEW | opened 2.56M sh | $194.5M |
| NSC | ADD | +500.0K sh (+500%) | $188.8M |
| FLEX | NEW | opened 1.03M sh | $166.9M |
| COF | ADD | +685.0K sh (+489%) | $165.5M |
| HUT | ADD | +445.4K sh (+51%) | $151.8M |
BAUPOST GROUP LLC/MA3 new · 2 exited · 20 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| AMZN | ADD | +625.1K sh (+20%) | $892.3M |
| QSR | TRIM | -1.33M sh (-16%) | $489.6M |
| GOOG | ADD | +190.8K sh (+16%) | $484.7M |
| FERG | ADD | +8.2K sh (+1%) | $344.3M |
| GPC | ADD | +1.33M sh (+89%) | $332.3M |
| UNP | TRIM | -355.6K sh (-23%) | $322.4M |
| WCC | TRIM | -774.0K sh (-54%) | $229.0M |
| AON | TRIM | -82.0K sh (-11%) | $227.9M |
| TFX | TRIM | -186.0K sh (-12%) | $178.6M |
| NCLH | ADD | +4.10M sh (+113%) | $163.2M |
| CME | NEW | opened 619.0K sh | $136.7M |
| EXP | TRIM | -362.0K sh (-41%) | $119.4M |
| GDS | ADD | +725.0K sh (+24%) | $113.2M |
| COLD | TRIM | -950.6K sh (-12%) | $107.4M |
ValueAct Holdings, L.P.1 new · 1 exited · 14 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| AMZN | ADD | +57.1K sh (+2%) | $701.1M |
| RKT | ADD | +13.45M sh (+48%) | $656.3M |
| BLK | ADD | +35.6K sh (+7%) | $559.3M |
| TOST | ADD | +1.24M sh (+10%) | $393.2M |
| KKR | ADD | +278.5K sh (+8%) | $326.6M |
| LLYVK | TRIM | -2.38M sh (-45%) | $309.0M |
| SPOT | ADD | +168.3K sh (+47%) | $241.9M |
| SSD | TRIM | -567.4K sh (-41%) | $173.9M |
| RBLX | TRIM | -2.70M sh (-46%) | $171.2M |
| CBRE | ADD | +757.8K sh (+323%) | $133.7M |
| MDB | TRIM | -872.1K sh (-84%) | $55.7M |
| LYV | TRIM | -322.6K sh (-52%) | $55.3M |
| PAYP | NEW | opened 2.15M sh | $30.9M |
| DIS | EXIT | sold out of 400.2K sh | $0 |
Duquesne Family Office LLC43 new · 23 exited · 91 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| NTRA | ADD | +122.7K sh (+4%) | $864.9M |
| TSM | ADD | +94.4K sh (+19%) | $281.6M |
| STM | ADD | +490.0K sh (+19%) | $232.4M |
| INSM | ADD | +270.6K sh (+23%) | $151.9M |
| FOXA | NEW | opened 2.84M sh | $144.6M |
| YPF | TRIM | -97.1K sh (-3%) | $142.7M |
| AMZN | ADD | +495.8K sh (+1083%) | $129.1M |
| TBBB | TRIM | -207.5K sh (-7%) | $120.9M |
| GOOGL | NEW | opened 336.3K sh | $120.2M |
| STX | ADD | +71.3K sh (+141%) | $117.7M |
| UAL | ADD | +532.3K sh (+203%) | $108.1M |
| CDW | NEW | opened 744.0K sh | $104.6M |
| SNDK | TRIM | -3.3K sh (-9%) | $79.4M |
| RVMD | ADD | +83.7K sh (+27%) | $74.8M |
BERKSHIRE HATHAWAY INC1 new · 1 exited · 7 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| ALLY | TRIM | -2.00M sh (-7%) | $1.24B |
| NYT | ADD | +553.5K sh (+4%) | $1.10B |
| COF | TRIM | -4.15M sh (-58%) | $601.9M |
| NUE | TRIM | -2.05M sh (-52%) | $413.8M |
| M | ADD | +4.31M sh (+142%) | $173.0M |
| DHI | NEW | opened 3.6K sh | $581K |
| STZ | EXIT | sold out of 632.9K sh | $0 |
Elliott Investment Management L.P.2 new · 2 exited · 7 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| SU | TRIM | -23.22M sh (-44%) | $1.58B |
| NCLH | ADD | +1.50M sh (+11%) | $310.0M |
| SDRL | TRIM | -279.4K sh (-6%) | $167.9M |
| SNPS | NEW | opened 227.5K sh | $101.5M |
| QNT | NEW | opened 150.0K sh | $12.3M |
| CCI | EXIT | sold out of 1.23M sh | $0 |
| GLIBA | EXIT | sold out of 659.9K sh | $0 |
Himalaya Capital Management LLC0 new · 6 exited · 8 positions changed
| Ticker | Action | Change | Value |
|---|---|---|---|
| PDD | ADD | +6.15M sh (+134%) | $820.9M |
| BRK.B | ADD | +210.6K sh (+23%) | $554.6M |
| BAC | EXIT | sold out of 3.00M sh | $0 |
| HRB | EXIT | sold out of 1.63M sh | $0 |
| MCO | EXIT | sold out of 117.8K sh | $0 |
| MSCI | EXIT | sold out of 18.9K sh | $0 |
| OXY | EXIT | sold out of 1.47M sh | $0 |
| SPGI | EXIT | sold out of 121.5K sh | $0 |
Most bought & most sold
| Ticker | Net $ | Net shares | Buy | Sell | New |
|---|---|---|---|---|---|
| C | +$34.93B | +250.73M | 2,925 | 1,080 | 397 |
| SPCX | +$28.25B | +201.76M | 1,610 | 1 | 1,609 |
| HONA | +$22.23B | +133.60M | 2,171 | 106 | 1,970 |
| GOOGL | +$18.95B | +54.80M | 2,638 | 2,693 | 332 |
| SPY | +$18.76B | +24.17M | 2,567 | 2,449 | 239 |
| AMZN | +$17.64B | +67.16M | 3,042 | 2,412 | 204 |
| CBRS | +$12.98B | +59.28M | 385 | 0 | 385 |
| STT | +$11.42B | +59.54M | 2,927 | 2,507 | 571 |
| META | +$10.11B | +17.13M | 2,531 | 2,021 | 154 |
| DVN | +$9.80B | +213.82M | 1,081 | 353 | 325 |
| STX | +$8.93B | +9.17M | 1,143 | 633 | 545 |
| GOOG | +$7.93B | +23.09M | 2,137 | 2,321 | 213 |
| ANET | +$7.73B | +38.90M | 1,843 | 1,133 | 392 |
| NBIS | +$7.45B | +26.83M | 663 | 325 | 380 |
| NVDA | +$6.94B | +30.81M | 3,131 | 2,421 | 237 |
| IQV | +$6.27B | +26.48M | 1,623 | 1,240 | 224 |
| INTC | +$6.23B | +60.80M | 2,009 | 1,220 | 1,046 |
| AMD | +$6.07B | +11.80M | 2,137 | 1,529 | 914 |
| CRWV | +$5.93B | +56.31M | 642 | 253 | 256 |
| PLTR | +$5.37B | +30.84M | 1,382 | 1,371 | 171 |
| MSFT | +$5.01B | +10.12M | 3,578 | 2,792 | 269 |
| MA | +$4.66B | +8.19M | 1,490 | 1,659 | 160 |
| SCHW | +$4.59B | +41.31M | 1,808 | 1,462 | 222 |
| WFC | +$4.10B | +46.12M | 1,217 | 1,205 | 166 |
| DLR | +$4.09B | +20.43M | 691 | 439 | 137 |
| Ticker | Net $ | Net shares | Buy | Sell | New |
|---|---|---|---|---|---|
| BLK | -$24.80B | -21.13M | 641 | 739 | 56 |
| BKNG | -$16.95B | -79.91M | 838 | 947 | 168 |
| ASND | -$16.25B | -65.39M | 166 | 156 | 80 |
| AAPL | -$14.45B | -47.22M | 2,795 | 3,129 | 165 |
| MU | -$13.83B | -14.24M | 2,410 | 1,834 | 1,033 |
| SNDK | -$10.58B | -6.45M | 1,196 | 537 | 702 |
| XOM | -$8.91B | -55.64M | 1,729 | 2,464 | 111 |
| MKSI | -$7.92B | -25.48M | 408 | 286 | 196 |
| COHR | -$7.70B | -23.65M | 1,224 | 1,219 | 401 |
| HTHT | -$7.67B | -183.14M | 106 | 159 | 27 |
| WDC | -$6.86B | -13.48M | 1,049 | 652 | 498 |
| ON | -$4.82B | -58.30M | 478 | 372 | 204 |
| IRTC | -$4.50B | -35.59M | 137 | 119 | 35 |
| LITE | -$4.45B | -4.81M | 829 | 436 | 347 |
| XYZ | -$4.39B | -53.00M | 525 | 405 | 164 |
| PANW | -$4.36B | -11.35M | 1,450 | 1,219 | 540 |
| LYV | -$4.27B | -22.66M | 399 | 348 | 110 |
| TSM | -$4.24B | -9.94M | 1,792 | 1,353 | 391 |
| GH | -$4.19B | -26.68M | 317 | 194 | 138 |
| AEIS | -$4.02B | -12.18M | 362 | 269 | 165 |
| BE | -$3.29B | -14.29M | 754 | 440 | 362 |
| TMO | -$3.28B | -5.57M | 1,072 | 1,253 | 165 |
| MRVL | -$3.23B | -14.55M | 1,350 | 725 | 749 |
| OKTA | -$3.18B | -21.59M | 414 | 368 | 171 |
| GE | -$3.08B | -8.36M | 1,801 | 1,315 | 354 |
Data quality
Stock splits neutralised: a split multiplies every holder's share count, which a raw quarter-over-quarter diff reads as massive buying. Detected from the filer population (one common factor moving everyone) and backed out before any total: BKNG 25:1 (1680) KLAC 10:1 (1910) PPLT 10:1 (189) SBS 5:1 (212) PALL 5:1 (101) CVNA 5:1 (646) POWL 3:1 (376) SUMA 2:1 (21) HON 1:2 (2285) DD 1:3 (1007) CDLX 1:10 (26) UPLD 1:10 (20) PRTS 1:10 (20) NAKA 1:40 (26)
Rows excluded as unreliable: 31,090 — filings whose own share count and reported value imply an impossible price, or whose position is wildly larger than every other holder of the same stock. 13F data contains genuine fat-fingers, and one bad row can invent billions in flow.
Reported without a diff: 63,277 positions, from filers whose previous quarter is missing, unparseable, or a placeholder. They are shown but counted as neither buying nor selling — a parse failure must never become a data point.
Debt, not equity: 11,639 positions are convertible bonds and notes, which a 13F reports alongside stock. On those rows the share column is PRINCIPAL IN DOLLARS, not a share count — counting them as equity made one convertible-bond fund look like it opened a $22.7B stake in a $4B company. They are identified by the CUSIP issue characters (037833100 is Apple stock; 037833AK6 is an Apple bond) and excluded from share flows, exactly like listed options.
Unmatched to a ticker: 523,606 positions, mostly ETF trusts identifiable only by CUSIP. Listed, never silently dropped.
Rows excluded as unreliable: 31,090 — filings whose own share count and reported value imply an impossible price, or whose position is wildly larger than every other holder of the same stock. 13F data contains genuine fat-fingers, and one bad row can invent billions in flow.
Reported without a diff: 63,277 positions, from filers whose previous quarter is missing, unparseable, or a placeholder. They are shown but counted as neither buying nor selling — a parse failure must never become a data point.
Debt, not equity: 11,639 positions are convertible bonds and notes, which a 13F reports alongside stock. On those rows the share column is PRINCIPAL IN DOLLARS, not a share count — counting them as equity made one convertible-bond fund look like it opened a $22.7B stake in a $4B company. They are identified by the CUSIP issue characters (037833100 is Apple stock; 037833AK6 is an Apple bond) and excluded from share flows, exactly like listed options.
Unmatched to a ticker: 523,606 positions, mostly ETF trusts identifiable only by CUSIP. Listed, never silently dropped.
Filings feed
| Filed (UTC) | Filer | Positions | Portfolio |
|---|---|---|---|
| 2026-08-14 21:29 | Merited Wealth, LLC | 70 | $141.4M |
| 2026-08-14 21:29 | Passaic Partners LLC | 15 | $1.36B |
| 2026-08-14 21:28 | Cook & Bynum Capital Management, LLC | 5 | $134.5M |
| 2026-08-14 21:28 | Bristol Gate Capital Partners Inc. | 33 | $1.44B |
| 2026-08-14 21:26 | ABS Investment Management LLC | 111 | $159.2M |
| 2026-08-14 21:26 | Haveli Investment Management LLC | 4 | $179.9M |
| 2026-08-14 21:25 | III Capital Management | 49 | $394.0M |
| 2026-08-14 21:25 | ARCH Venture Management, LLC | 12 | $1.10B |
| 2026-08-14 21:23 | Bakala Capital LLC | 11 | $22.8M |
| 2026-08-14 21:22 | Militia Capital Partners, LP | 215 | $435.4M |
| 2026-08-14 21:21 | Medallion Wealth Advisors, LLC | 1,158 | $317.3M |
| 2026-08-14 21:21 | Anatole Investment Management Ltd | 13 | $589.8M |
| 2026-08-14 21:21 | Authentikos Wealth Advisory, LLC | 72 | $156.7M |
| 2026-08-14 21:19 | Tripletail Wealth Management, LLC | 270 | $86.9M |
| 2026-08-14 21:19 | Lodge Hill Capital, LLC | 27 | $596.4M |
| 2026-08-14 21:18 | TORONTO DOMINION BANK | 1,965 | $86.45B |
| 2026-08-14 21:18 | Third Point LLC ★ | 39 | $4.68B |
| 2026-08-14 21:17 | GREENOAKS LLC | 10 | $2.36B |
| 2026-08-14 21:17 | SYLEBRA CAPITAL LLC | 9 | $944.5M |
| 2026-08-14 21:17 | Militia Capital Partners, LP | 208 | $410.8M |
| 2026-08-14 21:16 | IRONWOOD INVESTMENT MANAGEMENT LLC | 176 | $289.2M |
| 2026-08-14 21:16 | Schonfeld Strategic Advisors LLC | 2,439 | $27.89B |
| 2026-08-14 21:15 | WHITEBOX ADVISORS LLC | 492 | $7.65B |
| 2026-08-14 21:15 | GOLDMAN SACHS GROUP INC | 6,225 | $1.15T |
| 2026-08-14 21:14 | PFM Health Sciences, LP | 98 | $1.17B |
| 2026-08-14 21:14 | SELDON CAPITAL LP | 74 | $319.6M |
| 2026-08-14 21:13 | Nut Tree Capital Management, LP | 8 | $419.0M |
| 2026-08-14 21:13 | Bawa N Mallick Trust | 72 | $309.1M |
| 2026-08-14 21:13 | NEW ENGLAND ASSET MANAGEMENT INC | 125 | $863.4M |
| 2026-08-14 21:13 | Financial Advisors Network, Inc. | 201 | $815.6M |
How to read this — and what it is not. A 13F is a quarter-end snapshot filed up
to 45 days late. Everything here describes positions as of 2026-06-30, not today: a fund may
have already sold what it reports buying. What the deadline window gives you is the moment that
information becomes public simultaneously, which is why these two days move stocks.
Net $ multiplies the net share change by our own latest nightly close, so it measures
position size in today's money, not what the fund paid. 13Fs cover long US-listed equity only
— no shorts, no bonds, no foreign listings — so an "exit" can simply mean the holding
moved somewhere a 13F does not reach. Listed option positions are tagged in the filings and are
excluded from share flows so they cannot inflate apparent stock buying. Holdings we cannot
map to a ticker (mostly ETF trusts, identifiable only by CUSIP) are shown as
unmatched rather than dropped. Coverage is whatever the sweep has
parsed so far — the queue count above tells you how much is still outstanding.
Last sweep: 2026-08-15 07:26 UTC.