Tour v509
Requests
New Request
View All
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
SEMDecagon Asset Management LLP$44.83B2.72Mfirst seen2026-08-14
AIIRHarraden Circle Investments, LLC$33.29B5.00MKNOWN 08-142026-08-14
VLOSMETEORA CAPITAL, LLC$30.75B3.48Mfirst seen2026-08-14
TONTHarraden Circle Investments, LLC$22.46B4.00Mfirst seen2026-08-14
BDCIMETEORA CAPITAL, LLC$19.92B2.50MKNOWN 08-142026-08-14
RMIXHarraden Circle Investments, LLC$17.65B783.3KKNOWN 08-142026-08-14
CUBDecagon Asset Management LLP$16.16B1.50MKNOWN 08-132026-08-14
GCGRMETEORA CAPITAL, LLC$15.84B1.97Mfirst seen2026-08-14
GSRVHarraden Circle Investments, LLC$15.71B1.57MKNOWN 08-142026-08-14
OCACHarraden Circle Investments, LLC$14.20B1.39MKNOWN 08-142026-08-14
CUBHarraden Circle Investments, LLC$13.98B1.30MKNOWN 08-142026-08-14
VACIDecagon Asset Management LLP$13.77B1.52Mfirst seen2026-08-14
AESPHarraden Circle Investments, LLC$13.48B1.33MKNOWN 08-142026-08-14
FTRAHarraden Circle Investments, LLC$12.66B1.25MKNOWN 08-142026-08-14
QLEPDecagon Asset Management LLP$11.96B1.20Mfirst seen2026-08-14
BLUE ACQUISITION CORP.Harraden Circle Investments, LLC$11.29B1.06Mfirst seen2026-08-14
KEYYMETEORA CAPITAL, LLC$11.25B1.67Mfirst seen2026-08-14
CHURCHILL CAPITAL CORP IXHarraden Circle Investments, LLC$10.74B986.6Kfirst seen2026-08-14
ATIIDecagon Asset Management LLP$10.11B937.8Kfirst seen2026-08-14
CAESMETEORA CAPITAL, LLC$10.09B1.00Mfirst seen2026-08-14
QREDDecagon Asset Management LLP$10.08B1.98MKNOWN 08-132026-08-14
YICCHarraden Circle Investments, LLC$10.04B1.00Mfirst seen2026-08-14
GHXIMETEORA CAPITAL, LLC$9.51B936.8Kfirst seen2026-08-14
OTAIDecagon Asset Management LLP$9.25B1.83MKNOWN 08-132026-08-14
JABDecagon Asset Management LLP$9.11B908.0KKNOWN 08-132026-08-14

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 srcPershing Square Capital Management, L.ALCNew position disclosed pre-13F--2026-06-302026-08-12
announced srcPershing Square Capital Management, L.ICENew position disclosed pre-13F--2026-06-302026-08-12
announced srcPershing Square Capital Management, L.SPGINew position disclosed pre-13F--2026-06-302026-08-12
announced srcPershing Square Capital Management, L.MANew position disclosed pre-13F--2026-06-302026-08-12
announced srcPershing Square Capital Management, L.VNew position disclosed pre-13F--2026-06-302026-08-12
announced srcPershing Square Capital Management, L.NFLXNew position, ~4.9% of portfolio, disclosed in Q2 in3.15M sh2026-06-302026-08-12
13DMudrick Capital Management, L.P.Vertical Aerospace Ltd.64.2% of class214.70M sh2026-08-122026-08-14
13DMudrick Capital Management, LLCVertical Aerospace Ltd.64.2% of class214.70M sh2026-08-122026-08-14
13DJason MudrickVertical Aerospace Ltd.64.2% of class214.70M sh2026-08-122026-08-14
13DMuhammad Asif SeemabPLCE61.6% of class13.70M sh2026-08-112026-08-14
13DMithaq Capital SPCPLCE61.1% of class13.59M sh2026-08-112026-08-14
13DMithaq GlobalPLCE61.1% of class13.59M sh2026-08-112026-08-14
13DMithaq CapitalPLCE61.1% of class13.59M sh2026-08-112026-08-14
13DTurki Saleh A. AlrajhiPLCE61.1% of class13.59M sh2026-08-112026-08-14
13DSIT INVESTMENT ASSOCIATES INCABERDEEN GOVERNMENT MARKET34.8% of class11.34M sh2026-08-122026-08-14
13DSIT FIXED INCOME ADVISORS II LLC /ADVABERDEEN GOVERNMENT MARKET34.8% of class11.34M sh2026-08-122026-08-14
13DBleichroeder LPMDxHealth SA33.2% of class31.65M sh2026-08-112026-08-14
13DBleichroeder Holdings LLCMDxHealth SA33.2% of class31.65M sh2026-08-112026-08-14
13DAndrew GundlachMDxHealth SA33.2% of class31.65M sh2026-08-112026-08-14
13DMudrick Distressed Opportunity Fund GlVertical Aerospace Ltd.20.0% of class40.23M sh2026-08-122026-08-14
13DMudrick GP, LLCVertical Aerospace Ltd.20.0% of class40.23M sh2026-08-122026-08-14
13DMeteora Capital, LLCInvestcorp Europe Acquisit18.8% of class2.00M sh2026-06-302026-08-14
13DGoldenTree Asset Management LPQVC GROUP, INC.17.1% of class8.56M sh2026-08-072026-08-14
13DGoldenTree Asset Management LLCQVC GROUP, INC.17.1% of class8.56M sh2026-08-072026-08-14
13DSteven A. TananbaumQVC GROUP, INC.17.1% of class8.56M sh2026-08-072026-08-14

Marquee filers

BlackRock, Inc.229 new · 186 exited · 3648 positions changed
TickerActionChangeValue
ISHARES TRADD+1.99M sh (+2%)$65.84B
ISHARES TRTRIM-4.34M sh (-2%)$26.16B
ISHARES TRADD+1.97M sh (+5%)$4.52B
ISHARES TRADD+11.28M sh (+16%)$3.79B
ISHARES TRADD+2.53M sh (+9%)$2.57B
ISHARES INCADD+9.48M sh (+53%)$2.56B
PDDTRIM-7.44M sh (-19%)$2.44B
ISHARES TRADD+2.13M sh (+9%)$2.42B
ISHARES TRADD+1.11M sh (+4%)$2.24B
ISHARES TRTRIM-2.31M sh (-11%)$2.10B
AERADD+810.4K sh (+6%)$2.00B
ISHARES TRADD+273.8K sh (+2%)$2.00B
BAPADD+208.2K sh (+4%)$1.93B
TLNADD+265.4K sh (+6%)$1.67B
GEODE CAPITAL MANAGEMENT, LLC123 new · 189 exited · 3927 positions changed
TickerActionChangeValue
BLKADD+30.9K sh (+1%)$3.14B
TDADD+1.70M sh (+10%)$2.41B
FLEXADD+1.97M sh (+24%)$1.66B
CRHADD+84.6K sh (+1%)$1.62B
BMOADD+661.6K sh (+9%)$1.46B
EBAYADD+132.9K sh (+1%)$1.40B
ALABADD+287.9K sh (+11%)$1.35B
HUMADD+43.1K sh (+1%)$1.34B
TELADD+108.5K sh (+2%)$1.33B
AXONADD+56.5K sh (+3%)$1.29B
BNSADD+1.47M sh (+11%)$1.28B
CMADD+1.06M sh (+11%)$1.26B
STTTRIM-327.6K sh (-4%)$1.26B
VTRADD+507.3K sh (+4%)$1.24B
AQR CAPITAL MANAGEMENT LLC235 new · 84 exited · 3694 positions changed
TickerActionChangeValue
NVDAADD+5.70M sh (+18%)$7.49B
AAPLADD+2.97M sh (+20%)$5.01B
MUTRIM-666.8K sh (-14%)$4.47B
MSFTADD+1.51M sh (+14%)$4.29B
AMZNADD+2.46M sh (+26%)$2.84B
AVGOADD+497.9K sh (+8%)$2.52B
GOOGADD+1.14M sh (+22%)$2.24B
GOOGLADD+226.0K sh (+4%)$2.11B
FIXTRIM-57.2K sh (-5%)$2.08B
WDCTRIM-518.6K sh (-15%)$1.88B
GEVADD+40.8K sh (+3%)$1.71B
ABNBADD+2.62M sh (+33%)$1.52B
LRCXADD+33.3K sh (+1%)$1.51B
INTCTRIM-727.5K sh (-6%)$1.47B
WELLINGTON MANAGEMENT GROUP LLP204 new · 152 exited · 1744 positions changed
TickerActionChangeValue
MUADD+1.13M sh (+29%)$5.82B
BLKADD+1.04M sh (+24%)$4.39B
TSMTRIM-1.21M sh (-16%)$3.05B
LINTRIM-337.3K sh (-7%)$2.50B
SNDKADD+443.7K sh (+71%)$2.43B
INTCADD+14.24M sh (+580%)$2.33B
STXADD+2.33M sh (+2656%)$2.33B
TTEADD+4.01M sh (+18%)$2.05B
TJXTRIM-1.16M sh (-9%)$1.84B
BRK.BADD+1.97M sh (+120%)$1.81B
FERGTRIM-1.28M sh (-15%)$1.71B
VRTXADD+35.1K sh (+1%)$1.61B
TELADD+2.51M sh (+48%)$1.55B
ISRGTRIM-157.3K sh (-4%)$1.51B
CITADEL ADVISORS LLC1560 new · 1250 exited · 7273 positions changed
TickerActionChangeValue
ISHARES TRADD+13.62M sh (+335%)$13.24B
AMZNADD+2.78M sh (+34%)$2.59B
NVDATRIM-6.90M sh (-37%)$2.36B
AAPLADD+2.99M sh (+57%)$2.19B
MSFTADD+812.5K sh (+27%)$1.41B
GOOGLADD+5.46M sh (+192%)$1.34B
BLKADD+263.5K sh (+8%)$1.24B
EAADD+3.00M sh (+103%)$1.21B
WBDADD+15.21M sh (+52%)$1.19B
LLYADD+703.7K sh (+291%)$1.13B
AVGOTRIM-355.7K sh (-11%)$1.10B
AMDADD+972.0K sh (+155%)$929.1M
GOOGADD+141.5K sh (+6%)$899.4M
SPCXNEWopened 5.13M sh$876.5M
MILLENNIUM MANAGEMENT LLC505 new · 560 exited · 3927 positions changed
TickerActionChangeValue
ISHARES TRADD+1.52M sh (+12%)$10.86B
SPYADD+4.24M sh (+680%)$3.63B
NVDAADD+1.57M sh (+15%)$2.43B
MSFTADD+1.44M sh (+52%)$1.58B
VANGUARD INDEX FDSADD+808.3K sh (+79%)$1.25B
AMZNADD+1.31M sh (+47%)$981.2M
EAADD+62.0K sh (+1%)$889.4M
SNDKTRIM-776.2K sh (-68%)$832.5M
BEADD+2.14M sh (+552%)$763.5M
TSMTRIM-640.4K sh (-29%)$760.5M
METATRIM-705.6K sh (-35%)$731.9M
FCXTRIM-1.22M sh (-10%)$720.2M
KVUEADD+5.14M sh (+16%)$705.9M
QQQADD+315.6K sh (+51%)$687.5M
TWO SIGMA INVESTMENTS, LP595 new · 371 exited · 3865 positions changed
TickerActionChangeValue
AMZNTRIM-618.9K sh (-10%)$1.36B
AAPLTRIM-767.1K sh (-13%)$1.30B
NVDATRIM-4.95M sh (-44%)$1.26B
TSLATRIM-51.3K sh (-2%)$1.20B
BRK.BADD+652.8K sh (+40%)$1.14B
STTADD+4.22M sh (+59%)$1.05B
GOOGLADD+2.09M sh (+47%)$1.02B
JPMTRIM-353.4K sh (-11%)$968.1M
MAADD+166.0K sh (+10%)$945.6M
COSTADD+131.4K sh (+15%)$941.3M
ASMLADD+82.6K sh (+22%)$918.1M
AMDADD+143.4K sh (+10%)$880.3M
CADD+1.64M sh (+38%)$831.1M
BSXADD+9.95M sh (+106%)$826.2M
RENAISSANCE TECHNOLOGIES LLC535 new · 611 exited · 3650 positions changed
TickerActionChangeValue
NVDAADD+4.56M sh (+181%)$1.42B
METAADD+1.77M sh (+698%)$1.14B
INTCTRIM-77.5K sh (-1%)$1.02B
UTHRTRIM-78.3K sh (-4%)$925.8M
PLTRADD+582.4K sh (+8%)$883.0M
GOOGLADD+1.77M sh (+327%)$828.2M
EXELTRIM-299.0K sh (-2%)$730.6M
VRSNTRIM-368.4K sh (-13%)$616.3M
KGCTRIM-799.2K sh (-3%)$584.5M
CRWDNEWopened 749.0K sh$571.6M
STRLTRIM-94.7K sh (-12%)$564.2M
GOOGADD+1.37M sh (+684%)$556.8M
AMZNNEWopened 2.29M sh$546.0M
AGXADD+37.5K sh (+6%)$517.8M
Point72 Asset Management, L.P.609 new · 596 exited · 2432 positions changed
TickerActionChangeValue
CRDOTRIM-1.33M sh (-18%)$1.67B
ASMLTRIM-10.1K sh (-2%)$1.10B
AMZNTRIM-509.3K sh (-10%)$1.06B
ANETTRIM-1.41M sh (-21%)$873.1M
STXADD+276.5K sh (+51%)$794.1M
AMDTRIM-86.2K sh (-6%)$771.7M
TSMTRIM-253.9K sh (-14%)$766.0M
PGADD+2.22M sh (+106%)$633.9M
RTXADD+1.25M sh (+61%)$625.7M
COFADD+880.6K sh (+53%)$507.4M
ORCLADD+2.20M sh (+175%)$502.1M
MDLZADD+3.29M sh (+67%)$475.2M
KDPADD+12.97M sh (+1319%)$456.5M
AMATTRIM-1.12M sh (-65%)$433.8M
Artisan Partners Limited Partnership44 new · 42 exited · 358 positions changed
TickerActionChangeValue
GOOGLTRIM-86.1K sh (-2%)$1.98B
SCHWADD+1.48M sh (+8%)$1.75B
CTRIM-142.5K sh (-1%)$1.59B
ICLRADD+357.5K sh (+4%)$1.50B
BRK.BADD+287.9K sh (+11%)$1.45B
ARGXADD+40.8K sh (+3%)$1.40B
METAADD+24.3K sh (+1%)$1.33B
MRSHADD+2.39M sh (+49%)$1.21B
PGRTRIM-76.5K sh (-1%)$1.12B
AXTAADD+2.94M sh (+10%)$1.09B
AMZNTRIM-999.0K sh (-18%)$1.05B
IQVTRIM-315.4K sh (-6%)$916.5M
CPNGADD+16.77M sh (+50%)$876.1M
WSTTRIM-246.1K sh (-9%)$865.8M
COATUE MANAGEMENT LLC8 new · 5 exited · 40 positions changed
TickerActionChangeValue
TSMTRIM-368.6K sh (-4%)$4.26B
LRCXTRIM-601.9K sh (-6%)$4.09B
MUADD+2.98M sh (+1794%)$3.63B
AMATTRIM-1.03M sh (-20%)$3.05B
AMZNADD+3.90M sh (+49%)$2.82B
AVGOADD+343.0K sh (+6%)$2.21B
GOOGLADD+542.8K sh (+13%)$1.74B
INTCNEWopened 12.08M sh$1.69B
CBRSNEWopened 7.01M sh$1.55B
METATRIM-286.0K sh (-10%)$1.42B
EQIXADD+182.6K sh (+17%)$1.33B
NVDATRIM-276.4K sh (-4%)$1.21B
FPSNEWopened 20.50M sh$1.15B
HUTNEWopened 9.72M sh$1.12B
VIKING GLOBAL INVESTORS LP34 new · 21 exited · 98 positions changed
TickerActionChangeValue
VADD+65.4K sh (+1%)$2.19B
TSMTRIM-1.30M sh (-29%)$1.51B
SHWADD+763.1K sh (+25%)$1.33B
METAADD+805.0K sh (+76%)$1.05B
SCHWTRIM-4.03M sh (-27%)$981.6M
TMOADD+269.4K sh (+16%)$971.3M
JPMADD+195.4K sh (+7%)$949.1M
LIIADD+18.5K sh (+1%)$911.5M
AMZNADD+2.51M sh (+210%)$882.1M
RACENEWopened 2.20M sh$816.9M
CVNATRIM-1.58M sh (-57%)$811.1M
MCDTRIM-795.9K sh (-22%)$764.7M
BBIOTRIM-1.89M sh (-16%)$741.0M
BAADD+78.8K sh (+2%)$708.9M
Bridgewater Associates, LP212 new · 209 exited · 1189 positions changed
TickerActionChangeValue
SPYADD+955.4K sh (+22%)$3.97B
ISHARES TRADD+323.2K sh (+12%)$2.25B
NVDATRIM-826.8K sh (-18%)$773.6M
AVGOTRIM-517.5K sh (-28%)$497.8M
AMZNTRIM-2.36M sh (-54%)$482.8M
GOOGLTRIM-675.5K sh (-34%)$472.5M
LRCXTRIM-633.0K sh (-40%)$406.6M
VANGUARD INDEX FDSADD+299.8K sh (+189%)$314.8M
AMDTRIM-754.1K sh (-58%)$312.9M
EWYTRIM-381.5K sh (-22%)$279.6M
MSFTTRIM-373.1K sh (-34%)$265.6M
NEMADD+378.5K sh (+16%)$251.7M
AMATTRIM-268.5K sh (-48%)$210.7M
ORCLTRIM-159.1K sh (-10%)$210.0M
TIGER GLOBAL MANAGEMENT LLC9 new · 16 exited · 50 positions changed
TickerActionChangeValue
TSMTRIM-684.1K sh (-12%)$2.33B
AMZNTRIM-316.4K sh (-3%)$2.31B
NVDATRIM-813.0K sh (-7%)$2.24B
GOOGLTRIM-4.83M sh (-45%)$2.07B
METATRIM-263.7K sh (-9%)$1.59B
LRCXTRIM-736.9K sh (-19%)$1.37B
AMATTRIM-24.7K sh (-1%)$1.18B
GEVTRIM-175.5K sh (-18%)$937.0M
MSFTTRIM-233.1K sh (-9%)$845.6M
CPAYADD+397.7K sh (+23%)$716.5M
CBRSNEWopened 3.00M sh$662.8M
AVGOTRIM-1.83M sh (-51%)$662.6M
CPNGADD+1.87M sh (+5%)$633.4M
INTCADD+2.61M sh (+160%)$593.8M
LONE PINE CAPITAL LLC13 new · 15 exited · 49 positions changed
TickerActionChangeValue
NBISNEWopened 4.26M sh$1.18B
ASMLTRIM-86.0K sh (-13%)$1.13B
STXNEWopened 1.00M sh$965.1M
HDNEWopened 2.60M sh$918.1M
AMATNEWopened 1.21M sh$873.2M
MDLNADD+9.18M sh (+78%)$827.0M
LINNEWopened 1.56M sh$808.6M
TERTRIM-379.8K sh (-20%)$722.4M
GLWTRIM-990.1K sh (-27%)$696.8M
CVNAADD+1.75M sh (+100%)$692.5M
HUTTRIM-305.9K sh (-5%)$666.5M
PFGCADD+1.87M sh (+47%)$654.3M
NUADD+9.21M sh (+24%)$630.9M
WULFADD+4.22M sh (+21%)$596.4M
MAVERICK CAPITAL LTD84 new · 146 exited · 319 positions changed
TickerActionChangeValue
NVDATRIM-118.1K sh (-4%)$611.6M
AMDADD+299.8K sh (+44%)$567.2M
ALABADD+111.9K sh (+12%)$515.5M
INTCADD+673.4K sh (+22%)$512.3M
GOOGADD+569.4K sh (+65%)$509.5M
AMZNTRIM-297.1K sh (-13%)$481.7M
NUADD+13.11M sh (+58%)$475.0M
METANEWopened 764.0K sh$430.4M
GFLADD+6.35M sh (+165%)$375.3M
NTRAADD+185.0K sh (+16%)$368.3M
TSMTRIM-525.6K sh (-42%)$339.9M
DKSADD+429.0K sh (+41%)$334.3M
MSFTADD+106.7K sh (+15%)$310.5M
RTXADD+185.6K sh (+14%)$294.2M
Altimeter Capital Management, LP9 new · 2 exited · 19 positions changed
TickerActionChangeValue
NVDAADD+77.5K sh (+1%)$1.88B
CBRSNEWopened 7.23M sh$1.60B
METATRIM-598.4K sh (-31%)$763.3M
TSMADD+63.7K sh (+5%)$682.6M
CRWVADD+1.57M sh (+35%)$604.6M
ARMTRIM-73.5K sh (-4%)$582.2M
AMZNADD+335.8K sh (+16%)$578.1M
UBERTRIM-599.3K sh (-8%)$532.0M
MSFTADD+84.5K sh (+7%)$473.0M
QCOMNEWopened 1.88M sh$347.9M
SPCXNEWopened 1.78M sh$303.5M
MUNEWopened 209.5K sh$241.8M
AMATNEWopened 261.9K sh$189.4M
KLACNEWopened 578.2K sh$174.5M
Appaloosa LP6 new · 12 exited · 34 positions changed
TickerActionChangeValue
AMZNADD+680.0K sh (+16%)$1.19B
MUTRIM-690.0K sh (-41%)$1.13B
TSMADD+322.5K sh (+24%)$788.0M
GOOGADD+117.3K sh (+7%)$653.7M
UBERADD+1.36M sh (+21%)$555.2M
EWYADD+25.0K sh (+1%)$489.6M
METAADD+238.5K sh (+55%)$380.2M
VSTADD+192.9K sh (+10%)$351.4M
NVDAADD+53.5K sh (+4%)$305.1M
NRGADD+25.6K sh (+1%)$257.1M
BABATRIM-1.47M sh (-42%)$192.0M
BANEWopened 800.0K sh$173.2M
BIDUADD+602.9K sh (+87%)$148.0M
AALNEWopened 7.50M sh$135.5M
SOROS FUND MANAGEMENT LLC86 new · 76 exited · 277 positions changed
TickerActionChangeValue
AMZNTRIM-763.3K sh (-39%)$281.8M
GOOGLADD+1.22M sh (+213%)$273.3M
NVDATRIM-8.6K sh (-1%)$213.0M
EAADD+5.2K sh (+1%)$199.1M
AAPLADD+29.0K sh (+6%)$153.2M
LINADD+7.4K sh (+3%)$138.7M
TKOTRIM-26.1K sh (-4%)$116.4M
SMCINEWopened 2.18M sh$111.5M
AEPNEWopened 768.0K sh$105.1M
ETRADD+836.7K sh (+1084%)$105.0M
ITRIADD+360.5K sh (+46%)$98.5M
DLRADD+482.2K sh (+840%)$96.9M
GTLSTRIM-53.9K sh (-11%)$87.0M
NBISNEWopened 310.0K sh$85.6M
Third Point LLC14 new · 9 exited · 40 positions changed
TickerActionChangeValue
WBDNEWopened 20.00M sh$533.2M
GOOGLADD+2.35M sh (+1343%)$442.5M
AMZNTRIM-190.0K sh (-10%)$417.1M
CRHADD+295.0K sh (+16%)$234.9M
TDSTRIM-325.0K sh (-5%)$232.2M
TSMADD+185.0K sh (+67%)$219.7M
LYVADD+670.0K sh (+144%)$207.8M
KEYSNEWopened 585.0K sh$204.8M
SGIADD+300.0K sh (+13%)$201.5M
XYZNEWopened 2.56M sh$194.5M
NSCADD+500.0K sh (+500%)$188.8M
FLEXNEWopened 1.03M sh$166.9M
COFADD+685.0K sh (+489%)$165.5M
HUTADD+445.4K sh (+51%)$151.8M
BAUPOST GROUP LLC/MA3 new · 2 exited · 20 positions changed
TickerActionChangeValue
AMZNADD+625.1K sh (+20%)$892.3M
QSRTRIM-1.33M sh (-16%)$489.6M
GOOGADD+190.8K sh (+16%)$484.7M
FERGADD+8.2K sh (+1%)$344.3M
GPCADD+1.33M sh (+89%)$332.3M
UNPTRIM-355.6K sh (-23%)$322.4M
WCCTRIM-774.0K sh (-54%)$229.0M
AONTRIM-82.0K sh (-11%)$227.9M
TFXTRIM-186.0K sh (-12%)$178.6M
NCLHADD+4.10M sh (+113%)$163.2M
CMENEWopened 619.0K sh$136.7M
EXPTRIM-362.0K sh (-41%)$119.4M
GDSADD+725.0K sh (+24%)$113.2M
COLDTRIM-950.6K sh (-12%)$107.4M
ValueAct Holdings, L.P.1 new · 1 exited · 14 positions changed
TickerActionChangeValue
AMZNADD+57.1K sh (+2%)$701.1M
RKTADD+13.45M sh (+48%)$656.3M
BLKADD+35.6K sh (+7%)$559.3M
TOSTADD+1.24M sh (+10%)$393.2M
KKRADD+278.5K sh (+8%)$326.6M
LLYVKTRIM-2.38M sh (-45%)$309.0M
SPOTADD+168.3K sh (+47%)$241.9M
SSDTRIM-567.4K sh (-41%)$173.9M
RBLXTRIM-2.70M sh (-46%)$171.2M
CBREADD+757.8K sh (+323%)$133.7M
MDBTRIM-872.1K sh (-84%)$55.7M
LYVTRIM-322.6K sh (-52%)$55.3M
PAYPNEWopened 2.15M sh$30.9M
DISEXITsold out of 400.2K sh$0
Duquesne Family Office LLC43 new · 23 exited · 91 positions changed
TickerActionChangeValue
NTRAADD+122.7K sh (+4%)$864.9M
TSMADD+94.4K sh (+19%)$281.6M
STMADD+490.0K sh (+19%)$232.4M
INSMADD+270.6K sh (+23%)$151.9M
FOXANEWopened 2.84M sh$144.6M
YPFTRIM-97.1K sh (-3%)$142.7M
AMZNADD+495.8K sh (+1083%)$129.1M
TBBBTRIM-207.5K sh (-7%)$120.9M
GOOGLNEWopened 336.3K sh$120.2M
STXADD+71.3K sh (+141%)$117.7M
UALADD+532.3K sh (+203%)$108.1M
CDWNEWopened 744.0K sh$104.6M
SNDKTRIM-3.3K sh (-9%)$79.4M
RVMDADD+83.7K sh (+27%)$74.8M
BERKSHIRE HATHAWAY INC1 new · 1 exited · 7 positions changed
TickerActionChangeValue
ALLYTRIM-2.00M sh (-7%)$1.24B
NYTADD+553.5K sh (+4%)$1.10B
COFTRIM-4.15M sh (-58%)$601.9M
NUETRIM-2.05M sh (-52%)$413.8M
MADD+4.31M sh (+142%)$173.0M
DHINEWopened 3.6K sh$581K
STZEXITsold out of 632.9K sh$0
Elliott Investment Management L.P.2 new · 2 exited · 7 positions changed
TickerActionChangeValue
SUTRIM-23.22M sh (-44%)$1.58B
NCLHADD+1.50M sh (+11%)$310.0M
SDRLTRIM-279.4K sh (-6%)$167.9M
SNPSNEWopened 227.5K sh$101.5M
QNTNEWopened 150.0K sh$12.3M
CCIEXITsold out of 1.23M sh$0
GLIBAEXITsold out of 659.9K sh$0
Himalaya Capital Management LLC0 new · 6 exited · 8 positions changed
TickerActionChangeValue
PDDADD+6.15M sh (+134%)$820.9M
BRK.BADD+210.6K sh (+23%)$554.6M
BACEXITsold out of 3.00M sh$0
HRBEXITsold out of 1.63M sh$0
MCOEXITsold out of 117.8K sh$0
MSCIEXITsold out of 18.9K sh$0
OXYEXITsold out of 1.47M sh$0
SPGIEXITsold out of 121.5K sh$0
ICAHN CARL C0 new · 0 exited · 3 positions changed
TickerActionChangeValue
JBLUTRIM-12.96M sh (-39%)$118.4M
SDADD+107.2K sh (+2%)$69.3M
AEPTRIM-770.6K sh (-64%)$59.5M

Most bought & most sold

Ticker Net $ Net shares Buy Sell New
C+$34.93B+250.73M2,9251,080397
SPCX+$28.25B+201.76M1,61011,609
HONA+$22.23B+133.60M2,1711061,970
GOOGL+$18.95B+54.80M2,6382,693332
SPY+$18.76B+24.17M2,5672,449239
AMZN+$17.64B+67.16M3,0422,412204
CBRS+$12.98B+59.28M3850385
STT+$11.42B+59.54M2,9272,507571
META+$10.11B+17.13M2,5312,021154
DVN+$9.80B+213.82M1,081353325
STX+$8.93B+9.17M1,143633545
GOOG+$7.93B+23.09M2,1372,321213
ANET+$7.73B+38.90M1,8431,133392
NBIS+$7.45B+26.83M663325380
NVDA+$6.94B+30.81M3,1312,421237
IQV+$6.27B+26.48M1,6231,240224
INTC+$6.23B+60.80M2,0091,2201,046
AMD+$6.07B+11.80M2,1371,529914
CRWV+$5.93B+56.31M642253256
PLTR+$5.37B+30.84M1,3821,371171
MSFT+$5.01B+10.12M3,5782,792269
MA+$4.66B+8.19M1,4901,659160
SCHW+$4.59B+41.31M1,8081,462222
WFC+$4.10B+46.12M1,2171,205166
DLR+$4.09B+20.43M691439137
Ticker Net $ Net shares Buy Sell New
BLK-$24.80B-21.13M64173956
BKNG-$16.95B-79.91M838947168
ASND-$16.25B-65.39M16615680
AAPL-$14.45B-47.22M2,7953,129165
MU-$13.83B-14.24M2,4101,8341,033
SNDK-$10.58B-6.45M1,196537702
XOM-$8.91B-55.64M1,7292,464111
MKSI-$7.92B-25.48M408286196
COHR-$7.70B-23.65M1,2241,219401
HTHT-$7.67B-183.14M10615927
WDC-$6.86B-13.48M1,049652498
ON-$4.82B-58.30M478372204
IRTC-$4.50B-35.59M13711935
LITE-$4.45B-4.81M829436347
XYZ-$4.39B-53.00M525405164
PANW-$4.36B-11.35M1,4501,219540
LYV-$4.27B-22.66M399348110
TSM-$4.24B-9.94M1,7921,353391
GH-$4.19B-26.68M317194138
AEIS-$4.02B-12.18M362269165
BE-$3.29B-14.29M754440362
TMO-$3.28B-5.57M1,0721,253165
MRVL-$3.23B-14.55M1,350725749
OKTA-$3.18B-21.59M414368171
GE-$3.08B-8.36M1,8011,315354

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.

Filings feed

Filed (UTC) Filer Positions Portfolio
2026-08-14 21:29Merited Wealth, LLC70$141.4M
2026-08-14 21:29Passaic Partners LLC15$1.36B
2026-08-14 21:28Cook & Bynum Capital Management, LLC5$134.5M
2026-08-14 21:28Bristol Gate Capital Partners Inc.33$1.44B
2026-08-14 21:26ABS Investment Management LLC111$159.2M
2026-08-14 21:26Haveli Investment Management LLC4$179.9M
2026-08-14 21:25III Capital Management49$394.0M
2026-08-14 21:25ARCH Venture Management, LLC12$1.10B
2026-08-14 21:23Bakala Capital LLC11$22.8M
2026-08-14 21:22Militia Capital Partners, LP215$435.4M
2026-08-14 21:21Medallion Wealth Advisors, LLC1,158$317.3M
2026-08-14 21:21Anatole Investment Management Ltd13$589.8M
2026-08-14 21:21Authentikos Wealth Advisory, LLC72$156.7M
2026-08-14 21:19Tripletail Wealth Management, LLC270$86.9M
2026-08-14 21:19Lodge Hill Capital, LLC27$596.4M
2026-08-14 21:18TORONTO DOMINION BANK1,965$86.45B
2026-08-14 21:18Third Point LLC 39$4.68B
2026-08-14 21:17GREENOAKS LLC10$2.36B
2026-08-14 21:17SYLEBRA CAPITAL LLC9$944.5M
2026-08-14 21:17Militia Capital Partners, LP208$410.8M
2026-08-14 21:16IRONWOOD INVESTMENT MANAGEMENT LLC176$289.2M
2026-08-14 21:16Schonfeld Strategic Advisors LLC2,439$27.89B
2026-08-14 21:15WHITEBOX ADVISORS LLC492$7.65B
2026-08-14 21:15GOLDMAN SACHS GROUP INC6,225$1.15T
2026-08-14 21:14PFM Health Sciences, LP98$1.17B
2026-08-14 21:14SELDON CAPITAL LP74$319.6M
2026-08-14 21:13Nut Tree Capital Management, LP8$419.0M
2026-08-14 21:13Bawa N Mallick Trust72$309.1M
2026-08-14 21:13NEW ENGLAND ASSET MANAGEMENT INC125$863.4M
2026-08-14 21:13Financial 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.