Filed value
$1.2BWeight / quantity
7.54% · 2,759,800 sharesReported change
Institutional filer · CIK 0001697748
Reported positions from the latest cached Form 13F-HR. Figures are framed as of the quarter end and dated to the filing; they are not live firm AUM or a complete portfolio.
Reported book
$15.4BFiling lines parsed
191Holdings published
25Current reported holdings
As of 2026-06-30; filed 2026-08-14. Reported changes appear only when both exact quarter filing receipts are present.
Filed value
$1.2BWeight / quantity
7.54% · 2,759,800 sharesReported change
Filed value
$822.8MWeight / quantity
5.34% · 1,416,443 sharesReported change
Filed value
$765.1MWeight / quantity
4.97% · 4,478,013 sharesReported change
Filed value
$580.6MWeight / quantity
3.77% · 10,022,634 sharesReported change
Filed value
$525.1MWeight / quantity
3.41% · 5,236,031 sharesReported change
Filed value
$516.0MWeight / quantity
3.35% · 9,460,939 sharesReported change
Filed value
$474.5MWeight / quantity
3.08% · 4,155,925 sharesReported change
Filed value
$468.1MWeight / quantity
3.04% · 4,549,803 sharesReported change
Filed value
$418.7MWeight / quantity
2.72% · 1,183,456 sharesReported change
Filed value
$383.5MWeight / quantity
2.49% · 10,003,057 sharesReported change
Filed value
$379.2MWeight / quantity
2.46% · 1,591,177 sharesReported change
Filed value
$374.8MWeight / quantity
2.43% · 3,212,286 sharesReported change
Filed value
$367.1MWeight / quantity
2.38% · 2,511,319 sharesReported change
Filed value
$351.6MWeight / quantity
2.28% · 6,465,890 sharesReported change
Filed value
$351.3MWeight / quantity
2.28% · 10,234,862 sharesReported change
Filed value
$312.0MWeight / quantity
2.03% · 644,782 sharesReported change
Filed value
$285.5MWeight / quantity
1.85% · 16,875,684 sharesReported change
Filed value
$285.5MWeight / quantity
1.85% · 4,558,162 sharesReported change
Filed value
$276.4MWeight / quantity
1.79% · 1,381,247 sharesReported change
Filed value
$264.5MWeight / quantity
1.72% · 2,657,192 sharesReported change
Filed value
$249.3MWeight / quantity
1.62% · 393,025 sharesReported change
Filed value
$235.4MWeight / quantity
1.53% · 3,097,973 sharesReported change
Filed value
$233.0MWeight / quantity
1.51% · 4,672,566 sharesReported change
Filed value
$230.3MWeight / quantity
1.50% · 482,286 sharesReported change
Filed value
$187.0MWeight / quantity
1.21% · 688,855 sharesReported change
These positions appear in the prior filing and not in the current filing. That does not prove when or how the position changed.
Brera Holdings PLC
Reported long
Prior filed value $7.6M · 9,687,877 shares
Intercontinental Exchange Inc
Reported long
Prior filed value $4.6M · 29,181 shares
Palo Alto Networks Inc
Reported long
Prior filed value $1.7M · 10,866 shares
CRM · Salesforce Inc
Reported long
Prior filed value $1.1M · 6,062 shares
Pinterest Inc
Reported long
Prior filed value $660,754 · 36,028 shares
iShares Russell 1000 ETF
Reported long
Prior filed value $125 · 0 shares
Form 13F generally covers reportable US securities and some option positions. It can omit cash, private assets, many derivatives, ordinary short sales, bonds, and foreign-only listings. The filing receipt, not an inferred total, defines this page's scope.
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