Institutions' holdings

D. E. Shaw

13F filer

Largest holdings and their weight

Held Jun 30 · filed Aug 14

13F reported value $154.1B · Stocks held 3,347 · Each stock's share of the US stocks reported on Form 13F.

New and changed holdings since the quarter before

Against holdings of Mar 31
StockValueSince the quarter before
ACM Research ACMR$4.3Munder 0.1%New position
Gold.com GOLD$483.4Kunder 0.1%New position
ASE Technology Holding ASX$487.3Kunder 0.1%New position
Abacus Global Management ABX$130.6Kunder 0.1%New position
AbCellera Biologics ABCL$356.6Kunder 0.1%New position
Academy Sports & Outdoors ASO$747.5Kunder 0.1%New position
TIC Solutions TIC$653.3Kunder 0.1%New position
Adeia ADEA$1.5Munder 0.1%New position
Spyre Therapeutics SYRE$2.3Munder 0.1%New position
Jade Biosciences JBIO$1.1Munder 0.1%New position
Aeva Technologies AEVA$23.9Munder 0.1%New position
Aevex AVEX$2.5Munder 0.1%New position
Alamar Biosciences ALMR$543.5Kunder 0.1%New position
Albertsons Companies ACI$428.6Kunder 0.1%New position
Allient ALNT$735Kunder 0.1%New position
Almonty Industries ALM$9Munder 0.1%New position
AlphabetNot in the listed-company registry$498M0.3%New position
AlphabetNot in the listed-company registry$494M0.3%New position
Alta Equipment Group ALTG$103.5Kunder 0.1%New position
Alto Ingredients ALTO$1.2Munder 0.1%New position

All holdings

Held Jun 30 · filed Aug 14
StockSince the quarter before
SPDR S&P 500 ETF Trust SPY$10.5B6.8%Holding raised+1781.7%
Nvidia NVDA$4B2.6%Holding raised+36.3%
Alphabet GOOGL$2.8B1.8%Holding raised+15.4%
Amazon AMZN$2.6B1.7%Holding raised+131.4%
Alphabet GOOG$2.4B1.5%Holding raised+35.4%
Meta Platforms META$1.9B1.2%Holding raised+80.1%
Tesla TSLA$1.8B1.2%Holding cut−0.2%
Advanced Micro Devices AMD$1.8B1.2%Holding cut−20.0%
CrowdStrike Holdings CRWD$1.6B1.1%Holding raised+17.6%
Apple AAPL$1.6B1.1%Holding cut−19.8%
Home Depot HD$1.5B1.0%Holding raised+14.8%
Microsoft MSFT$1.3B0.9%Holding cut−42.2%
Seagate Technology Hldngs PLNot in the listed-company registry$1.3B0.8%Holding raised+5.0%
Sandisk SNDK$1.3B0.8%Holding cut−52.1%
Bloom Energy BE$1.3B0.8%Holding cut−1.2%
Western Digital WDC$1.2B0.8%Holding cut−29.3%
Intel INTC$1.2B0.8%Holding cut−50.5%
General Motors GM$1.2B0.8%Holding raised+21.8%
Boston Scientific BSX$1.1B0.7%Holding raised+4.7%
Warner Bros. Discovery WBD$1.1B0.7%Holding raised+173.7%