StockDuty ← Dashboard Aug 15, 2026 02:38 AM ET
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📊 Englander 13F — MILLENNIUM MANAGEMENT LLC: $276.3B portfolio, 4182 positions (Q2 2026)

1. IWM — $14.5B (5.3%) 2. IVV — $10.9B (3.9%) 3. SPY — $10.4B (3.8%) 4. NVDA — $9.0B (3.3%) 5. QQQ — $7.7B (2.8%) 6. MU — $5.0B (1.8%) 7. MSFT — $4.9B (1.8%) 8. AMZN — $4.4B (1.6%) 9. AMD — $4.4B (1.6%) 10. AAPL — $4.3B (1.5%) 11. META — $3.6B (1.3%) 12. SPCX — $3.2B (1.2%) 13. GOOGL — $2.9B (1.1%) 14. TSLA — $2.5B (0.9%) 15. SMH — $2.2B (0.8%) 16. AVGO — $2.1B (0.8%) 17. XLE — $1.8B (0.6%) 18. INTC — $1.8B (0.6%) 19. TSM — $1.7B (0.6%) 20. WBD — $1.7B (0.6%) … (+4162 more)
1. IWM — $14.5B (5.3%)
Sources