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13F-HR - Goldman Sachs Group (0000886982) (FILER) - SEC
📊 Goldman 13F — GOLDMAN SACHS GROUP INC: $1151.6B portfolio, 5626 positions (Q2 2026)
What changed
📊 Goldman 13F — GOLDMAN SACHS GROUP INC: $1151.6B portfolio, 5626 positions (Q2 2026)
1. NVDA — $47.0B (4.1%)
2. SPY — $43.0B (3.7%)
3. AAPL — $39.4B (3.4%)
4. MU — $34.4B (3.0%)
5. MSFT — $27.6B (2.4%)
6. TSM — $23.8B (2.1%)
7. GOOGL — $23.1B (2.0%)
8. SNDK — $19.7B (1.7%)
9. AMZN — $19.0B (1.7%)
10. QQQ — $17.5B (1.5%)
11. AVGO — $16.2B (1.4%)
12. SMH — $15.6B (1.4%)
13. TSLA — $15.0B (1.3%)
14. META — $14.2B (1.2%)
15. GOOG — $13.3B (1.2%)
16. AMD — $11.4B (1.0%)
17. VOO — $10.6B (0.9%)
18. LLY — $10.1B (0.9%)
19. NEBIUS GROUP N.V. — $9.1B (0.8%)
20. IVV — $9.0B (0.8%)
… (+5606 more)
Why it matters
📊 Goldman 13F — GOLDMAN SACHS GROUP INC: $1151.6B portfolio, 5626 positions (Q2 2026)