Loading
Loading
Loading
Loading
Loading
5%held throughout
1–25 of 683, sorted by portfolio weight, high to low
| CPNGNEWCOUPANG INCConsumer Discretionary | 46.4%+46.4% | New | 110,527,590 | $45.54 | $5.03B |
| METAMETA PLATFORMS INC-CLASS ACommunication Services | 3.7%-3.4% | Reduced16.4% | 1,354,933 | $294.53 | $399.1M |
| MSFTMICROSOFT CORPInformation Technology | 2.6%-2.5% | Reduced16.9% | 1,196,206 | $235.77 | $282.0M |
| AMZNAMAZON.COM INCConsumer DiscretionarySupply chain (as of Q2 2026) | 2.5%-0.2% | Increased70.5% | 88,413 | $3094.08 | $273.6M |
| SEERSEER INCHealth Care | 2.4%-2.1% | Reduced0.1% | 5,419,843 | $48.32 | $261.9M |
| GOOGALPHABET INCCommunication ServicesGOOG · GOOGLSupply chain (as of Q2 2026) | 2.1%-2.0% | Reduced | GOOG108,666GOOGL319 | GOOG$2068.63GOOGL$2062.70 | $225.4M |
| NFLXNETFLIX INCCommunication Services | 2.0%-0.6% | Increased40.2% | 405,910 | $521.66 | $211.7M |
| AMATAPPLIED MATERIALS INCInformation Technology | 1.7%-2.6% | Reduced55.2% | 1,396,882 | $133.60 | $186.6M |
| LRCXEURLAM RESEARCH CORPUnclassified | 1.6%-2.7% | Reduced49.2% | 287,989 | $595.24 | $171.4M |
| FLT1EURFLEETCOR TECHNOLOGIES INCUnclassified | 1.4%-2.9% | Reduced44.2% | 546,450 | $268.63 | $146.8M |
| TMUSNEWT-MOBILE US INCCommunication Services | 1.3%+1.3% | New | 1,148,072 | $125.29 | $143.8M |
| TGTXTG THERAPEUTICS INCHealth Care | 1.3%-1.3% | Reduced7.2% | 2,971,136 | $48.20 | $143.2M |
| Ticker unavailable1LIFE HEALTHCARE INCUnclassified | 1.3%-1.2% | Unchanged | 3,661,204 | $39.08 | $143.1M |
| Ticker unavailableXP INCUnclassified | 1.2% | Increased78.2% | 3,414,863 | $37.67 | $128.6M |
| Ticker unavailableAON PLCUnclassified | 1.2%+1.2% | Increased46364.8% | 547,355 | $230.11 | $126.0M |
| LPLALPL FINANCIAL HOLDINGS INCFinancials | 1.1%+1.1% | Increased16373.5% | 852,007 | $142.16 | $121.1M |
| NKTREURNEKTAR THERAPEUTICSUnclassified | 1.1%-0.7% | Reduced12.0% | 5,858,316 | $20.00 | $117.2M |
| HUMHUMANA INCHealth Care | 1.0%-0.8% | Reduced5.8% | 269,855 | $419.25 | $113.1M |
| ALNYALNYLAM PHARMACEUTICALS INCHealth Care | 1.0%-1.0% | Reduced19.1% | 796,234 | $141.19 | $112.4M |
| IFFNEWINTL FLAVORS & FRAGRANCESMaterials | 1.0%+1.0% | New | 794,841 | $139.61 | $111.0M |
| CCKCROWN HOLDINGS INCIndustrials | 1.0%-1.5% | Reduced28.0% | 1,093,066 | $97.04 | $106.1M |
| ATRAGBXATARA BIOTHERAPEUTICS INCUnclassified | 0.9%-1.4% | Reduced8.0% | 6,739,402 | $14.36 | $96.8M |
| UBERUBER TECHNOLOGIES INCConsumer Discretionary | 0.8%+0.4% | Increased206.7% | 1,621,364 | $54.51 | $88.4M |
| Ticker unavailableLIVANOVA PLCUnclassified | 0.8%-1.0% | Reduced30.0% | 1,168,434 | $73.73 | $86.1M |
| ADBEADOBE INCInformation Technology | 0.7%-1.4% | Reduced37.7% | 168,101 | $475.37 | $79.9M |