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Ctc Llc

vermogensbeheerder · portefeuille $316 mld. · 128 posities · rapport per 30.06.2026

Aandelenposities rapport over 30.06.2026, ingediend op 13.08.2026; verandering — t.o.v. 31.03.2026 · 38

BedrijfAandelenWaarde% van de portefeuilleVerandering per kwartaal
State Street® SPDR® S&P 500®…
US:SPY
268 957$201 mln.11.79%nieuw
Amazon.com, Inc.
US:AMZN
679 326$162 mln.9.50%+616 380
Micron Technology Inc
US:MU
137 820$159 mln.9.34%−156 534
iShares Silver Trust
US:SLV
2 930 777$157 mln.9.20%−651 840
Goldman Sachs Group Inc
US:GS
118 463$120 mln.7.03%nieuw
Intel Corporation
US:INTC
745 232$104 mln.6.11%nieuw
ASML HLDG NV
CUSIP N07059210
48 226$95.9 mln.5.63%+18 679
Palantir Technologies Inc.
US:PLTR
747 832$87.2 mln.5.12%+620 344
MercadoLibre Inc.
US:MELI
39 051$66.3 mln.3.89%+23 545
QUALCOMM INC/DE
US:QCOM
345 250$63.8 mln.3.75%nieuw
Alibaba Group Holding Limite…
US:BABA
617 248$59.2 mln.3.48%+530 726
Apple Inc.
US:AAPL
185 934$53.8 mln.3.16%+142 303
Coinbase Global Inc
US:COIN
362 218$53.0 mln.3.11%−37 014
Caterpillar Inc
US:CAT
47 638$50.7 mln.2.98%nieuw
Mastercard Inc
US:MA
78 491$40.3 mln.2.37%nieuw
Oracle Corporation
US:ORCL
270 504$39.6 mln.2.33%−131 310
Strategy Inc
US:MSTR
432 111$37.6 mln.2.21%−73 116
JPMorgan Chase & Co.
US:JPM
81 497$26.7 mln.1.57%nieuw
Energy Select Sector SPDR® F…
US:XLE
451 784$24.2 mln.1.42%nieuw
UNITEDHEALTH GROUP INC
US:UNH
51 033$21.2 mln.1.25%nieuw
Applied Materials Inc
US:AMAT
29 288$21.2 mln.1.24%nieuw
Booking Holdings Inc
US:BKNG
109 202$19.5 mln.1.14%+104 794
WELLS FARGO & COMPANY/MN
US:WFC
166 557$13.8 mln.0.81%nieuw
CITIGROUP INC
US:C
93 668$13.1 mln.0.77%nieuw
Taiwan Semiconductor Manufac…
US:TSM
11 318$5.41 mln.0.32%−410 284
Bank of America Corp
US:BAC
77 572$4.42 mln.0.26%+53 806
Walt Disney Co
US:DIS
25 453$2.45 mln.0.14%−6 507
Eli Lilly and Company
US:LLY
1 360$1.63 mln.0.10%nieuw
iShares iBoxx $ High Yield C…
US:HYG
0 (was 419 774)——verkocht
Snowflake Inc.
US:SNOW
0 (was 8 529)——verkocht
Advanced Micro Devices Inc
US:AMD
0 (was 158 061)——verkocht
Meta Platforms, Inc.
US:META
0 (was 30 751)——verkocht
SPDR® Gold Shares
US:GLD
0 (was 107 664)——verkocht
VanEck Semiconductor ETF
US:SMH
0 (was 64 420)——verkocht
Carvana Co
US:CVNA
0 (was 3 866)——verkocht
Microsoft Corporation
US:MSFT
0 (was 20 982)——verkocht
Tesla, Inc.
US:TSLA
0 (was 294 809)——verkocht
Alphabet Inc.
US:GOOG
0 (was 539 819)——verkocht
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