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13F · Manager Portfolio

TWO SIGMA INVESTMENTS, LP

hedge fundCIK 0001179392

계량 멀티전략 헤지펀드. 13F 상 회전이 잦습니다.

AUM (as of filing)
$117.13B
13F total value
$45.21B
Holdings (collected)
80
As-of quarter
2026. 03. 31.

Top holdings (Top 10)

#SecurityCompanySharesValueWeightChangePosition
1NVDA엔비디아11,234,245$1.96B1.67%—New position
2AAPL애플5,944,443$1.51B1.29%—New position
3AMZN아마존6,335,167$1.32B1.13%—New position
4GOOGL알파벳(구글)4,431,628$1.27B1.09%—New position
5TSLA테슬라2,912,899$1.08B0.92%—New position
6—3,310,888$973.93M0.83%—New position
7PLTR팔란티어6,430,502$940.65M0.80%—New position
8—874,793$871.67M0.74%—New position
9—5,243,268$837.35M0.71%—New position
10MA마스터카드1,675,098$836.98M0.71%—New position

New positions

#SecurityCompanySharesValueWeightChangePosition
1NVDA엔비디아11,234,245$1.96B1.67%—New position
2AAPL애플5,944,443$1.51B1.29%—New position
3AMZN아마존6,335,167$1.32B1.13%—New position
4GOOGL알파벳(구글)4,431,628$1.27B1.09%—New position
5TSLA테슬라2,912,899$1.08B0.92%—New position
6—3,310,888$973.93M0.83%—New position
7PLTR팔란티어6,430,502$940.65M0.80%—New position
8—874,793$871.67M0.74%—New position
9—5,243,268$837.35M0.71%—New position
10MA마스터카드1,675,098$836.98M0.71%—New position
11TMUS티모바일3,891,468$817.33M0.70%—New position
12LMT록히드마틴1,349,172$815.43M0.70%—New position
13—1,621,590$777.07M0.66%—New position
14MU마이크론2,290,444$773.8M0.66%—New position
15ADBE어도비3,129,038$760.61M0.65%—New position
16BMY브리스톨마이어스스큅11,535,106$699.6M0.60%—New position
17—3,527,808$699.35M0.60%—New position
18AVGO브로드컴2,225,253$688.74M0.59%—New position
19RBLX로블록스12,043,968$681.21M0.58%—New position
20ALNY알닐람1,992,577$659.28M0.56%—New position
21ABT애벗6,388,828$655.94M0.56%—New position
22ISRG인튜이티브서지컬1,405,334$647.84M0.55%—New position
23REGN리제네론812,236$627.57M0.54%—New position
24MS모건스탠리3,739,612$615.43M0.53%—New position
25ROSTROSS STORES, INC.2,812,290$609.23M0.52%—New position
26BSX보스턴사이언티픽9,411,231$590.55M0.50%—New position
27NET클라우드플레어2,819,837$581.85M0.50%—New position
28WCNWaste Connections, Inc.3,444,052$559.45M0.48%—New position
29—8,312,971$557.55M0.48%—New position
30MSFT마이크로소프트1,380,837$511.14M0.44%—New position
31SCHW찰스슈왑5,360,299$503.76M0.43%—New position
32—378,950$500.53M0.43%—New position
33KMBKIMBERLY CLARK CORP5,174,726$499.21M0.43%—New position
34DELL델테크놀로지스3,033,333$497.86M0.42%—New position
35C씨티그룹4,301,867$487.87M0.42%—New position
36—3,535,599$485.01M0.41%—New position
37NOW서비스나우4,636,219$484.72M0.41%—New position
38SNDKSandisk Corp762,726$484.59M0.41%—New position
39BE블룸에너지3,547,838$480.7M0.41%—New position
40—2,039,194$468.59M0.40%—New position
41MRNA모더나9,086,404$461.59M0.39%—New position
42ANET아리스타네트웍스3,758,279$461.44M0.39%—New position
43UNH유나이티드헬스1,700,196$460.06M0.39%—New position
44META메타(페이스북)783,225$448.11M0.38%—New position
45EQIX에퀴닉스452,267$443.33M0.38%—New position
46—5,934,561$442.12M0.38%—New position
47IONSIONIS PHARMACEUTICALS INC5,857,629$439.85M0.38%—New position
48ABNB에어비앤비3,458,771$436.77M0.37%—New position
49ALB앨버말2,320,881$416.67M0.36%—New position
50HSYHERSHEY CO1,975,205$410.63M0.35%—New position
51—3,383,220$403.99M0.63%—New position
52—2,801,547$403.34M0.63%—New position
53NBIXNEUROCRINE BIOSCIENCES INC3,060,570$403.2M0.34%—New position
54CTASCINTAS CORP2,359,681$399.12M0.34%—New position
55—816,840$398.5M0.63%—New position
56LNG셰니에르에너지1,386,961$393.56M0.34%—New position
57—1,737,296$392.68M0.34%—New position
58GHGuardant Health, Inc.4,229,531$390.68M0.33%—New position
59—813,789$385.17M0.60%—New position
60—875,880$382.58M0.33%—New position
61—1,468,075$382.13M0.33%—New position
62—655,424$378.3M0.32%—New position
63—580,293$377.39M0.32%—New position
64RTX레이시온(RTX)1,956,183$377.35M0.32%—New position
65—1,709,115$374.33M0.32%—New position
66—1,524,286$372.2M0.32%—New position
67FCX프리포트맥모란6,251,451$367.46M0.31%—New position
68CPRTCOPART INC10,708,035$355.51M0.30%—New position
69TELTE Connectivity plc1,692,880$353.85M0.30%—New position
70—1,858,782$352.43M0.30%—New position
71AMEAMETEK INC/1,631,092$349.64M0.30%—New position
72CME씨엠이그룹(CME)1,151,458$340.08M0.29%—New position
73MSI모토로라솔루션즈783,550$340.04M0.29%—New position
74VIKViking Holdings Ltd4,572,750$336.01M0.29%—New position
75HUBS허브스팟1,344,621$328.22M0.28%—New position
76FIVEFIVE BELOW, INC1,434,245$327.7M0.28%—New position
77VTRVentas, Inc.3,993,505$326.59M0.28%—New position
78—3,660,600$324.7M0.28%—New position
79—523,077$321.33M0.50%—New position
80TTD더트레이드데스크14,161,321$321.32M0.27%—New position

Exited positions

No positions fully exited this quarter.

Increased

No increased positions.

Decreased

No decreased positions.

13F data carries a lag of up to 45 days after quarter-end and includes long positions only. Options, short positions, and non-US securities may not be included.

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