Renaissance Technologies LLC
We are missing part of this fund's Q1 2026 filing.
$64.3B portfolio3215 holdingstop 10 = 11%filed 2026-05-14
This fund reported $63.9B for Q1 2026 and we only hold $64.3B of it. Partial view.
- $1.1B - 1.8M shares-122K
- $1.0B - 7.0M shares-1.8M
- 3AAPLApple Inc1.21%$780.6M - 3.1M sharesNEW
- 4KGCKinross Gold Corp1.21%$779.7M - 25.5M shares+571K
- 5MUMicron Technology Inc1.14%$730.7M - 2.2M shares-848K
- 6VRSNVerisign Inc1.09%$699.9M - 2.8M shares+39K
- 7EXELExelixis Inc0.92%$588.8M - 13.7M shares-187K
- 8FNVFranco Nev Corp0.85%$548.2M - 2.2M shares-259K
- 9SNDKSandisk Corp0.79%$508.0M - 800K shares-409K
- 10NVDANvidia Corporation0.69%$440.7M - 2.5M shares+1.7M
- 11CVXChevron Corporation0.65%$417.0M - 2.0M shares-176K
- 12RBLXRoblox Corp0.63%$403.1M - 7.1M shares+498K
- 13CVNACarvana Co0.59%$377.6M - 1.2M shares-206K
- 14WWayfair Inc0.58%$374.0M - 5.0M shares-435K
- 15HOODRobinhood MKTS Inc0.55%$353.7M - 5.1M shares+1.7M
- 16INCYIncyte Corp0.53%$343.7M - 3.7M shares-327K
- 17AGXArgan Inc0.52%$332.7M - 611K shares+12K
- 18Argan Inc0.52%$332.7M - 611K shares+12K
- 19INTCIntel Corp0.51%$326.5M - 7.4M shares-2.5M
- $318.7M - 2.4M shares+180K
- 21UNHUnitedhealth Group Inc0.49%$313.5M - 1.2M shares+362K
- $312.3M - 767K shares-36K
- 23Linde PLC0.49%$312.2M - 630K shares+503K
- 24WDCWestern Digital Corp0.48%$310.0M - 1.1M shares+154K
- 25CBOECboe Global MKTS Inc0.48%$309.3M - 1.1M shares-39K
- 26GILDGilead Sciences Inc0.47%$300.0M - 2.2M shares-636K
- 27ETSYEtsy Inc0.46%$298.0M - 6.0M shares+595K
- $264.6M - 2.3M shares-339K
- 29AVGOBroadcom Inc0.38%$245.7M - 794K shares+793K
- 30VRTVertiv Holdings Co0.38%$242.6M - 968K shares-176K
- 31MEDPMedpace Hldgs Inc0.38%$242.3M - 505K shares+39K
- 32Nu Hldgs LTD0.36%$233.8M - 16.3M shares-6.5M
- 33ABNBAirbnb Inc0.36%$231.2M - 1.8M shares-1.1M
- 34NYTNew York Times Co MTN Be0.36%$230.8M - 2.8M shares+466K
- 35MSTRStrategy Inc0.36%$230.8M - 2.1M shares+1.2M
- 36CORTCorcept Therapeutics Inc0.36%$229.1M - 5.7M shares-76K
- 37AGIAlamos Gold Inc0.35%$227.4M - 5.1M shares+92K
- 38ADBEAdobe Inc0.35%$224.9M - 925K shares+200K
- 39VALEVale S A0.35%$223.6M - 14.1M shares+3.0M
- 40BBarrick MNG Corp0.35%$223.4M - 5.5M shares+4.2M
- 41PEverpure Inc0.35%$222.0M - 3.8M shares+3K
- 42Nova LTD0.35%$221.9M - 511K shares-55K
- 43Alkermes PLC0.34%$217.8M - 6.2M shares-508K
- 44DASHDoordash Inc0.33%$214.2M - 1.4M shares+104K
- 45RDDTReddit Inc0.33%$210.8M - 1.6M shares-318K
- 46MELIMercadolibre0.32%$208.0M - 120K shares+93K
- 47VVisa Inc0.32%$204.5M - 677K shares+455K
- 48JPMJPMorgan Chase & Co0.32%$202.5M - 688K shares+686K
- 49BSXBoston Scientific Corp0.31%$197.8M - 3.2M shares+769K
- 50ZMZoom Communications Inc0.31%$197.7M - 2.5M shares-620K
- 51BTUPeabody Engr Corp0.30%$195.5M - 5.9M shares-202K
- 52CLColgate Palmolive Co0.30%$193.8M - 2.3M shares-496K
- $191.9M - 568K shares-599K
- 54Logitech Intl S A0.29%$188.8M - 2.1M shares+435K
- $188.3M - 422K shares-83K
- 56SFMSprouts FMRS MKT Inc0.29%$188.0M - 2.4M shares-343K
- 57TSTenaris S A0.29%$186.2M - 3.2M shares+235K
- 58BABoeing Co0.29%$185.4M - 931K shares+321K
- 59NGGNational Grid PLC0.29%$183.5M - 2.2M shares-247K
- 60NEMNewmont Corp0.28%$180.9M - 1.7M sharesNEW
- 61FCXFreeport Mcmoran Inc0.28%$179.5M - 3.1M shares+1.8M
- 62MSIMotorola Solutions Inc0.27%$175.8M - 405K shares-125K
- 63DBXDropbox Inc0.27%$175.4M - 7.7M shares-655K
- 64APPApplovin Corp0.27%$173.7M - 437K shares+118K
- 65UIUbiquiti Inc0.27%$173.0M - 219K shares-4K
- 66ITWIllinois Tool WKS Inc0.27%$171.7M - 660K shares+538K
- $170.9M - 1.8M shares-276K
- 68NVSNovartis AG0.26%$169.8M - 1.1M shares-231K
- 69MCDMcDonald's Corp0.26%$168.7M - 543K shares+451K
- 70PRPermian Resources Corp0.26%$167.0M - 7.8M shares-3.8M
- $166.9M - 2.9M shares-55K
- 72AXPAmerican Express Co0.26%$166.6M - 551K sharesNEW
- 73TXNTexas Instrs Inc0.26%$165.3M - 851K shares-5K
- 74BXBlackstone Inc0.26%$164.6M - 1.4M sharesNEW
- 75RIVNRivian Automotive Inc0.26%$164.3M - 10.9M shares-5.5M
- 76YOUClear Secure Inc0.25%$162.3M - 3.4M shares-290K
- 77VSTVistra Corp0.25%$159.6M - 1.1M shares+20K
- 78PBRPetroleo Brasileiro S A0.25%$159.0M - 7.7M shares-1.9M
- 79GOOGLAlphabet Inc0.24%$156.0M - 542K shares+246K
- 80Jazz Pharmaceuticals PLC0.24%$154.9M - 819K shares-17K
- 81NTESNetease Com Inc0.24%$152.6M - 1.4M shares+275K
- 82Monday Com LTD0.23%$150.8M - 2.2M shares+1.1M
- 83DOCUDocusign Inc0.23%$150.3M - 3.2M shares+123K
- 84ROKURoku Inc0.23%$148.1M - 1.6M shares+290K
- 85METAMeta Platforms Inc0.23%$145.0M - 253K sharesNEW
- 86HPQHP Inc0.22%$142.7M - 7.4M shares+2.5M
- 87LITELumentum Hldgs Inc0.22%$142.5M - 203K sharesNEW
- 88SMHVanEck Etf Trust0.22%$141.7M - 369K sharesNEW
- 89CALMCal Maine Foods Inc0.22%$140.8M - 1.8M shares-104K
- 90COFCapital One Finl Corp0.21%$134.8M - 739K shares+511K
- 91XLFSelect Sector SPDR TR0.21%$134.1M - 2.7M shares+1.4M
- 92EATBrinker Intl Inc0.20%$131.7M - 922K shares-204K
- 93ADPAutomatic Data Processing 0.20%$131.4M - 647K shares+589K
- 94ALBAlbemarle Corp0.20%$131.2M - 731K shares+321K
- 95OTISOtis Worldwide Corp0.20%$130.4M - 1.7M shares+395K
- 96PRDOPerdoceo Ed Corp0.20%$130.3M - 3.5M shares-152K
- 97UBERUber Technologies Inc0.20%$129.2M - 1.8M shares-233K
- 98CDECoeur MNG Inc0.20%$129.0M - 6.9M shares+6.2M
- 99VIRTVirtu Finl Inc0.20%$128.8M - 2.9M shares-216K
- 100DHRDanaher Corp Del0.20%$128.7M - 679K sharesNEW
- 101SYKStryker Corporation0.20%$128.7M - 392K shares-15K
- 102ABTAbbott Laboratories0.20%$127.2M - 1.2M shares+681K
- 103KMBKimberly-clark Corp0.20%$127.1M - 1.3M shares+466K
- 104LILi Auto Inc0.20%$126.8M - 7.1M shares-331K
- 105SESea LTD0.20%$126.4M - 1.5M shares+372K
- 106NOWServicenow Inc0.20%$126.1M - 1.2M shares-126K
- 107DPZDominos Pizza Inc0.20%$126.0M - 351K shares+306K
- 108WYNNWYNN Resorts LTD0.20%$125.9M - 1.2M shares+184K
- 109NVONovo-nordisk A S0.19%$124.8M - 3.4M shares+213K
- 110WSMWilliams Sonoma Inc0.19%$124.1M - 681K shares+80K
- 111TTDThe Trade Desk Inc0.19%$123.4M - 5.4M shares+2.0M
- 112VLTOVeralto Corp0.19%$123.1M - 1.4M shares-359K
- 113LYFTLYFT Inc0.19%$121.9M - 9.2M shares-709K
- 114AMRAlpha Metallurgical Resour0.19%$121.7M - 593K shares-19K
- 115Seagate Technology Hldngs PL0.19%$121.6M - 310K shares-71K
- 116UPSUnited Parcel SVCS Inc0.19%$121.5M - 1.2M shares-169K
- 117SNPSSynopsys Inc0.19%$120.6M - 304K sharesNEW
- 118ILMNIllumina Inc0.19%$119.9M - 973K shares-162K
- 119GMABGenmab A/s0.18%$118.4M - 4.4M shares+922K
- 120DELLDell Technologies Inc0.18%$118.4M - 722K shares+298K
- 121LMTLockheed Martin Corp0.18%$117.6M - 195K shares+43K
- 122GEGe Aerospace0.18%$117.5M - 414K shares+187K
- 123CHTChunghwa Telecom Co LTD0.18%$116.8M - 2.8M shares+37K
- 124AZOAutozone Inc0.18%$115.5M - 34K shares+7K
- 125TOSTToast Inc0.18%$114.6M - 4.3M shares+868K
- 126MUSAMurphy USA Inc0.18%$114.5M - 232K shares-38K
- 127CNKCinemark Hldgs Inc0.18%$113.9M - 4.0M shares-123K
- 128PDDPDD Holdings Inc0.18%$113.7M - 1.1M shares+839K
- 129Te Connectivity PLC0.17%$112.1M - 537K shares+399K
- 130PGRProgressive Corp0.17%$111.0M - 560K shares+295K
- 131MSMorgan Stanley0.17%$110.9M - 674K sharesNEW
- 132MOAltria Group Inc0.17%$110.6M - 1.7M shares-444K
- 133PINSPinterest Inc0.17%$109.8M - 6.0M shares+4.4M
- 134Amrize LTD0.17%$109.6M - 2.0M shares+184K
- 135XLISelect Sector SPDR TR0.17%$109.1M - 675K shares+568K
- 136RDYDR Reddys Labs LTD0.17%$108.9M - 7.9M shares-395K
- 137PAYXPaychex Inc0.17%$107.4M - 1.2M shares+72K
- 138NOKNokia Corp0.17%$106.9M - 13.3M shares+7.5M
- 139WBDWarner Bros Discovery Inc0.16%$105.6M - 3.8M sharesNEW
- 140RYAAYRyanair Holdings PLC0.16%$105.0M - 1.8M shares-294K
- 141BKDBrookdale SR Living Inc0.16%$104.8M - 7.7M shares+1.3M
- 142AALAmerican Airlines Group In0.16%$104.0M - 9.7M shares+8.2M
- 143NTNXNutanix Inc0.16%$103.6M - 2.7M shares-659K
- 144ROLRollins Inc0.16%$103.4M - 1.9M shares-270K
- 145PACGrupo Aeroportunario Del P0.16%$102.6M - 416K shares-16K
- 146BROBrown & Brown Inc0.16%$102.6M - 1.6M shares+500K
- 147DEDeere & Co0.16%$102.5M - 182K shares-798
- 148ERICTelefonaktiebolaget LM Eri0.16%$102.3M - 9.1M shares-724K
- 149ENVAEnova Intl Inc0.16%$101.9M - 750K shares+55K
- 150MCKMckesson Corp0.16%$101.5M - 117K shares+56K
- 151DXCMDexcom Inc0.15%$99.4M - 1.6M shares+138K
- 152FIZZNational Beverage Corp0.15%$99.1M - 2.9M shares-230K
- 153HWMHowmet Aerospace Inc0.15%$99.0M - 429K shares+244K
- 154MTCHMatch Group Inc New0.15%$98.1M - 3.2M shares+2.1M
- 155FTDRFrontdoor Inc0.15%$97.8M - 1.8M shares+24K
- 156MAMastercard Incorporated0.15%$97.3M - 195K shares+189K
- 157Spotify Technology S A0.15%$96.1M - 198K shares-394K
- 158XYLXylem Inc0.15%$94.6M - 792K shares+432K
- 159INVAInnoviva Inc0.15%$94.5M - 4.1M shares-155K
- 160TTCToro Co0.15%$94.4M - 1.0M shares+343K
- 161BBYBest Buy Inc0.14%$93.1M - 1.4M shares+770K
- 162FUTUFutu Hldgs LTD0.14%$91.8M - 671K shares-86K
- 163RIORio Tinto PLC0.14%$90.1M - 966K shares+779K
- 164PODDInsulet Corp0.14%$89.4M - 426K shares+123K
- 165LNGCheniere Energy Inc0.14%$89.2M - 314K shares+10K
- 166Scorpio Tankers Inc0.14%$88.5M - 1.2M shares-38K
- 167CRVLCorvel Corp0.14%$88.4M - 1.6M shares-69K
- 168SUPNSupernus Pharmaceuticals0.14%$88.1M - 1.7M shares-27K
- 169WINAWinmark Corp0.14%$88.0M - 206K shares-2K
- 170MANHManhattan Associates Inc0.14%$87.2M - 655K shares+145K
- 171NIONio Inc0.14%$87.1M - 14.5M shares+6.0M
- 172Petroleo Brasileiro S A0.13%$86.4M - 4.6M shares+122K
- 173VZVerizon Communications Inc0.13%$86.0M - 1.7M shares+23K
- 174CVLTCommvault SYS Inc0.13%$85.5M - 1.1M shares-27K
- 175HPEHewlett Packard Enterprise0.13%$85.3M - 3.6M shares-315K
- 176HONHoneywell Intl Inc0.13%$84.8M - 375K shares-265K
- 177EFAiShares TR0.13%$83.6M - 861K shares+857K
- 178DGDollar Gen Corp0.13%$83.6M - 704K shares+386K
- 179VRSKVerisk Analytics Inc0.13%$83.6M - 440K shares+410K
- 180Copa Holdings SA0.13%$83.4M - 734K shares-38K
- 181ECLEcolab Inc0.13%$83.4M - 313K sharesNEW
- 182FISFidelity Natl Information 0.13%$83.0M - 1.8M sharesNEW
- 183Trane Technologies PLC0.13%$82.9M - 199K shares-109K
- 184BCSBarclays PLC0.13%$81.8M - 3.9M sharesNEW
- 185DDSDillards Inc0.13%$81.3M - 142K shares+22K
- 186HBANHuntington Bancshares Inc0.13%$81.3M - 5.2M shares+857K
- 187Herbalife LTD0.13%$81.0M - 5.5M shares-120K
- 188USLMUnited STS Lime & Minerals0.12%$80.3M - 614K shares-25K
- 189ABEVAmbev SA0.12%$79.9M - 27.4M shares+1.7M
- 190EMBJEmbraer S.A.0.12%$79.4M - 1.3M shares+595K
- 191ATATAtour Lifestyle Hldgs LTD0.12%$79.3M - 2.2M shares-25K
- 192CRH PLC0.12%$79.1M - 753K sharesNEW
- 193WSOWatsco Inc0.12%$78.7M - 216K shares-89K
- 194TSLATesla Inc0.12%$78.5M - 211K shares-1.2M
- 195LVSLas Vegas Sands Corp0.12%$78.3M - 1.5M shares+203K
- 196FIXComfort SYS USA Inc0.12%$78.1M - 57K shares+3K
- 197Zim Integrated Shipping Serv0.12%$77.4M - 2.9M shares+59K
- 198BKRBaker Hughes Company0.12%$76.8M - 1.3M shares+501K
- 199CCitigroup Inc0.12%$76.5M - 675K sharesNEW
- 200BZKanzhun Limited0.12%$76.3M - 5.7M shares+1.7M
- 201MORNMorningstar Inc0.12%$75.9M - 449K shares+125K
- 202WDAYWorkday Inc0.12%$75.6M - 582K sharesNEW
- 203HCCWarrior Met Coal Inc0.12%$75.5M - 811K shares+150K
- 204MNSTMonster Beverage Corp New0.12%$75.5M - 1.0M shares-43K
- 205ANFAbercrombie & Fitch Co0.12%$75.4M - 826K shares-86K
- 206DAVEDave Inc0.12%$75.2M - 432K shares-67K
- 207CCJCameco Corp0.12%$74.4M - 685K shares+465K
- 208BRCBrady Corp0.12%$74.1M - 913K shares-41K
- 209Jfrog LTD0.12%$73.9M - 1.6M shares-59K
- 210COKECoca Cola Cons Inc0.11%$73.3M - 382K shares+45K
- 211AFLAflac Inc0.11%$73.3M - 668K shares+529K
- 212CAHCardinal Health Inc0.11%$72.9M - 345K shares-429K
- 213BEKEKe Hldgs Inc0.11%$72.8M - 4.9M shares-543K
- 214James Hardie Inds PLC0.11%$72.7M - 3.8M shares+1.3M
- 215HLHecla Mining Company0.11%$72.7M - 3.9M sharesNEW
- 216BEBloom Energy Corp0.11%$72.6M - 536K shares+276K
- 217MCYMercury Genl Corp New0.11%$72.6M - 824K shares-58K
- 218APHAmphenol Corp0.11%$72.5M - 574K sharesNEW
- 219BPBP PLC0.11%$72.1M - 1.5M shares-1.1M
- 220KVUEKenvue Inc0.11%$71.4M - 4.1M sharesNEW
- 221DOCSDoximity Inc0.11%$71.3M - 3.1M shares+694K
- 222PAASPan Amern Silver Corp0.11%$71.1M - 1.3M sharesNEW
- 223FWONKLiberty Media Corp Del0.11%$70.4M - 827K shares+624K
- 224H World Group LTD0.11%$70.0M - 1.4M shares+139K
- 225CCICrown Castle Inc0.11%$69.6M - 856K shares+291K
- 226REXRex American Res Corp0.11%$69.4M - 1.5M shares-72K
- 227ITTItt Inc0.11%$69.0M - 362K shares+274K
- 228CLSCelestica Inc0.11%$69.0M - 245K sharesNEW
- 229IAGIamgold Corp0.11%$68.6M - 3.6M shares+135K
- 230MASMasco Corp0.11%$68.5M - 1.1M shares+242K
- 231ADSKAutodesk Inc0.11%$68.4M - 286K shares+244K
- 232TMOThermo Fisher Scientific I0.11%$68.3M - 139K sharesNEW
- 233QCOMQualcomm Inc0.11%$68.3M - 530K sharesNEW
- 234FSVFirstservice Corp New0.11%$68.1M - 490K shares+452
- 235CUKCarnival PLC0.11%$68.1M - 2.6M shares-262K
- 236GMGeneral MTRS Co0.11%$68.0M - 913K shares-1.0M
- 237LUMNLumen Technologies Inc0.11%$67.6M - 9.7M shares-323K
- 238BACBank America Corp0.11%$67.5M - 1.4M sharesNEW
- 239CCLCarnival Corp0.10%$67.2M - 2.6M shares-3.7M
- 240TPRTapestry Inc0.10%$67.2M - 476K shares-45K
- 241ULUnilever PLC0.10%$67.1M - 1.2M sharesNEW
- 242TLKTelekomunikasi Ind0.10%$67.0M - 3.6M shares-110K
- 243RSGRepublic SVCS Inc0.10%$66.8M - 305K shares-126K
- 244VTRVentas Inc0.10%$66.3M - 811K shares-205K
- 245MKLMarkel Group Inc0.10%$66.3M - 35K shares+9K
- 246LLYEli Lilly & Co0.10%$66.0M - 72K shares-94K
- 247Johnson Controls Internation0.10%$65.9M - 503K sharesNEW
- 248ALLAllstate Corp0.10%$65.9M - 318K shares+64K
- 249SPHRSphere Entertainment Co0.10%$65.7M - 560K shares+336K
- 250AMEAmetek Inc0.10%$65.6M - 306K shares+152K
Showing top 250 of 3,215. Search or filter to narrow.
What a 13F does not show
Filed up to 45 days after the quarter ends, so this is Q1 2026, not today. US-listed shares and some options only. No short bets, cash, bonds, or foreign listings.
