Jim Simons

Renaissance Technologies

Portfolio Value
$72.6T
Positions
3140
Quarter
2026-Q2

Portfolio Holdings

CompanyTickerSharesValue% PortfolioChange
NVIDIA CORPORATION7.1M$1.4T2.0%—
META PLATFORMS INC2.0M$1.1T1.6%—
INTEL CORP7.3M$1.0T1.4%—
UNITED THERAPEUTICS CORP DEL1.7M$925.8B1.3%—
PALANTIR TECHNOLOGIES INC7.6M$883.0B1.2%—
ALPHABET INC2.3M$828.2B1.1%—
EXELIXIS INC13.4M$730.6B1.0%—
VERISIGN INC2.4M$616.3B0.8%—
KINROSS GOLD CORP24.7M$584.5B0.8%—
CROWDSTRIKE HLDGS INC749K$571.6B0.8%—
STERLING INFRASTRUCTURE INC672K$564.2B0.8%—
ALPHABET INC1.6M$556.8B0.8%—
AMAZON COM INC2.3M$546.0B0.8%—
ARGAN INC648K$517.8B0.7%—
NETFLIX INC.6.8M$484.7B0.7%—
CHEVRON CORPORATION2.9M$475.8B0.7%—
TESLA INC1.1M$467.3B0.6%—
ADVANCED MICRO DEVICES INC830K$463.8B0.6%—
APPLE INC1.6M$459.1B0.6%—
CORCEPT THERAPEUTICS INC5.3M$457.5B0.6%—
ETSY INC6.0M$451.3B0.6%—
SEAGATE TECHNOLOGY HLDNGS PL457K$441.3B0.6%—
FRANCO NEV CORP2.0M$424.6B0.6%—
TEXAS INSTRS INC1.4M$417.9B0.6%—
WAYFAIR INC4.5M$417.2B0.6%—
TAIWAN SEMICONDUCTOR MANUFAC849K$405.5B0.6%—
INCYTE CORP3.5M$398.1B0.5%—
NEUROCRINE BIOSCIENCES INC2.3M$393.7B0.5%—
ROBLOX CORP6.8M$370.5B0.5%—
WESTERN DIGITAL CORP537K$343.3B0.5%—
ALKERMES PLC6.5M$338.5B0.5%—
CARVANA CO5.1M$337.2B0.5%—
BROADCOM INC850K$321.0B0.4%—
EVERPURE INC3.7M$288.0B0.4%—
GILEAD SCIENCES INC2.2M$280.1B0.4%—
DELL TECHNOLOGIES INC647K$279.0B0.4%—
MCKESSON CORP361K$272.8B0.4%—
AUTOZONE INC84K$269.3B0.4%—
TJX COS INC NEW1.7M$262.0B0.4%—
REDDIT INC1.5M$251.7B0.3%—
CBOE GLOBAL MKTS INC1.0M$249.1B0.3%—
MEDTRONIC PLC3.2M$247.8B0.3%—
MICRON TECHNOLOGY INC212K$244.2B0.3%—
NOVA LTD449K$243.6B0.3%—
CREDO TECHNOLOGY GROUP HOLDI844K$229.6B0.3%—
STRATEGY INC2.6M$222.0B0.3%—
AIRBNB INC1.5M$220.8B0.3%—
ROBINHOOD MKTS INC2.2M$220.2B0.3%—
MEDPACE HLDGS INC416K$220.1B0.3%—
ALLISON TRANSMISSION HLDGS I1.9M$218.6B0.3%—
CONOCOPHILLIPS2.0M$210.3B0.3%—
SHELL PLC2.7M$209.0B0.3%—
ZOOM COMMUNICATIONS INC2.4M$205.5B0.3%—
BLOOM ENERGY CORP676K$204.5B0.3%—
INTUITIVE SURGICAL INC504K$200.6B0.3%—
INTUIT765K$199.7B0.3%—
SUPER MICRO COMPUTER INC6.8M$199.0B0.3%—
DROPBOX INC7.2M$198.2B0.3%—
MERCADOLIBRE116K$197.7B0.3%—
ROKU INC1.4M$196.8B0.3%—
NEWMONT CORP2.0M$188.6B0.3%—
BP PLC5.1M$187.5B0.3%—
ENOVA INTL INC777K$187.1B0.3%—
BLACKSTONE INC1.6M$184.8B0.3%—
MURPHY USA INC340K$183.3B0.3%—
CLEAR SECURE INC3.3M$182.6B0.3%—
SCHWAB CHARLES CORP1.9M$176.3B0.2%—
KENVUE INC9.0M$172.5B0.2%—
CHENIERE ENERGY INC719K$171.9B0.2%—
LUMENTUM HLDGS INC200K$171.3B0.2%—
LOGITECH INTL S A1.8M$171.0B0.2%—
VIRTU FINL INC2.9M$170.9B0.2%—
SPROUTS FMRS MKT INC2.0M$170.3B0.2%—
TENARIS S A3.1M$169.6B0.2%—
NIKE INC4.1M$167.1B0.2%—
KIMBERLY-CLARK CORP1.5M$164.6B0.2%—
DOORDASH INC889K$164.1B0.2%—
STATE STR SPDR S&P 500 ETF T219K$163.6B0.2%—
WARNER BROS DISCOVERY INC6.1M$162.2B0.2%—
GENERAL DYNAMICS CORP454K$160.7B0.2%—
PETROLEO BRASILEIRO S A10.9M$159.4B0.2%—
VERTEX PHARMACEUTICALS INC320K$159.0B0.2%—
NATIONAL GRID PLC1.9M$157.0B0.2%—
NEW YORK TIMES CO MTN BE2.2M$156.4B0.2%—
INTERCONTINENTAL EXCHANGE IN1.3M$156.3B0.2%—
BRINKER INTL INC913K$153.4B0.2%—
UNITEDHEALTH GROUP INC367K$152.5B0.2%—
LOCKHEED MARTIN CORP299K$152.1B0.2%—
COMFORT SYS USA INC76K$150.9B0.2%—
INVESCO QQQ TR205K$150.7B0.2%—
MARVELL TECHNOLOGY INC505K$150.6B0.2%—
CME GROUP INC680K$150.2B0.2%—
HECLA MINING COMPANY9.7M$150.2B0.2%—
FRONTDOOR INC1.9M$145.7B0.2%—
NOVO-NORDISK A S3.0M$145.4B0.2%—
ILLUMINA INC827K$145.3B0.2%—
DANAHER CORP DEL761K$144.9B0.2%—
ALAMOS GOLD INC4.8M$144.8B0.2%—
PETROLEO BRASILEIRO S A8.8M$141.9B0.2%—
CENTENE CORP DEL2.2M$140.7B0.2%—
PERMIAN RESOURCES CORP7.6M$140.0B0.2%—
DAVE INC367K$136.9B0.2%—
DOCUSIGN INC3.1M$136.6B0.2%—
MATCH GROUP INC NEW3.6M$136.6B0.2%—
JAZZ PHARMACEUTICALS PLC562K$135.4B0.2%—
RIVIAN AUTOMOTIVE INC7.6M$131.9B0.2%—
JFROG LTD1.4M$131.3B0.2%—
NEW ORIENTAL ED & TECHNOLOGY2.9M$131.2B0.2%—
ROSS STORES INC616K$131.1B0.2%—
CARDINAL HEALTH INC550K$130.7B0.2%—
ALTRIA GROUP INC1.8M$128.2B0.2%—
MOTOROLA SOLUTIONS INC307K$127.4B0.2%—
CIRCLE INTERNET GROUP INC2.0M$127.3B0.2%—
THE TRADE DESK INC7.0M$127.0B0.2%—
CAL MAINE FOODS INC1.6M$126.4B0.2%—
JPMORGAN CHASE & CO386K$126.2B0.2%—
NETEASE COM INC972K$124.5B0.2%—
NOVARTIS AG788K$123.5B0.2%—
PEABODY ENGR CORP5.3M$122.8B0.2%—
VISTRA CORP765K$121.4B0.2%—
COMMVAULT SYS INC849K$120.3B0.2%—
COPA HOLDINGS SA773K$120.2B0.2%—
CINEMARK HLDGS INC3.8M$119.7B0.2%—
LYFT INC8.2M$119.6B0.2%—
CAPITAL ONE FINL CORP592K$118.7B0.2%—
RIO TINTO PLC1.2M$115.3B0.2%—
NUTANIX INC2.3M$115.1B0.2%—
REDWIRE CORPORATION9.4M$115.0B0.2%—
GE AEROSPACE307K$114.7B0.2%—
CHIPOTLE MEXICAN GRILL INC3.4M$114.4B0.2%—
BLACKROCK INC119K$114.2B0.2%—
CHUNGHWA TELECOM CO LTD2.6M$113.6B0.2%—
OTIS WORLDWIDE CORP1.6M$113.4B0.2%—
CANADIAN NAT RES LTD MED TER2.9M$113.0B0.2%—
MONDAY COM LTD1.6M$112.7B0.2%—
DEXCOM INC1.6M$109.8B0.2%—
ROYALTY PHARMA PLC1.9M$108.5B0.1%—
ISHARES TR1.0M$108.1B0.1%—
WYNN RESORTS LTD1.1M$107.7B0.1%—
BARRICK MNG CORP2.9M$106.8B0.1%—
DR REDDYS LABS LTD7.3M$106.5B0.1%—
VANECK ETF TRUST1.4M$106.0B0.1%—
UBIQUITI INC198K$105.9B0.1%—
PERDOCEO ED CORP3.3M$105.6B0.1%—
TERADYNE INC218K$105.5B0.1%—
TRAVERE THERAPEUTICS INC1.8M$104.1B0.1%—
BLACKBERRY LTD8.2M$103.7B0.1%—
NORTHROP GRUMMAN CORP203K$103.6B0.1%—
HP INC4.7M$103.1B0.1%—
ILLINOIS TOOL WKS INC381K$103.1B0.1%—
BOSTON SCIENTIFIC CORP2.4M$102.9B0.1%—
RYANAIR HOLDINGS PLC1.6M$101.5B0.1%—
T-MOBILE US INC605K$101.4B0.1%—
PAN AMERN SILVER CORP2.3M$101.3B0.1%—
ZOETIS INC1.4M$100.8B0.1%—
LEGENCE CORP1.2M$100.6B0.1%—
TORO CO1.0M$100.1B0.1%—
SELECT SECTOR SPDR TR628K$99.7B0.1%—
GRUPO AEROPORTUNARIO DEL PAC391K$99.1B0.1%—
TORONTO DOMINION BK ONT815K$99.0B0.1%—
WILLIAMS SONOMA INC420K$97.9B0.1%—
GENMAB A/S3.5M$96.6B0.1%—
BROOKDALE SR LIVING INC6.0M$95.8B0.1%—
VERALTO CORP1.1M$95.7B0.1%—
CORVEL CORP1.5M$95.6B0.1%—
MICROCHIP TECHNOLOGY INC.1.0M$95.4B0.1%—
THE CIGNA GROUP345K$95.2B0.1%—
MCDONALDS CORP351K$94.9B0.1%—
TARGET CORP726K$94.8B0.1%—
OSCAR HEALTH INC3.3M$93.7B0.1%—
DUKE ENERGY CORP NEW740K$93.6B0.1%—
XYLEM INC790K$93.4B0.1%—
FORGENT POWER SOLUTIONS INC1.7M$93.3B0.1%—
AUTODESK INC478K$92.9B0.1%—
BEST BUY INC1.2M$92.7B0.1%—
EOG RES INC714K$92.6B0.1%—
BATH & BODY WORKS INC4.0M$92.5B0.1%—
REGENERON PHARMACEUTICALS148K$92.4B0.1%—
INNOVIVA INC4.0M$91.7B0.1%—
ALPHA METALLURGICAL RESOUR I551K$90.8B0.1%—
CIENA CORP185K$90.6B0.1%—
BAKER HUGHES COMPANY1.6M$90.6B0.1%—
VANGUARD MUN BD FDS1.8M$89.8B0.1%—
NATIONAL BEVERAGE CORP2.8M$88.6B0.1%—
S&P GLOBAL INC215K$87.7B0.1%—
MONOLITHIC PWR SYS INC63K$87.2B0.1%—
WINMARK CORP204K$86.5B0.1%—
DILLARDS INC162K$85.4B0.1%—
USA RARE EARTH INC4.0M$85.3B0.1%—
CORE SCIENTIFIC INC NEW3.3M$84.9B0.1%—
MADISON SQUARE GRDN SPRT COR211K$84.7B0.1%—
GRACO INC1.1M$83.8B0.1%—
BRADY CORP915K$83.8B0.1%—
MERCURY GENL CORP NEW782K$83.3B0.1%—
PROGRESSIVE CORP375K$82.0B0.1%—
NIO INC16.2M$81.8B0.1%—
FORTIVE CORP1.3M$81.1B0.1%—
CELESTICA INC222K$80.9B0.1%—
COLGATE PALMOLIVE CO882K$80.9B0.1%—
ULTA BEAUTY INC178K$80.2B0.1%—
VISTANCE NETWORKS INC6.3M$80.2B0.1%—
INTUITIVE MACHINES INC3.7M$79.6B0.1%—
DOW HLDGS INC2.9M$79.2B0.1%—
SCORPIO TANKERS INC1.1M$79.0B0.1%—
IES HOLDINGS INC107K$78.4B0.1%—
AMBEV SA24.9M$78.2B0.1%—
ELEVANCE HEALTH INC FORMERLY201K$77.9B0.1%—
ATMOS ENERGY CORP448K$77.2B0.1%—
AGNICO EAGLE MINES LTD497K$77.0B0.1%—
LAS VEGAS SANDS CORP1.7M$77.0B0.1%—
JOHNSON CONTROLS INTERNATION526K$76.8B0.1%—
SEA LTD800K$76.6B0.1%—
LI AUTO INC6.5M$76.5B0.1%—
ASTERA LABS INC153K$74.1B0.1%—
EMBRAER S.A.1.2M$73.9B0.1%—
PATTERSON-UTI ENERGY INC8.0M$73.0B0.1%—
MIDDLEBY CORP421K$72.4B0.1%—
MOLINA HEALTHCARE INC315K$72.1B0.1%—
TE CONNECTIVITY PLC357K$72.0B0.1%—
CHIPMOS TECHNOLOGIES INC1.1M$71.1B0.1%—
TRANSOCEAN LTD14.5M$71.0B0.1%—
QORVO INC758K$70.7B0.1%—
TECHNIPFMC PLC1.1M$70.6B0.1%—
EXELON CORP1.5M$70.5B0.1%—
WATTS WATER TECHNOLOGIES INC180K$70.4B0.1%—
SOLSTICE ADVANCED MATLS INC795K$70.4B0.1%—
REGENCY CTRS CORP883K$70.4B0.1%—
LUMEN TECHNOLOGIES INC9.2M$70.4B0.1%—
ISHARES TR644K$70.3B0.1%—
UNILEVER PLC1.2M$70.2B0.1%—
ROLLINS INC1.7M$69.8B0.1%—
AFLAC INC593K$69.6B0.1%—
TRIMBLE INC1.4M$69.4B0.1%—
EXPEDITORS INTL WASH INC426K$69.4B0.1%—
GARTNER INC534K$69.2B0.1%—
EZCORP INC2.0M$69.2B0.1%—
BEL FUSE INC208K$69.2B0.1%—
MAPLEBEAR INC1.5M$68.8B0.1%—
SUPERNUS PHARMACEUTICALS1.5M$68.8B0.1%—
TELADOC HEALTH INC8.1M$68.5B0.1%—
VIPER ENERGY INC1.6M$68.1B0.1%—
CORE & MAIN INC1.4M$68.0B0.1%—
TAPESTRY INC463K$67.8B0.1%—
WARRIOR MET COAL INC832K$67.5B0.1%—
CATALYST PHARMACEUTICALS INC2.1M$67.1B0.1%—
VALE S A4.5M$67.0B0.1%—
AMERIPRISE FINL INC146K$66.9B0.1%—
TUTOR PERINI CORP800K$66.4B0.1%—
ZEBRA TECHNOLOGIES CORPORATI252K$66.3B0.1%—
CAMECO CORP650K$66.2B0.1%—
HERBALIFE LTD5.0M$66.1B0.1%—
FIVE BELOW INC366K$65.9B0.1%—
REX AMERICAN RES CORP1.5M$65.8B0.1%—
EQUINOR ASA2.1M$65.7B0.1%—
AXSOME THERAPEUTICS INC.262K$64.1B0.1%—
KE HLDGS INC4.4M$64.0B0.1%—
BRIDGEBIO PHARMA INC857K$63.8B0.1%—
RALPH LAUREN CORP159K$63.8B0.1%—
UNITED STS LIME & MINERALS I609K$63.7B0.1%—
NATIONAL HEALTHCARE CORP300K$63.3B0.1%—
UNITED AIRLS HLDGS INC466K$63.3B0.1%—
HINGE HEALTH INC759K$63.0B0.1%—
WATSCO INC151K$63.0B0.1%—
MANHATTAN ASSOCIATES INC449K$62.5B0.1%—
ABBOTT LABORATORIES686K$62.3B0.1%—
ALBEMARLE CORP456K$61.6B0.1%—
FIRSTSERVICE CORP NEW431K$61.2B0.1%—
GAMESTOP CORP2.8M$61.2B0.1%—
RALLIANT CORP830K$61.1B0.1%—
DNOW INC4.7M$60.9B0.1%—
SITIME CORP81K$60.5B0.1%—
EXTREME NETWORKS INC1.9M$60.3B0.1%—
SPOTIFY TECHNOLOGY S A131K$60.2B0.1%—
UNION PAC CORP221K$60.1B0.1%—
ATOUR LIFESTYLE HLDGS LTD1.9M$59.9B0.1%—
ABERCROMBIE & FITCH CO664K$59.8B0.1%—
VISHAY PRECISION GROUP INC396K$59.3B0.1%—
DOXIMITY INC2.9M$59.2B0.1%—
PTC THERAPEUTICS INC724K$59.0B0.1%—
DIAMONDBACK ENERGY INC332K$58.3B0.1%—
SUNCOR ENERGY INC NEW1.1M$58.3B0.1%—
BROWN & BROWN INC904K$58.0B0.1%—
AMRIZE LTD1.1M$57.8B0.1%—
IDEXX LABS INC110K$57.8B0.1%—
SOCIEDAD QUIMICA Y MINERA DE779K$57.7B0.1%—
PINTEREST INC2.7M$57.4B0.1%—
CENOVUS ENERGY INC2.3M$57.1B0.1%—
WEYERHAEUSER CO2.4M$57.1B0.1%—
A10 NETWORKS INC1.5M$56.8B0.1%—
COMMERCE BANCSHARES INC979K$56.5B0.1%—
LIQUIDITY SVCS INC1.4M$56.3B0.1%—
F N B CORP3.0M$56.3B0.1%—
ARAMARK989K$56.3B0.1%—
CONSOLIDATED EDISON INC508K$56.2B0.1%—
MAXLINEAR INC437K$55.9B0.1%—
EVEREST GROUP LTD156K$55.7B0.1%—
MASCO CORP684K$55.6B0.1%—
ENTERGY CORP NEW484K$55.6B0.1%—
JAMES HARDIE INDS PLC2.1M$55.5B0.1%—
OCCIDENTAL PETE CORP1.1M$55.5B0.1%—
IAMGOLD CORP3.5M$55.4B0.1%—
TOWER SEMICONDUCTOR LTD211K$55.0B0.1%—
VENTAS INC618K$54.9B0.1%—
SNAP ON INC136K$54.8B0.1%—
FISERV INC1.1M$54.8B0.1%—
FIGMA INC3.0M$54.8B0.1%—
EMCOR GROUP INC66K$54.5B0.1%—
GAMING & LEISURE P1.2M$54.3B0.1%—
LIBERTY GLOBAL LTD4.8M$54.1B0.1%—
RUSH STREET INTERACTIVE INC1.8M$54.1B0.1%—
TENCENT MUSIC ENTMT GROUP6.5M$53.9B0.1%—
TOAST INC1.9M$53.8B0.1%—
LATAM AIRLINES GROUP SA918K$53.5B0.1%—
EVERCORE INC156K$53.3B0.1%—
CIRRUS LOGIC INC358K$53.1B0.1%—
BRIGHTSPRING HEALTH SVCS INC761K$53.1B0.1%—
PAYPAL HLDGS INC1.2M$52.7B0.1%—
FIRST MAJESTIC SILVER CORP3.1M$52.5B0.1%—
STAR BULK CARRIERS CORP.2.1M$52.4B0.1%—
ADOBE INC255K$52.3B0.1%—
AECOM747K$52.1B0.1%—
GOLD FIELDS LTD1.5M$51.9B0.1%—
ACCENTURE PLC IRELAND417K$51.8B0.1%—
MIRUM PHARMACEUTICALS INC442K$51.8B0.1%—
HEALTHCARE RLTY TR2.6M$51.7B0.1%—
ITURAN LOCATION AND CONTROL843K$51.4B0.1%—
KANZHUN LIMITED4.0M$51.2B0.1%—
IDT CORP879K$51.1B0.1%—
MARQETA INC12.4M$50.4B0.1%—
AMKOR TECHNOLOGY INC581K$50.1B0.1%—
HUBSPOT INC272K$49.7B0.1%—
GRIFFON CORP509K$49.6B0.1%—
AMEREN CORP438K$49.5B0.1%—
COLLEGIUM PHARMACEUTICAL INC1.4M$49.5B0.1%—
FEDEX CORP158K$49.4B0.1%—
MARKEL GROUP INC25K$49.4B0.1%—
ITT INC249K$49.3B0.1%—
ROYAL BK CDA238K$49.3B0.1%—
DATADOG INC189K$49.2B0.1%—
AMERICAN PUB ED INC911K$48.9B0.1%—
SUNOCOCORP LLC721K$48.8B0.1%—
PUBLIC SVC ENTERPRISE GROUP601K$48.7B0.1%—
FREEPORT MCMORAN INC769K$48.3B0.1%—
BUCKLE INC1.1M$48.1B0.1%—
FIRST CTZNS BANCSHARES INC D23K$48.0B0.1%—
EVERSOURCE ENERGY663K$47.9B0.1%—
TELEKOMUNIKASI IND3.6M$47.9B0.1%—
VERISK ANALYTICS INC266K$47.8B0.1%—
GODADDY INC561K$47.6B0.1%—
CROWN CASTLE INC626K$47.4B0.1%—
SNAP INC10.7M$47.3B0.1%—
FORMFACTOR INC296K$47.3B0.1%—
CENTRUS ENERGY CORP280K$47.1B0.1%—
XPO INC229K$47.0B0.1%—
ISHARES BITCOIN TRUST ETF1.4M$46.7B0.1%—
YUM BRANDS INC292K$46.6B0.1%—
PINNACLE WEST CAP CORP435K$46.5B0.1%—
WALMART INC411K$46.5B0.1%—
ANGLOGOLD ASHANTI PLC575K$46.5B0.1%—
ROYAL GOLD INC233K$46.5B0.1%—
CAMDEN PPTY TR401K$45.9B0.1%—
FUELCELL ENERGY INC1.3M$45.8B0.1%—
CARMAX INC864K$45.7B0.1%—
CVS HEALTH CORP441K$45.6B0.1%—
GRAB HOLDINGS LIMITED12.1M$45.5B0.1%—
TELEFONAKTIEBOLAGET LM ERICS4.1M$45.5B0.1%—
VALMONT INDS INC78K$45.2B0.1%—
WILLIS LEASE FIN CORP198K$45.2B0.1%—
AUTOLIV INC388K$45.1B0.1%—
MOODYS CORP99K$44.7B0.1%—
HOWMET AEROSPACE INC166K$44.5B0.1%—
RTX CORPORATION234K$44.4B0.1%—
DESCARTES SYS GROUP INC641K$44.4B0.1%—
IONIS PHARMACEUTICALS INC559K$44.4B0.1%—
SPHERE ENTERTAINMENT CO256K$44.3B0.1%—
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ALL IN FUTURETECH ALLIANCE I27K$61.2M0.0%—
ROADZEN INC41K$60.5M0.0%—
ATA CREATIVITY GLOBAL58K$60.2M0.0%—
HYDROFARM HLDGS GROUP INC70K$59.8M0.0%—
MIND C T I LTD58K$59.7M0.0%—
ONCOLYTICS BIOTECH INC62K$58.9M0.0%—
MOVING IMAGE TECHNOLOGIES IN101K$58.8M0.0%—
CLAROS MTG TR INC25K$58.0M0.0%—
BIONANO GENOMICS INC51K$57.7M0.0%—
DOLPHIN ENTMT INC50K$56.9M0.0%—
NYXOAH S A33K$56.6M0.0%—
111 INC13K$56.0M0.0%—
TWENTY ONE CAP INC11K$54.9M0.0%—
ONE AND ONE GREEN TECHNOLOGI27K$53.7M0.0%—
MICROCLOUD HOLOGRAM INC35K$53.3M0.0%—
MYOMO INC49K$50.4M0.0%—
SONOMA PHARMACEUTICALS INC40K$49.8M0.0%—
INMUNE BIO INC30K$48.4M0.0%—
BIOLINE RX LIMITED15K$48.1M0.0%—
SKILLFUL CRAFTSMAN ED TECH L49K$47.7M0.0%—
JYONG BIOTECH LTD23K$47.4M0.0%—
REGENTIS BIOMATERIALS LTD13K$47.1M0.0%—
HARTE HANKS INC21K$46.2M0.0%—
17 ED & TECHNOLOGY GROUP INC21K$45.2M0.0%—
ENVERIC BIOSCIENCES INC32K$44.2M0.0%—
TELA BIO INC58K$43.6M0.0%—
MATINAS BIOPHARMA HLDGS INC71K$43.5M0.0%—
WING YIP FOOD HOLDINGS GROUP11K$43.0M0.0%—
NASUS PHARMA LTD12K$42.7M0.0%—
MERCER INTL INC63K$41.3M0.0%—
ESTRELLA IMMUNOPHARMA INC39K$40.7M0.0%—
CO-DIAGNOSTICS INC13K$38.8M0.0%—
PLURI INC18K$38.3M0.0%—
CYTOSORBENTS CORP100K$37.4M0.0%—
METALPHA TECHN HOLDING LTD37K$36.1M0.0%—
OXBRIDGE RE HLDGS LTD35K$36.0M0.0%—
JE CLEANTECH HOLDINGS LIMITE25K$35.8M0.0%—
SIEBERT FINL CORP21K$34.6M0.0%—
UCLOUDLINK GROUP INC36K$33.8M0.0%—
PASITHEA THERAPEUTICS CORP66K$33.8M0.0%—
XOS INC11K$32.0M0.0%—
DIREXION SHARES ETF TRUST12K$31.0M0.0%—
TAOWEAVE INC21K$29.5M0.0%—
NEONODE INC31K$29.3M0.0%—
PHARMACYTE BIOTECH INC38K$29.3M0.0%—
CANOPY GROWTH CORPORATION31K$29.0M0.0%—
PICARD MEDICAL INC172K$28.2M0.0%—
TIDAL TRUST II11K$27.5M0.0%—
STABLECOIN DEV CORP26K$27.4M0.0%—
LIVEPERSON INC14K$26.8M0.0%—
STEREOTAXIS INC15K$26.5M0.0%—
TROOPS INC11K$25.8M0.0%—
KANDI TECHNOLOGIES GROUP INC36K$25.8M0.0%—
CBAK ENERGY TECHNOLOGY LTD41K$24.5M0.0%—
EHEALTH INC16K$24.1M0.0%—
SINGULARITY FUTURE TECH LTD73K$21.9M0.0%—
LIVEWIRE GROUP INC19K$21.5M0.0%—
COLLPLANT BIOTECHNOLOGIES LT62K$21.5M0.0%—
SCIENJOY HOLDING CORP28K$21.5M0.0%—
RESEARCH FRONTIERS INC41K$21.2M0.0%—
FREIGHTOS LTD13K$20.1M0.0%—
MOGU INC12K$19.8M0.0%—
VIVOSIM LABS INC19K$19.8M0.0%—
REIN THERAPEUTICS INC19K$19.8M0.0%—
BEYONDSPRING INC11K$19.1M0.0%—
SURGEPAYS INC51K$18.4M0.0%—
CARDIFF ONCOLOGY INC14K$18.1M0.0%—
MILESTONE SCIENTIFIC INC56K$18.1M0.0%—
SOLARMAX TECHNOLOGY INC50K$17.5M0.0%—
IN8BIO INC12K$17.1M0.0%—
CCH HLDGS LTD36K$16.8M0.0%—
OKYO PHARMA LTD11K$16.8M0.0%—
TIZIANA LIFE SCIENCES LTD13K$16.8M0.0%—
MEREO BIOPHARMA GROUP PLC52K$16.6M0.0%—
BARINTHUS BIOTHERAPEUTICS PL25K$16.5M0.0%—
AMTD IDEA GROUP17K$16.2M0.0%—
SOCKET MOBILE INC27K$16.1M0.0%—
DSS INC27K$16.0M0.0%—
THERIVA BIOLOGICS INC64K$15.9M0.0%—
PURPLE INNOVATION INC43K$15.5M0.0%—
HYPERSCALE DATA INC110K$15.4M0.0%—
TDH HLDGS INC12K$15.2M0.0%—
VYNE THERAPEUTICS INC23K$15.2M0.0%—
ISPIRE TECHNOLOGY INC13K$14.6M0.0%—
LONGEVERON INC20K$13.9M0.0%—
CURANEX PHARMACEUTICALS INC52K$13.8M0.0%—
MICROVISION INC DEL41K$13.4M0.0%—
AMESITE INC10K$13.4M0.0%—
ITONIC HOLDINGS LTD44K$13.3M0.0%—
ESS TECH INC13K$12.1M0.0%—
HUADI INTERNATIONAL GRP CO L13K$11.7M0.0%—
RENOVORX INC11K$11.2M0.0%—
ORIGIN AGRITECH LIMITED11K$11.1M0.0%—
CLPS INCORPORATION13K$11.0M0.0%—
MEGA MATRIX INC36K$10.6M0.0%—
BLUE GOLD LTD37K$10.4M0.0%—
CHINA PHARMA HLDGS INC15K$9.9M0.0%—
RYDE GROUP LTD15K$9.4M0.0%—
LEXARIA BIOSCIENCE CORP17K$9.2M0.0%—
TRYHARD HLDGS LTD29K$8.5M0.0%—
CHOWCHOW CLOUD INTL HLDGS LT21K$8.1M0.0%—
STEAKHOLDER FOODS LTD14K$7.5M0.0%—
CHECHE GROUP INC13K$7.3M0.0%—
HEALTHY CHOICE WELLNESS CORP37K$7.3M0.0%—
REE AUTOMOTIVE LTD31K$6.1M0.0%—
MYND AI INC16K$6.1M0.0%—
CBL INTL LTD12K$4.1M0.0%—
CLOUDASTRUCTURE INC11K$3.6M0.0%—
SINOVAC BIOTECH LTD1.3M—0.0%—

Holdings from the latest SEC Form 13F filing. Filed quarterly — reflects positions as of quarter end, not real time. Not investment advice.