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Wednesday, September 16, 2026Closing data · 4:00 PM ET
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Citadel Advisors · Ken Griffin

Period 2026-06-30 · Filed 2026-08-14 · Value of constituent holdings $68.5BNotable Institutional Holdings
New
2
Added
181
Reduced
158
Sold out
0
TickerCompanyValueWeightSharesvs. 2026-03
NVDANvidia$2.4B3.4%11,815,467Reduced−37%
AVGOBroadcom$1.1B1.6%2,901,715Reduced−11%
MUMicron Technology$693M1.0%600,523Reduced−87%
METAMeta Platforms$631M0.9%1,120,322Reduced−39%
INTCIntel$589M0.9%4,218,311Reduced−33%
BRK.BBerkshire Hathaway$572M0.8%1,085,781Reduced−9%
TSLATesla, Inc.$516M0.8%1,226,238Reduced−41%
PANWPalo Alto Networks$511M0.7%1,499,125Reduced−18%
CVSCVS Health$498M0.7%4,812,530Reduced−11%
XYZBlock, Inc.$448M0.7%5,901,133Reduced−6%
UNHUnitedHealth Group$442M0.6%1,064,151Reduced−31%
GILDGilead Sciences$440M0.6%3,480,444Reduced−13%
ABNBAirbnb$401M0.6%2,799,703Reduced−7%
STZConstellation Brands$392M0.6%2,816,205Reduced−24%
DDOGDatadog$370M0.5%1,422,883Reduced−47%
FDXFedEx$351M0.5%1,119,824Reduced−2%
LMTLockheed Martin$342M0.5%671,430Reduced−10%
TMOThermo Fisher Scientific$288M0.4%574,992Reduced−33%
PHParker Hannifin$279M0.4%285,363Reduced−43%
AMEAmetek$270M0.4%1,117,983Reduced−23%
VRSKVerisk Analytics$260M0.4%1,449,296Reduced−27%
MSCIMSCI$258M0.4%460,566Reduced−39%
DUKDuke Energy$255M0.4%2,014,703Reduced−19%
ETREntergy$253M0.4%2,205,517Reduced−1%
CCitigroup$236M0.3%1,686,502Reduced−63%
CARRCarrier Global$222M0.3%3,025,970Reduced−16%
PLTRPalantir Technologies$216M0.3%1,855,338Reduced−8%
CRWDCrowdStrike$214M0.3%280,115Reduced−33%
GEGE Aerospace$204M0.3%546,373Reduced−72%
AEEAmeren$201M0.3%1,776,083Reduced−2%
KEYSKeysight Technologies$195M0.3%555,953Reduced−30%
DELLDell Technologies$188M0.3%435,121Reduced−70%
ISRGIntuitive Surgical$187M0.3%470,076Reduced−65%
BABoeing$186M0.3%857,294Reduced−14%
FCXFreeport-McMoRan$183M0.3%2,910,149Reduced−18%
DHRDanaher Corporation$180M0.3%943,694Reduced−8%
GEVGE Vernova$171M0.2%145,490Reduced−16%
TGTTarget Corporation$165M0.2%1,262,470Reduced−55%
CRHCRH plc$161M0.2%1,507,173Reduced−26%
IEXIDEX Corporation$160M0.2%706,368Reduced−13%
TPRTapestry, Inc.$158M0.2%1,079,051Reduced−3%
MOAltria$157M0.2%2,187,157Reduced−16%
HONAHoneywell Aerospace$156M0.2%704,545New
CNPCenterPoint Energy$155M0.2%3,527,112Reduced−46%
EQIXEquinix$155M0.2%148,225Reduced−59%
SNDKSandisk$153M0.2%67,432Reduced−89%
PFEPfizer$149M0.2%6,191,186Reduced−16%
ADIAnalog Devices$148M0.2%373,186Reduced−49%
AAgilent Technologies$146M0.2%1,101,501Reduced−39%
APHAmphenol$138M0.2%783,629Reduced−24%
INVHInvitation Homes$135M0.2%4,465,803Reduced−38%
BXPBXP, Inc.$128M0.2%1,934,641Reduced−52%
WELLWelltower$127M0.2%561,228Reduced−66%
TMUST-Mobile US$114M0.2%682,089Reduced−73%
AKAMAkamai Technologies$114M0.2%966,903Reduced−53%
EBAYeBay Inc.$114M0.2%1,021,738Reduced−58%
MSMorgan Stanley$114M0.2%545,065Reduced−81%
MRVLMarvell Technology$113M0.2%378,401Reduced−52%
CTASCintas$108M0.2%637,740Reduced−56%
CMICummins$107M0.2%149,683Reduced−39%
AXPAmerican Express$106M0.2%312,334Reduced−23%
WTWWillis Towers Watson$100M0.1%382,807Reduced−33%
TYLTyler Technologies$95.1M0.1%325,093Reduced−28%
GLWCorning Inc.$94.1M0.1%368,501Reduced−56%
CICigna$88.6M0.1%321,435Reduced−3%
NEENextEra Energy$81.7M0.1%930,842Reduced−30%
DXCMDexcom$81.6M0.1%1,211,767Reduced−42%
EMEEmcor$78.5M0.1%94,598Reduced−47%
CRMSalesforce$74.9M0.1%477,800Reduced−76%
METMetLife$73.8M0.1%872,341Reduced−23%
HCAHCA Healthcare$71.9M0.1%184,460Reduced−29%
ROSTRoss Stores$67.3M0.1%316,244Reduced−86%
CNCCentene Corporation$64.7M0.1%1,007,326Reduced−42%
HSYHershey Company (The)$64.0M0.1%364,672Reduced−50%
COHRCoherent Corp.$63.5M0.1%161,095Reduced−85%
CCLCarnival Corporation$63.0M0.1%2,204,741Reduced−59%
VSTVistra Corp.$62.2M0.1%391,939Reduced−51%
CDWCDW Corporation$61.9M0.1%440,204Reduced−72%
NKENike, Inc.$61.2M0.1%1,490,584Reduced−75%
FERGFerguson Enterprises$59.9M0.1%252,495Reduced−43%
KEYKeyCorp$57.5M0.1%2,495,192Reduced−6%
GENGen Digital$56.9M0.1%2,284,559Reduced−34%
EXEExpand Energy$56.7M0.1%622,041Reduced−59%
TTDTrade Desk (The)$56.3M0.1%3,115,653Reduced−8%
EQTEQT Corporation$56.0M0.1%1,052,456Reduced−13%
EXCExelon$55.8M0.1%1,196,816Reduced−63%
NUENucor$54.9M0.1%246,312Reduced−77%
UDRUDR, Inc.$53.3M0.1%1,334,910Reduced−62%
WATWaters Corporation$50.9M0.1%135,686Reduced−35%
ALGNAlign Technology$50.4M0.1%299,082Reduced−59%
DASHDoorDash$49.1M0.1%266,037Reduced−37%
CEGConstellation Energy$47.6M0.1%191,515Reduced−53%
CAHCardinal Health$46.1M0.1%193,920Reduced−92%
WYWeyerhaeuser$45.7M0.1%1,907,721Reduced−20%
DVADaVita$44.5M0.1%199,862Reduced−72%
FFIVF5, Inc.$44.0M0.1%105,668Reduced−66%
EGEverest Group$43.0M0.1%120,459Reduced−56%
BLDRBuilders FirstSource$41.7M0.1%465,506Reduced−13%
AFLAflac$38.6M0.1%329,291Reduced−66%
BKRBaker Hughes$36.0M0.1%648,912Reduced−33%
RCLRoyal Caribbean Group$34.9M0.1%109,856Reduced−43%
APAAPA Corporation$34.9M0.1%1,070,617Reduced−14%
VLOValero Energy$33.4M0.0%128,064Reduced−44%
DDominion Energy$32.9M0.0%482,136Reduced−88%
TERTeradyne$32.7M0.0%67,515Reduced−81%
AMCRAmcor$31.1M0.0%716,957Reduced−13%
HPQHP Inc.$30.7M0.0%1,398,495Reduced−47%
URIUnited Rentals$30.6M0.0%27,019Reduced−75%
BENFranklin Resources$30.3M0.0%910,401Reduced−92%
TRVTravelers Companies (The)$30.3M0.0%91,711Reduced−64%
MCOMoody's Corporation$29.3M0.0%64,798Reduced−21%
AVYAvery Dennison$29.1M0.0%179,023Reduced−20%
DGXQuest Diagnostics$28.2M0.0%133,211Reduced−62%
ADSKAutodesk$27.5M0.0%141,682Reduced−85%
SRESempra$27.5M0.0%296,960Reduced−77%
TELTE Connectivity$26.8M0.0%132,834Reduced−38%
AXONAxon Enterprise$26.5M0.0%47,359Reduced−76%
ALLAllstate$26.4M0.0%111,023Reduced−60%
AZOAutoZone$25.0M0.0%7,834Reduced−82%
PSKYParamount Skydance Corporation$25.0M0.0%2,537,468Reduced−59%
ROKRockwell Automation$23.8M0.0%47,991Reduced−72%
NWSANews Corp (Class A)$23.2M0.0%932,698Reduced−54%
HRLHormel Foods$22.6M0.0%911,774Reduced−79%
IPInternational Paper$22.6M0.0%593,259Reduced−1%
GLGlobe Life$22.4M0.0%125,122Reduced−50%
PSAPublic Storage$21.7M0.0%68,141Reduced−43%
HUBBHubbell Incorporated$21.7M0.0%41,404Reduced−92%
LVSLas Vegas Sands$21.4M0.0%462,249Reduced−25%
FSLRFirst Solar$21.1M0.0%89,345Reduced−74%
CSGPCoStar Group$21.0M0.0%741,898Reduced−32%
MOSMosaic Company (The)$20.7M0.0%978,462Reduced−68%
MRNAModerna$20.6M0.0%294,496Reduced−40%
FANGDiamondback Energy$18.0M0.0%102,425Reduced−41%
JBLJabil$17.5M0.0%45,503Reduced−92%
LNTAlliant Energy$16.6M0.0%217,500Reduced−25%
TAPMolson Coors Beverage Company$16.1M0.0%413,204Reduced−68%
HBANHuntington Bancshares$15.8M0.0%891,340Reduced−57%
ROPRoper Technologies$14.7M0.0%43,525Reduced−61%
DOVDover Corporation$13.0M0.0%58,078Reduced−8%
SYFSynchrony Financial$12.8M0.0%167,889Reduced−63%
ESEversource Energy$11.7M0.0%162,200Reduced−14%
NDSNNordson Corporation$11.6M0.0%38,528Reduced−49%
FISVFiserv$11.3M0.0%229,987Reduced−68%
DRIDarden Restaurants$10.7M0.0%51,830Reduced−30%
ARESAres Management$10.1M0.0%90,970Reduced−96%
LHLabcorp$9.9M0.0%35,367Reduced−50%
VRSNVerisign$8.9M0.0%35,324Reduced−63%
FTVFortive$8.0M0.0%131,485Reduced−58%
VTRSViatris$8.0M0.0%502,259Reduced−87%
SOLVSolventum$7.6M0.0%98,232Reduced−84%
KIMKimco Realty$7.5M0.0%294,431Reduced−15%
JJacobs Solutions$7.2M0.0%57,022Reduced−81%
BGBunge Global$7.1M0.0%66,872Reduced−92%
GPCGenuine Parts Company$7.0M0.0%59,356Reduced−41%
TXTTextron$6.9M0.0%75,358Reduced−15%
TKOTKO Group Holdings$6.8M0.0%33,641Reduced−93%
AIZAssurant$5.7M0.0%21,371Reduced−78%
RDDTReddit$5.7M0.0%32,674New
TRMBTrimble Inc.$5.2M0.0%100,692Reduced−70%
SWKSSkyworks Solutions$4.9M0.0%72,297Reduced−90%

Institutional holdings come from filings made within 45 days of quarter-end and reflect positions at quarter-end. Short positions and non-US stocks are excluded; values are as reported in the filing.