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Wednesday, September 16, 2026Closing data · 4:00 PM ET
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Soros Fund Management

Period 2026-06-30 · Filed 2026-08-14 · Value of constituent holdings $2.5BNotable Institutional Holdings
New
14
Added
17
Reduced
21
Sold out
9
TickerCompanyValueWeightSharesvs. 2026-03
AMZNAmazon$282M11.3%1,182,529Reduced−39%
GOOGLAlphabet Inc. (Class A)$273M11.0%1,796,286Added+213%
NVDANvidia$213M8.6%1,064,635Reduced−1%
AAPLApple Inc.$153M6.2%529,538Added+6%
LINLinde plc$139M5.6%267,349Added+3%
TKOTKO Group Holdings$116M4.7%578,157Reduced−4%
ETREntergy$105M4.2%913,912Added+1084%
NEENextEra Energy$77.9M3.1%1,627,578Added+36%
CMSCMS Energy$74.2M3.0%970,362Reduced−6%
MSFTMicrosoft$70.9M2.9%189,971Reduced−10%
SWSmurfit Westrock$70.0M2.8%1,512,798Reduced−40%
AVGOBroadcom$62.4M2.5%165,246Added+7%
WECWEC Energy Group$61.7M2.5%528,369Added+3%
KVUEKenvue$52.5M2.1%2,746,636Reduced−13%
DASHDoorDash$46.1M1.9%249,897Added+47%
XELXcel Energy$42.8M1.7%533,324Added+5%
SRESempra$40.9M1.6%441,114Added+306%
WBDWarner Bros. Discovery$39.7M1.6%1,488,690Added+36%
TECHBio-Techne$37.8M1.5%535,400New
TSLATesla, Inc.$36.5M1.5%86,846Added+64%
HONAHoneywell Aerospace$36.0M1.5%162,940New
ORCLOracle Corporation$33.1M1.3%738,395Added+30%
AMDAdvanced Micro Devices$29.5M1.2%50,757Added+47%
MUMicron Technology$25.9M1.0%22,422Added+694%
PPLPPL Corporation$22.1M0.9%607,306Added+418%
ONON Semiconductor$21.6M0.9%228,022New
MCHPMicrochip Technology$20.8M0.8%227,800New
MRVLMarvell Technology$16.1M0.6%53,962New
INTCIntel$14.0M0.6%100,000New
CRHCRH plc$13.3M0.5%123,942Added+8%
HUMHumana$13.2M0.5%33,228Reduced−51%
METAMeta Platforms$12.3M0.5%21,776Reduced−37%
DDominion Energy$11.3M0.5%165,344New
ARESAres Management$6.0M0.2%54,026Reduced−72%
BXBlackstone Inc.$6.0M0.2%51,080Reduced−71%
VRSKVerisk Analytics$6.0M0.2%33,267Reduced−38%
NOWServiceNow$4.8M0.2%48,570Reduced−69%
ADBEAdobe Inc.$4.8M0.2%23,419New
MSMorgan Stanley$4.0M0.2%19,096New
FCXFreeport-McMoRan$3.9M0.2%62,294New
BGBunge Global$3.5M0.1%33,054Reduced−52%
ADMArcher Daniels Midland$3.5M0.1%46,071New
NFLXNetflix$3.3M0.1%46,451Reduced−3%
DDOGDatadog$2.5M0.1%9,662Reduced−90%
ZTSZoetis$2.0M0.1%27,808New
RDDTReddit$1.9M0.1%11,003Reduced−54%
UNHUnitedHealth Group$1.6M0.1%3,885Reduced−94%
FSLRFirst Solar$926,1430.0%3,925New
CEGConstellation Energy$809,4380.0%3,259New
VSTVistra Corp.$669,8940.0%4,223Reduced−98%
JJacobs Solutions$262,3320.0%2,082Reduced−18%
EMEEmcor$214,9390.0%259Reduced−21%
CRMSalesforceSold out
LULULululemon AthleticaSold out
GLGlobe LifeSold out
EXCExelonSold out
DTEDTE EnergySold out
CMCSAComcastSold out
BLDRBuilders FirstSourceSold out
LNTAlliant EnergySold out
AESAES CorporationSold out

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.