13F Filings for ARK Investment Management LLC (CIK: 1697748)

View the most recent portfolio holdings disclosed by ARK Investment Management LLC in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
TSLA - Tesla Inc(Class: Common Stock)3.26M $844.54M -Decreased 28.59K (0.0%, $483.02M)
ROKU - Roku Inc(Class: Common Stock)8.64M $608.75M -Decreased 2.03M (19.0%, $184.61M)
PLTR - Palantir Technologies Inc(Class: Common Stock)6.29M $530.47M -Decreased 1.51M (19.0%, $58.95M)
RBLX - ROBLOX Corp(Class: Common Stock)9.07M $528.81M -Decreased 1.07M (10.0%, $58.04M)
COIN - Coinbase Global Inc(Class: Common Stock)3.07M $528.59M -Increased 34.46K (1.0%, $224.91M)
HOOD - Robinhood Markets Inc(Class: Common Stock)10.25M $426.55M -Decreased 2.66M (20.0%, $54.37M)
SHOP - Shopify Inc(Class: Common Stock)4.44M $424.33M -Decreased 60.80K (1.0%, $54.68M)
TEM - Tempus AI Inc(Class: Common Stock)7.50M $361.87M -Increased 1.98M (35.0%, $175.52M)
CRSP - CRISPR Therapeutics AG(Class: Common Stock)10.17M $345.93M -Increased 1.19M (13.0%, $7.25M)
TWST - Twist Bioscience Corp(Class: Common Stock)6.24M $245.05M -Increased 645.73K (11.0%, $14.99M)
META - Meta Platforms Inc(Class: Common Stock)416.47K $240.04M -Decreased 47.92K (10.0%, $31.87M)
N/A - ARK 21Shares Bitcoin ETF(Class: ETP)2.87M $235.87M -Decreased 230.76K (7.0%, $53.29M)
XYZ - Block Inc(Class: Common Stock)4.08M $221.64M -Decreased 848.41K (17.0%, $197.18M)
AMZN - Amazon.com Inc(Class: Common Stock)1.05M $200.44M -Increased 158.43K (17.0%, $4.07M)
ACHR - Archer Aviation Inc(Class: Common Stock)27.32M $194.21M -Decreased 2.60M (8.0%, $97.43M)
TER - Teradyne Inc(Class: Common Stock)2.24M $185.32M -Increased 320.58K (16.0%, $56.82M)
RXRX - Recursion Pharmaceuticals Inc(Class: Common Stock)34.82M $184.17M -Increased 2.47M (7.0%, $34.49M)
PD - PagerDuty Inc(Class: Common Stock)9.17M $167.55M -Increased 174.50K (1.0%, $3.28M)
BEAM - Beam Therapeutics Inc(Class: Common Stock)8.48M $165.62M -Increased 1.41M (19.0%, $9.67M)
DKNG - DraftKings Inc(Class: Common Stock)4.83M $160.41M -Decreased 704.03K (12.0%, $45.46M)
AMD - Advanced Micro Devices Inc(Class: Common Stock)1.42M $146.14M -Increased 215.88K (17.0%, $400.95K)
IRDM - Iridium Communications Inc(Class: Common Stock)4.89M $133.64M -Increased 2.38M (95.0%, $60.87M)
NTRA - Natera Inc(Class: Common Stock)943.09K $133.36M -Increased 55.38K (6.0%, $7.16M)
PINS - Pinterest Inc(Class: Common Stock)4.20M $130.17M -Decreased 187.50K (4.0%, $2.96M)
VCYT - Veracyte Inc(Class: Common Stock)3.94M $116.80M -Decreased 264.65K (6.0%, $49.68M)