13F Filings for CITADEL ADVISORS LLC (CIK: 1423053)
View the most recent portfolio holdings disclosed by CITADEL ADVISORS LLC in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
SPY - SPDR SP 500 ETF TR(Class: TR UNIT) | 136.19M* | $76.18B* | - | Increased | 19.07M (16.0%, $7.54B) |
QQQ - INVESCO QQQ TR(Class: UNIT SER 1) | 80.53M* | $37.76B* | - | Increased | 12.78M (18.0%, $3.13B) |
TSLA - TESLA INC(Class: COM) | 80.55M* | $20.88B* | - | Increased | 8.29M (11.0%, $8.31B) |
NVDA - NVIDIA CORPORATION(Class: COM) | 167.81M* | $18.19B* | - | Decreased | 79.43M (32.0%, $15.01B) |
META - META PLATFORMS INC(Class: CL A) | 25.30M* | $14.58B* | - | Increased | 1.83M (7.0%, $840.66M) |
AAPL - APPLE INC(Class: COM) | 58.21M* | $12.93B* | - | Decreased | 8.38M (12.0%, $3.75B) |
IWM - ISHARES TR(Class: RUSSELL 2000 ETF) | 61.86M* | $12.34B* | - | Increased | 8.16M (15.0%, $474.26M) |
AMZN - AMAZON COM INC(Class: COM) | 39.57M* | $7.53B* | - | Increased | 709.69K (1.0%, $996.94M) |
MSFT - MICROSOFT CORP(Class: COM) | 18.95M* | $7.11B* | - | Decreased | 9.37M (33.0%, $4.82B) |
MSTR - MICROSTRATEGY INC(Class: CL A NEW) | 23.23M* | $6.70B* | - | Decreased | 1.07M (4.0%, $340.64M) |
GLD - SPDR GOLD TR(Class: GOLD SHS) | 20.85M* | $6.01B* | - | Increased | 5.10M (32.0%, $2.19B) |
NFLX - NETFLIX INC(Class: COM) | 5.48M* | $5.11B* | - | Decreased | 970.95K (15.0%, $639.74M) |
AMD - ADVANCED MICRO DEVICES INC(Class: COM) | 43.33M* | $4.45B* | - | Decreased | 1.10M (2.0%, $915.24M) |
GOOGL - ALPHABET INC(Class: CAP STK CL A) | 27.63M* | $4.27B* | - | Decreased | 4.14M (13.0%, $1.74B) |
PLTR - PALANTIR TECHNOLOGIES INC(Class: CL A) | 46.02M* | $3.88B* | - | Increased | 927.09K (2.0%, $473.73M) |
HYG - ISHARES TR(Class: IBOXX HI YD ETF) | 45.17M* | $3.56B* | - | Increased | 26.54M (142.0%, $2.10B) |
LLY - ELI LILLY CO(Class: COM) | 4.06M* | $3.36B* | - | Decreased | 552.79K (11.0%, $207.72M) |
AVGO - BROADCOM INC(Class: COM) | 18.43M* | $3.09B* | - | Decreased | 8.55M (31.0%, $3.17B) |
TLT - ISHARES TR(Class: 20 YR TR BD ETF) | 32.23M* | $2.93B* | - | Increased | 1.89M (6.0%, $284.06M) |
BKNG - BOOKING HOLDINGS INC(Class: COM) | 635.86K* | $2.93B* | - | Decreased | 204.46K (24.0%, $1.25B) |
COST - COSTCO WHSL CORP NEW(Class: COM) | 3M* | $2.84B* | - | Decreased | 466.93K (13.0%, $339.27M) |
BABA - ALIBABA GROUP HLDG LTD(Class: SPONSORED ADS) | 21.01M* | $2.78B* | - | Increased | 2.83M (15.0%, $1.24B) |
JPM - JPMORGAN CHASE CO.(Class: COM) | 10.57M* | $2.59B* | - | Increased | 461.42K (4.0%, $169.72M) |
BRK.B - BERKSHIRE HATHAWAY INC DEL(Class: CL B NEW) | 4.34M* | $2.31B* | - | Decreased | 12.71K (0.0%, $338.52M) |
TSM - TAIWAN SEMICONDUCTOR MFG LTD(Class: SPONSORED ADS) | 13.69M* | $2.27B* | - | Decreased | 2.52M (15.0%, $928.39M) |