Fund Holdings — NWI MANAGEMENT LP

Total Portfolio Value
$1.56M
Total Bought
$454.9K
Total Sold
$775.4K
Net Transaction
-$320.5K
Filing Period:
Securities
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SharesValue ($K)
Q1 2026
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Q2 2026
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Change
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Q1 2026
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Q2 2026
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Weight (%)
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Change
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MICRON TECHNOLOGY INC(MU)144,000134,400-9,600491559.92%+106
SELECT SECTOR SPDR TR
ST STR CARE ETF
25,000565,000+540,0004905.73%+86
APPLE INC(AAPL)96,100376,100+280,000241096.96%+84
ALPHABET INC(GOOG)110,000290,000+180,000321026.55%+71
META PLATFORMS INC(META)90,000198,000+108,000511127.13%+60
NATERA INC(NTRA)762,603762,603015320713.23%+54
TAIWAN SEMICONDUCTOR MFG LTD(TSM)153,000189,000+36,00052905.77%+39
REVOLUTION MEDICINES INC(RVMD)0180,000+180,0000342.15%+34
TESLA INC(TSLA)4,00049,000+45,0001211.32%+19
NVIDIA CORPORATION(NVDA)112,000184,000+72,00020372.35%+17
PALO ALTO NETWORKS INC(PANW)110,00090,000-20,00018311.96%+13
RTX CORPORATION(RTX)63,000126,000+63,00012241.53%+12
ABIVAX SA(ABVX)072,000+72,0000100.61%+10
INTERCORP FINL SVCS INC
SHS
1,022,2101,022,210051573.66%+6
CROWDSTRIKE HLDGS INC(CRWD)15,00015,00006110.73%+6
NU HLDGS LTD(NU)6,201,4007,039,000+837,60089946.01%+5
ASTRAZENECA PLC(AZN)025,000+25,000050.30%+5
FIGURE TECHNOLOGY SOLUTIO(FGRS)390,000585,000+195,00013181.15%+5
AMAZON COM INC(AMZN)87,00087,000018211.33%+3
NEWMONT CORP(NEM)022,500+22,500020.13%+2
VISTRA CORP(VST)012,600+12,600020.13%+2
JONES LANG LASALLE INC(JLL)06,300+6,300020.12%+2
MCDONALDS CORP(MCD)07,200+7,200020.12%+2
JPMORGAN CHASE & CO.(JPM)55,00055,000016181.15%+2
WATERS CORP(WAT)19,48919,4890670.47%+2
NEWAMSTERDAM PHARMA COMPANY
ORDINARY SHARES
702,000702,000022241.52%+1
NORTHROP GRUMMAN CORP(NOC)21,50031,100+9,60015161.01%+1
INVESCO EXCHANGE TRADED FD T
S&P500 EQL WGT
54,00054,000010110.73%+1
VANECK ETF TRUST
SEMICONDUCTR ETF
3,0003,0000120.13%+1
ISHARES INC9,0009,0000120.12%+1
ISHARES TR
MSCI INDIA ETF
210,000210,000010100.66%+1
GRUPO FINANCIERO GALICIA S.A(GGAL)99,31299,3120550.32%0
BANCO BBVA ARGENTINA S A63,00063,0000110.08%0
COGENT BIOSCIENCES INC(COGT)241,671241,6710990.60%0
GLOBAL X FDS8,9008,9000110.05%-0
ALLOGENE THERAPEUTICS INC100,000100,0000000.01%-0
ORACLE CORP(ORCL)100,000100,000015150.94%-0
SPDR GOLD TR(GLD)5,0005,0000220.12%-0
T-MOBILE US INC(TMUS)8,0008,0000210.09%-0
ISHARES ETHEREUM TR(ETHA)99,00099,0000210.08%-0
ISHARES SILVER TR(SLV)65,00065,0000430.22%-1
WALMART INC(WMT)120,000120,000015140.87%-1
ALIBABA GROUP HLDG LTD(BABA)45,00045,0000640.28%-1
BECTON DICKINSON & CO(BDX)225,000225,000035342.18%-1
LOCKHEED MARTIN CORP(LMT)27,00027,000016140.88%-3
STUBHUB HLDGS INC(STUB)500,0000-500,00030—-3
DIREXION SHARES ETF TRUST
DAIL MS KORE ETF
12,5520-12,55240—-4
ASTRAZENECA PLC(AZN)25,0000-25,00050—-5
KRANESHARES TRUST900,0000-900,000260—-26
ARM HOLDINGS PLC206,7300-206,730310—-31
ELI LILLY & CO(LLY)55,5001,500-54,0005120.11%-49
MICROSOFT CORP(MSFT)201,10062,500-138,60074231.49%-51
INSMED INC(INSM)1,014,0001,014,00001661086.91%-58
TEVA PHARMACEUTICAL INDS LTD(TEVA)2,065,00040,000-2,025,0006210.09%-61
ISHARES INC1,860,0000-1,860,000710—-71
INVESCO QQQ TR614,7000-614,7003550—-355
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NWI MANAGEMENT LP — 13F Holdings — Q2 2026 | TickerTrail