Fund HoldingsTWO SIGMA SECURITIES, LLC

Total Portfolio Value
$1.16B
Total Bought
$877.34M
Total Sold
$582.76M
Net Transaction
+$294.58M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
APPLIED MATLS INC028,021+28,021020,2591.75%+20,259
VANGUARD INDEX FDS9,53528,062+18,5275,69819,2731.66%+13,576
ORACLE CORP(ORCL)085,509+85,509012,5311.08%+12,531
ISHARES TR015,697+15,697011,7551.01%+11,755
LAM RESEARCH CORP(LRCX)9,78530,889+21,1042,09113,3851.15%+11,294
SPDR SERIES TRUST
ST INTER BD ETF
0306,163+306,163010,2440.88%+10,244
ALPHABET INC(GOOG)027,166+27,16609,5990.83%+9,599
DIREXION SHARES ETF TRUST
DAI SEM BUL ETF
031,759+31,75908,4700.73%+8,470
BLACKROCK INC(BLK)07,954+7,95407,6480.66%+7,648
ISHARES TR
CORE MSCI EAFE
072,854+72,85407,0360.61%+7,036
ADVANCED MICRO DEVICES INC(AMD)13,03915,767+2,7282,6539,1590.79%+6,507
INVESCO EXCH TRADED FD TR II
NASDAQ 100 ETF
022,146+22,14606,7100.58%+6,710
ANALOG DEVICES INC(ADI)014,427+14,42705,7300.49%+5,730
SPDR SERIES TRUST
ST STR BLO 1 ETF
061,899+61,89905,6720.49%+5,672
EOG RES INC(EOG)043,800+43,80005,6820.49%+5,682
PPL CORP(PPL)0143,788+143,78805,2270.45%+5,227
GOLDMAN SACHS GROUP INC(GS)05,147+5,14705,2060.45%+5,206
T-MOBILE US INC(TMUS)030,711+30,71105,1510.44%+5,151
BROADCOM INC(AVGO)018,129+18,12906,8480.59%+6,848
INTUIT(INTU)019,571+19,57105,1080.44%+5,108
CARDINAL HEALTH INC(CAH)020,707+20,70704,9190.42%+4,919
NXP SEMICONDUCTORS N V
COM
018,375+18,37505,1640.45%+5,164
MORGAN STANLEY(MS)026,909+26,90905,6250.49%+5,625
HILTON WORLDWIDE HLDGS INC(HLT)014,450+14,45004,7750.41%+4,775
PALANTIR TECHNOLOGIES INC(PLTR)044,088+44,08805,1440.44%+5,144
SELECT SECTOR SPDR TR
ST STR DISCR ETF
039,633+39,63304,6480.40%+4,648
AT&T INC(T)0219,183+219,18304,5370.39%+4,537
ISHARES TR016,048+16,04804,8220.42%+4,822
THE CIGNA GROUP(CI)015,954+15,95404,3980.38%+4,398
VANGUARD INTL EQUITY INDEX F073,029+73,02904,3590.38%+4,359
BP PLC(BP)0117,675+117,67504,3480.38%+4,348
DOMINION ENERGY INC(D)075,438+75,43805,1520.44%+5,152
SYNAPTICS INC(SYNA)036,072+36,07204,4810.39%+4,481
METLIFE INC(MET)049,691+49,69104,2040.36%+4,204
FIFTH THIRD BANCORP(FITB)091,357+91,35705,1500.44%+5,150
AIRBNB INC030,357+30,35704,3440.37%+4,344
SELECT SECTOR SPDR TR
ST STR STAPL ETF
049,100+49,10004,0790.35%+4,079
INVESCO EXCH TRADED FD TR II053,565+53,56504,0120.35%+4,012
SANMINA CORP(SANM)015,593+15,59303,9460.34%+3,946
ISHARES TR034,725+34,72503,8310.33%+3,831
SPDR SERIES TRUST
ST BLOO HIGH ETF
038,779+38,77903,7370.32%+3,737
ROKU INC(ROKU)026,690+26,69003,6870.32%+3,687
CHEVRON CORPORATION(CVX)026,923+26,92304,4630.38%+4,463
FEDEX CORP(FDX)012,688+12,68803,9730.34%+3,973
LUMENTUM HLDGS INC(LITE)04,122+4,12203,5370.31%+3,537
NETFLIX INC.(NFLX)048,597+48,59703,4700.30%+3,470
XCEL ENERGY INC(XEL)042,393+42,39303,4040.29%+3,404
ISHARES TR044,139+44,13903,4040.29%+3,404
SPACE EXPLORATION TECHN CORP019,654+19,65403,3580.29%+3,358
MONDELEZ INTL INC(MDLZ)057,767+57,76703,3410.29%+3,341
ISHARES INC
CORE MSCI EMKT
43,53775,162+31,6253,0376,2260.54%+3,190
SSGA ACTIVE ETF TR
ST STR BL LN ETF
079,141+79,14103,1890.28%+3,189
MSCI INC(MSCI)05,691+5,69103,1870.27%+3,187
RELIANCE INC(RS)08,397+8,39703,1370.27%+3,137
DIREXION SHARES ETF TRUST
DAI SEM 3X ETF
0964,840+964,84003,1260.27%+3,126
KLA CORP(KLAC)011,525+11,52503,4770.30%+3,477
ZOETIS INC(ZTS)042,431+42,43103,0490.26%+3,049
SANDISK CORP(SNDK)01,471+1,47103,3450.29%+3,345
SPDR SERIES TRUST
ST LON TREAS ETF
0114,040+114,04002,9910.26%+2,991
SELECT SECTOR SPDR TR
ST STR CARE ETF
018,174+18,17402,8830.25%+2,883
ISHARES TR06,843+6,84302,8020.24%+2,802
ENBRIDGE INC(ENB)051,424+51,42402,7880.24%+2,788
ISHARES TR016,703+16,70302,7440.24%+2,744
REGENERON PHARMACEUTICALS(REGN)05,761+5,76103,5920.31%+3,592
SEMPRA(SRE)028,635+28,63502,6550.23%+2,655
PEPSICO INC(PEP)019,371+19,37102,6230.23%+2,623
ISHARES TR094,759+94,75902,9930.26%+2,993
TTM TECHNOLOGIES INC(TTMI)013,499+13,49902,5250.22%+2,525
BOSTON SCIENTIFIC CORP(BSX)27,18198,200+71,0191,7064,1910.36%+2,486
ISHARES INC
MSCI TAIWAN ETF
034,447+34,44703,7410.32%+3,741
WELLS FARGO & CO(WFC)032,050+32,05002,6490.23%+2,649
AMERICAN TOWER CORP(AMT)014,468+14,46802,3670.20%+2,367
FIRST CTZNS BANCSHARES INC D(FCNCA)9351,977+1,0421,7624,1140.35%+2,352
EA SERIES TRUST
ALPHA ARCH 1-3
020,034+20,03402,3460.20%+2,346
CENTERPOINT ENERGY INC(CNP)051,899+51,89902,2860.20%+2,286
SEMTECH CORP(SMTC)013,894+13,89402,2490.19%+2,249
MICROSOFT CORP(MSFT)06,019+6,01902,2450.19%+2,245
POPULAR INC(BPOP)013,604+13,60402,2340.19%+2,234
SELECT SECTOR SPDR TR
ST STR ENERG ETF
042,002+42,00202,2310.19%+2,231
HONEYWELL INTL INC09,798+9,79802,1940.19%+2,194
DIREXION SHARES ETF TRUST
DAILY FINANCIAL
017,639+17,63902,5960.22%+2,596
RALPH LAUREN CORP(RL)05,363+5,36302,1530.19%+2,153
CATERPILLAR INC(CAT)02,016+2,01602,1470.19%+2,147
ONEOK INC NEW(OKE)21,95246,870+24,9181,9844,0750.35%+2,091
SMUCKER J M CO(SJM)018,358+18,35802,0650.18%+2,065
GAMING & LEISURE P(GLPI)046,313+46,31302,0620.18%+2,062
SPDR SERIES TRUST
ST STR SP HOME
017,838+17,83802,0610.18%+2,061
CBRE GROUP INC(CBRE)015,005+15,00502,0210.17%+2,021
ISHARES SILVER TR(SLV)056,000+56,00002,9940.26%+2,994
DIREXION SHARES ETF TRUST
DLY MU BULL 2X
01,874+1,87401,9650.17%+1,965
KEYCORP(KEY)77,495152,450+74,9551,5543,5140.30%+1,960
S&P GLOBAL INC(SPGI)04,737+4,73701,9290.17%+1,929
AMERICAN EXPRESS CO(AXP)05,661+5,66101,9150.17%+1,915
ISHARES TR
CORE MSCI TOTAL
020,047+20,04701,9130.17%+1,913
DUKE ENERGY CORP NEW(DUK)014,892+14,89201,8850.16%+1,885
SPDR SERIES TRUST
ST STR P400MID
027,039+27,03901,8270.16%+1,827
3M CO(MMM)011,105+11,10501,7980.16%+1,798
DIREXION SHARES ETF TRUST
DA BI BU 3X ETF
06,064+6,06401,7710.15%+1,771
AGILENT TECHNOLOGIES INC(A)013,308+13,30801,7680.15%+1,768
ISHARES TR19,81835,503+15,6851,8743,6300.31%+1,756
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