SEC FORM 13F
Soros Fund (founded by George Soros)
Soros Fund Management
- As filed
- 2026-06-30
- Shown
- 160 / 238
- 13F value
- $6.1B
This quarter's moves (2026-06-30)
New positions45
Super Micro Computer, American Electric Power, Macerich REIT …
Added36
Alphabet Class A, Apple, Linde …
Trimmed55
Amazon Com, Taiwan Semiconductor Manufacturing, NVIDIA …
Holdings
By weight
- 1Amazon Com6.9%AMZN-US · $281.8MTrimmed-763,260 sh
- 2Taiwan Semiconductor Manufacturing6.1%TSM-US · $249.4MTrimmed-160 sh
- 3Alphabet Class A5.2%GOOGL-US · $213.1MAdded+22,357 sh
- 4NVIDIA5.2%NVDA-US · $213MTrimmed-8,571 sh
- 5Apple3.8%AAPL-US · $153.2MAdded+29,004 sh
- 6Linde3.4%LIN-US · $138.7MAdded+7,423 sh
- 7Super Micro Computer2.7%SMCI-US · $111.5MNew
- 8American Electric Power2.6%AEP-US · $105.1MNew
- 9Entergy2.6%ETR-US · $105MAdded+836,734 sh
- 10Itron2.4%ITRI-US · $98.5MAdded+360,518 sh
- 11Digital Realty Trust REIT2.4%DLR-US · $96.9MAdded+482,200 sh
- 12IDACORP2%IDA-US · $82.6MTrimmed-31,205 sh
- 13NextEra Energy1.9%NEE-US · $77.9MAdded+426,875 sh
- 14CMS Energy1.8%CMS-US · $74.2MTrimmed-64,035 sh
- 15Microsoft1.7%MSFT-US · $70.9MTrimmed-21,995 sh
- 16Brighthouse Financial1.7%BHF-US · $70.7MAdded+269,456 sh
- 17Medline Inc. Class A Common Stock1.6%MDLN-US · $64.6MAdded+351,810 sh
- 18Broadcom1.5%AVGO-US · $62.4MAdded+10,139 sh
- 19WEC Energy Group1.5%WEC-US · $61.7MAdded+15,615 sh
- 20KENVUE1.3%KVUE-US · $52.5MTrimmed-410,630 sh
- 21Kodiak AI, Inc. Common Stock1.2%KDK-US · $49.6MHeld
- 22Macerich REIT1.2%MAC-US · $48.8MNew
- 23DoorDash Class A1.1%DASH-US · $46.1MAdded+79,737 sh
- 24Xcel Energy1%XEL-US · $42.8MAdded+24,884 sh
- 25S&P Global1%SPGI-US · $41.1MAdded+84,302 sh
- 26Sempra1%SRE-US · $40.9MAdded+332,544 sh
- 27Warner Bros. Discovery Series A1%WBD-US · $39.7MAdded+396,080 sh
- 28JPMorgan Chase0.9%JPM-US · $38.7MHeld
- 29Bio Techne0.9%TECH-US · $37.8MNew
- 30Tesla0.9%TSLA-US · $36.5MAdded+33,753 sh
- 31Atlassian Class A0.9%TEAM-US · $35.7MTrimmed-76,365 sh
- 32Blue Owl Capital Class A0.9%OWL-US · $35.2MNo prior data
- 33Forgent Power Solutions, Inc.0.9%FPS-US · $35.1MAdded+526,906 sh
- 34Snowflake Class A0.9%SNOW-US · $34.8MAdded+88,747 sh
- 35McDonald`s0.8%MCD-US · $33.4MHeld
- 36Oracle0.8%ORCL-US · $33.1MAdded+169,035 sh
- 37Terex0.8%TEX-US · $32.1MNew
- 38CoreWeave, Inc. Class A Common Stock0.7%CRWV-US · $29.9MTrimmed-139,360 sh
- 39Capital One Financial0.7%COF-US · $29.5MTrimmed-33,043 sh
- 40Advanced Micro Devices0.7%AMD-US · $29.5MAdded+16,112 sh
- 41Legence Corp. Class A Common stock0.7%LGN-US · $28MAdded+195,346 sh
- 42VSE0.7%VSEC-US · $27.5MTrimmed-36,874 sh
- 43Eli Lilly0.7%LLY-US · $26.6MHeld
- 44iShares National Muni Bond ETF0.6%MUB-US · $26MHeld
- 45Portland General Electric0.6%POR-US · $25.9MTrimmed-6,328 sh
- 46Micron Technology0.6%MU-US · $25.9MAdded+19,598 sh
- 47Payoneer Global0.6%PAYO-US · $22.8MNew
- 48Arcosa0.6%ACA-US · $22.5MNew
- 49Etsy0.5%ETSY-US · $22.4MAdded+82,000 sh
- 50PPL0.5%PPL-US · $22.1MAdded+490,106 sh
- 51ON Semiconductor0.5%ON-US · $21.6MNew
- 52Roku Class A0.5%ROKU-US · $21.5MNew
- 53Middleby0.5%MIDD-US · $21.3MNew
- 54Corebridge Financial0.5%CRBG-US · $21MTrimmed-1,399,859 sh
- 55Microchip Technology0.5%MCHP-US · $20.8MNew
- 56Ally Financial0.5%ALLY-US · $20.3MTrimmed-282,923 sh
- 57Philip Morris International0.5%PM-US · $20.3MHeld
- 58Citizens Financial Group0.5%CFG-US · $20.1MTrimmed-10,967 sh
- 59MidCap Financial Investment0.5%MFIC-US · $19.6MHeld
- 60SPDR S&P 500 ETF Trust0.5%SPY-US · $18.7MHeld
- 61Novanta0.4%NOVT-US · $17.1MNew
- 62ITT0.4%ITT-US · $16.8MTrimmed-5,000 sh
- 63Marvell Technology0.4%MRVL-US · $16.1MNew
- 64Mastercard Class A0.4%MA-US · $15.6MHeld
- 65Caesars Entertainment0.4%CZR-US · $14.9MNew
- 66ATI0.4%ATI-US · $14.5MAdded+20,507 sh
- 67Intel Corporation0.3%INTC-US · $14MNew
- 68Humana0.3%HUM-US · $13.2MTrimmed-34,416 sh
- 69Interactive Brokers Group Class A0.3%IBKR-US · $13.2MTrimmed-493,874 sh
- 70CareTrust Reit0.3%CTRE-US · $13.1MNew
- 71Meta Platforms Class A0.3%META-US · $12.3MTrimmed-12,831 sh
- 72Coca-Cola0.3%KO-US · $12.2MHeld
- 73Core & Main Class A0.3%CNM-US · $11.4MAdded+3,994 sh
- 74Dominion Energy0.3%D-US · $11.3MNew
- 75American International Group0.3%AIG-US · $10.8MTrimmed-5,516 sh
- 76Woodward0.3%WWD-US · $10.6MTrimmed-74,976 sh
- 77EVgo Class A0.3%EVGO-US · $10.2MTrimmed-686,547 sh
- 78Timken0.2%TKR-US · $10.2MNew
- 79Carlyle Group0.2%CG-US · $9.5MTrimmed-18,218 sh
- 80MGE Energy0.2%MGEE-US · $8.7MNew
- 81Johnson & Johnson0.2%JNJ-US · $8.6MTrimmed-827 sh
- 82TPG Class A0.2%TPG-US · $8.3MAdded+31,653 sh
- 83KKR AND CO. ORD. SHS.0.2%KKR-US · $8.1MTrimmed-155,976 sh
- 84Chubb0.2%CB-US · $7.8MHeld
- 85RadNet0.2%RDNT-US · $7.2MTrimmed-321,862 sh
- 86Walmart0.2%WMT-US · $7.1MHeld
- 87Rush Street Interactive Class A0.2%RSI-US · $6.7MNew
- 88CME Group Class A0.2%CME-US · $6.6MHeld
- 89Uber Technologies0.2%UBER-US · $6.5MTrimmed-223,872 sh
- 90Ares Management Class A0.1%ARES-US · $6MTrimmed-142,028 sh
- 91Blackstone0.1%BX-US · $6MTrimmed-122,409 sh
- 92Verisk Analytics0.1%VRSK-US · $6MTrimmed-20,188 sh
- 93iShares MSCI Canada ETF0.1%EWC-US · $5.6MHeld
- 94Galaxy Digital Holdings Ltd0.1%GLXY-US · $5.6MTrimmed-67,433 sh
- 95Neptune Insurance Holdings Inc.0.1%NP-US · $5.4MAdded+1,280 sh
- 96Vishay Intertechnology0.1%VSH-US · $5.4MNew
- 97SiTime0.1%SITM-US · $5.2MNew
- 98Metropolitan Bank Holding0.1%MCB-US · $4.9MTrimmed-25,000 sh
- 99Northrop Grumman0.1%NOC-US · $4.9MHeld
- 100ServiceNow0.1%NOW-US · $4.8MTrimmed-105,779 sh
- 101Adobe0.1%ADBE-US · $4.8MNew
- 102Acadia Realty Trust REIT0.1%AKR-US · $4.8MNew
- 103RBC Bearings0.1%RBC-US · $4.3MAdded+1,735 sh
- 104APOLLO GLOBAL MANAGEMENT0.1%APO-US · $4.1MTrimmed-96,351 sh
- 105Abbott Laboratories0.1%ABT-US · $4.1MHeld
- 106Morgan Stanley0.1%MS-US · $4MNew
- 107Freeport McMoRan0.1%FCX-US · $3.9MNew
- 108Acm Research Class A0.1%ACMR-US · $3.8MNew
- 109Papa Johns International0.1%PZZA-US · $3.7MNew
- 110Bunge0.1%BG-US · $3.5MTrimmed-35,678 sh
- 111Archer Daniels Midland0.1%ADM-US · $3.5MNew
- 112Mastec0.1%MTZ-US · $3.4MAdded+4,344 sh
- 113Varonis Systems0.1%VRNS-US · $3.4MNew
- 114Netflix0.1%NFLX-US · $3.3MTrimmed-1,424 sh
- 115Figure Technology Solutions, Inc. Class A Common Stock0.1%FIGR-US · $3.1MTrimmed-900,000 sh
- 116Andersen Group Inc.0.1%ANDG-US · $2.7MAdded+22,600 sh
- 117Carpenter Technology0.1%CRS-US · $2.7MTrimmed-4,128 sh
- 118Datadog Class A0.1%DDOG-US · $2.5MTrimmed-91,684 sh
- 119Kite Realty Group Trust REIT0.1%KRG-US · $2.4MNew
- 120Progressive0.1%PGR-US · $2.1MHeld
- 121Zoetis Class A0%ZTS-US · $2MNew
- 122Texas Instrument0%TXN-US · $2MNew
- 123MGM Resorts International0%MGM-US · $1.9MNew
- 124Verizon Communications0%VZ-US · $1.8MHeld
- 125UnitedHealth Group0%UNH-US · $1.6MTrimmed-61,108 sh
- 126Wix.Com0%WIX-US · $1.6MTrimmed-215,000 sh
- 127SPDR Portfolio Short Term Corporate Bond ETF0%SPSB-US · $1.4MAdded+16,711 sh
- 128Lucid Group0%LCID-US · $1.4MAdded+32,470 sh
- 129Sunrun0%RUN-US · $1.3MAdded+80,500 sh
- 130BorgWarner0%BWA-US · $1.3MNew
- 131Hub Group Class A0%HUBG-US · $1.2MNew
- 132Cloudflare Class A0%NET-US · $1.1MTrimmed-6,314 sh
- 133Eversource Energy0%ES-US · $1.1MTrimmed-1 sh
- 134Cantor Equity Partners V, Inc. Class A Ordinary Shares0%CEPV-US · $1MHeld
- 135Primoris Services0%PRIM-US · $1MNew
- 136Walt Disney0%DIS-US · $1MHeld
- 137HERTZ GLOBAL HLDGS0%HTZ-US · $1MNew
- 138FirstEnergy0%FE-US · $995.8KHeld
- 139Bill com Holdings0%BILL-US · $927.9KTrimmed-81,263 sh
- 140First Solar0%FSLR-US · $926.1KNew
- 141Zeta Global Holdings Class A0%ZETA-US · $918.4KNew
- 142Core Scientific0%CORZ-US · $899.4KTrimmed-294,275 sh
- 143Southern First Bancshares0%SFST-US · $882.8KNew
- 144QXO, Inc.0%QXO-US · $861.1KNew
- 145Constellation Energy0%CEG-US · $809.4KNew
- 146Tennant0%TNC-US · $747.6KTrimmed-17,472 sh
- 147Cameco0%CCJ-US · $720.3KNew
- 148Vistra0%VST-US · $669.9KTrimmed-240,091 sh
- 149Financial Select Sector SPDR Fund0%XLF-US · $657.8KHeld
- 150Huntsman0%HUN-US · $602.8KAdded+15,750 sh
- 151BankUnited0%BKU-US · $540.9KTrimmed-20,178 sh
- 152Coupang Class A0%CPNG-US · $454.3KTrimmed-46,917 sh
- 153Materion0%MTRN-US · $427.3KTrimmed-19,705 sh
- 154Adeia0%ADEA-US · $365.1KTrimmed-39,183 sh
- 155Rush Enterprises Class A0%RUSHA-US · $333.8KTrimmed-9,363 sh
- 156IMPINJ0%PI-US · $304.9KTrimmed-1,752 sh
- 157York Space Systems Inc.0%YSS-US · $276.9KNew
- 158Jacobs Solutions0%J-US · $262.3KTrimmed-444 sh
- 159EMCOR Group0%EME-US · $214.9KTrimmed-69 sh
- 160Opendoor Technologies0%OPEN-US · $9.8KNo prior data
What it takes to mirror this
Top 10 · 40.9% of the reported portfolio · from $5,769
- AMZNAmazon Com16.9%
- TSMTaiwan Semiconductor Manufacturing14.9%
- GOOGLAlphabet Class A12.8%
- NVDANVIDIA12.8%
- AAPLApple9.2%
- LINLinde8.3%
- SMCISuper Micro Computer6.7%
- AEPAmerican Electric Power6.3%
- ETREntergy6.3%
- ITRIItron5.9%
13F reports holdings as of quarter-end, filed up to 45 days later; trades made since are not included. U.S.-listed stocks only. Not investment advice.
Factual information from reported filings; not investment advice.