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Soros Fund Management

CIK 0001029160 · SEC 13F-HR filings · 50 holdings · Q2 2026

Holdings detail for selected institution and quarter
Issuer Ticker Shares Value (USD) Δ Shares Δ Value Type
AMAZON COM INCAMZN1,182,529$282M-763K$-123MShares
TAIWAN SEMICONDUCTOR MANUFACTSM522,158$249M+147K$123MShares
GLOBAL PMTS INC247,500,000$223M0$4MPrincipal
ALPHABET INCGOOGL596,286$213M+22K$48MShares
NVIDIA CORPORATIONNVDA1,064,635$213M-9K$26MShares
ELECTRONIC ARTS INCEA970,990$199M+5K$2MShares
BILL HOLDINGS INC209,679,000$181M0$-5MPrincipal
PG&E CORP175,000,000$180M0$-2MPrincipal
RIVIAN AUTOMOTIVE INC131,565,000$156M-11.9M$2MPrincipal
APPLE INCAAPL529,538$153M+29K$26MShares
LINDE PLCLIN267,349$139M+7K$10MShares
LUMENTUM HLDGS INC18,256,000$119M-3.1M$5MPrincipal
TKO GROUP HOLDINGS INCTKO578,157$116M-26K$-5MShares
SUPER MICRO COMPUTER INC2,175,408$111MNew$111MNEW POSITIONShares
SELECT SECTOR SPDR TRXLE2,000,000$106M-2.9M$-197MShares
AMERICAN ELEC PWR CO INCAEP768,000$105MNew$105MNEW POSITIONShares
ENTERGY CORP NEWETR913,912$105MNew$105MNEW POSITIONShares
DROPBOX INC103,500,000$105M0$6MPrincipal
JD.COM INC100,000,000$99M-50.2M$-51MPrincipal
ITRON INCITRI1,137,853$98M+361K$29MShares
DIGITAL RLTY TR INCDLR539,618$97MNew$97MNEW POSITIONShares
BLACKLINE INC101,000,000$93M0$-2MPrincipal
LUMENTUM HLDGS INC10,250,000$88M0$16MPrincipal
CHART INDS INCGTLS416,233$87M-54K$-10MShares
NEBIUS GROUP N.V.NBIS310,000$86MNew$86MNEW POSITIONShares
WEBSTER FINL CORPWBS1,113,487$85M+402K$36MShares
IDACORP INCIDA546,085$83M-31K$88KShares
TAIWAN SEMICONDUCTOR MANUFACTSM170,000$81M-205K$-46MShares
NVIDIA CORPORATIONNVDA400,000$80M-673K$-107MShares
NEXTERA ENERGY INCNEEPRV1,627,578$78M+427K$18MShares
H2O AMERICAHTO1,254,368$76M+26K$4MShares
APOGEE THERAPEUTICS INCAPGE564,500$75MNew$75MNEW POSITIONShares
CMS ENERGY CORPCMS970,362$74M-64K$-6MShares
SNAP INC88,000,000$72M0$797KPrincipal
MICROSOFT CORPMSFT189,971$71M-22K$-8MShares
BRIGHTHOUSE FINL INCBHF1,116,250$71M+269K$20MShares
SMURFIT WESTROCK PLCSW1,512,798$70M-1.0M$-30MShares
BERKSHIRE HATHAWAY INC DELBRKB133,277$67M0$3MShares
SOUTHERN CO65,000,000$66MNew$66MNEW POSITIONPrincipal
DIGITALBRIDGE GROUP INCDBRG4,118,793$65MNew$65MNEW POSITIONShares
COREWEAVE INCCRWV650,000$65M-2.2M$-155MShares
MEDLINE INCMDLN1,638,244$65M+352K$7MShares
DEXCOM INC67,977,000$64M+5.0M$5MPrincipal
BROADCOM INCAVGO165,246$62MNew$62MNEW POSITIONShares
WEC ENERGY GROUP INCWEC528,369$62M+16K$2MShares
ALPHABET INC1,200,000$60MNew$60MNEW POSITIONShares
ELASTIC N VESTC997,700$57MNew$57MNEW POSITIONShares
STATE STR SPDR S&P 500 ETF TSPY75,000$56M-1.1M$-717MShares
SPIRIT AEROSYSTEMS INC34,500,000$54MNew$54MNEW POSITIONPrincipal
KENVUE INCKVUE2,746,636$52M-411K$-2MShares