Jane Street Group
CIK 0001595888 · SEC 13F-HR filings · 50 holdings · Q2 2026
| Issuer | Ticker | Shares | Value (USD) ↓ | Δ Shares | Δ Value | Type |
|---|---|---|---|---|---|---|
| SPY | 155,415,400 | $116.1B | +138.2M | $104.9B | Shares | |
| SPY | 72,825,000 | $54.4B | +55.6M | $43.2B | Shares | |
| MU | 35,643,300 | $41.1B | +22.8M | $36.8B | Shares | |
| QQQ | 49,238,200 | $36.3B | +19.0M | $18.8B | Shares | |
| SPY | 44,172,069 | $33.0B | +27.0M | $21.8B | Shares | |
| QQQ | 38,838,400 | $28.6B | +8.6M | $11.1B | Shares | |
| IWM | 76,838,100 | $23.1B | +48.6M | $16.1B | Shares | |
| AMD | 34,157,600 | $19.8B | +10.8M | $15.1B | Shares | |
| MU | 16,019,700 | $18.5B | +3.2M | $14.2B | Shares | |
| NVDA | 90,641,000 | $18.1B | +7.1M | $3.6B | Shares | |
| NVDA | 87,254,400 | $17.5B | +3.7M | $2.9B | Shares | |
| SNDK | 6,368,099 | $14.5B | +2.9M | $12.3B | Shares | |
| TSLA | 33,487,400 | $14.1B | +23.2M | $10.3B | Shares | |
| AMD | 23,983,900 | $13.9B | +675K | $9.2B | Shares | |
| GLD | 35,523,700 | $13.1B | +4.7M | $-169M | Shares | |
| TSLA | 29,935,100 | $12.6B | +19.7M | $8.8B | Shares | |
| MSFT | 32,225,100 | $12.0B | +16.5M | $6.2B | Shares | |
| AMZN | 44,152,100 | $10.5B | +14.4M | $4.3B | Shares | |
| META | 18,041,300 | $10.2B | +4.1M | $2.2B | Shares | |
| AAPL | 33,668,000 | $9.7B | +17.4M | $5.6B | Shares | |
| GLD | 26,419,400 | $9.7B | -4.4M | $-3.5B | Shares | |
| SMH | 14,731,100 | $9.7B | +3.5M | $5.3B | Shares | |
| GOOGL | 24,382,700 | $8.7B | +8.3M | $4.1B | Shares | |
| AVGO | 22,387,700 | $8.5B | +11.6M | $5.1B | Shares | |
| IWM | 28,005,700 | $8.4B | -226K | $1.4B | Shares | |
| GOOG | 23,589,900 | $8.3B | +15.4M | $6.0B | Shares | |
| SNDK | 3,484,500 | $7.9B | +6K | $5.7B | Shares | |
| AMZN | 29,082,000 | $6.9B | -713K | $726M | Shares | |
| TSM | 13,563,400 | $6.5B | +824K | $2.2B | Shares | |
| — | 36,521,800 | $6.2B | New | $6.2B | NEW POSITIONShares | |
| WDC | 9,570,100 | $6.1B | New | $6.1B | NEW POSITIONShares | |
| GOOGL | 16,704,000 | $6.0B | +641K | $1.4B | Shares | |
| MSFT | 15,753,100 | $5.9B | +70K | $71M | Shares | |
| INTC | 41,679,900 | $5.8B | -2.6M | $3.9B | Shares | |
| META | 10,027,500 | $5.6B | -3.9M | $-2.3B | Shares | |
| AAPL | 19,426,300 | $5.6B | +3.1M | $1.5B | Shares | |
| TLT | 63,208,900 | $5.5B | +40.2M | $3.5B | Shares | |
| MRVL | 18,213,200 | $5.4B | New | $5.4B | NEW POSITIONShares | |
| STX | 5,193,000 | $5.0B | New | $5.0B | NEW POSITIONShares | |
| AVGO | 12,874,600 | $4.9B | +2.1M | $1.5B | Shares | |
| INTC | 34,450,000 | $4.8B | -9.8M | $2.9B | Shares | |
| PLTR | 33,942,100 | $4.0B | +9.5M | $390M | Shares | |
| DELL | 8,674,400 | $3.7B | New | $3.7B | NEW POSITIONShares | |
| GOOG | 9,790,300 | $3.5B | +1.6M | $1.1B | Shares | |
| PLTR | 28,969,200 | $3.4B | +4.6M | $-190M | Shares | |
| — | 19,665,400 | $3.4B | New | $3.4B | NEW POSITIONShares | |
| SOXL | 12,515,200 | $3.3B | New | $3.3B | NEW POSITIONShares | |
| SMH | 4,975,700 | $3.3B | -6.3M | $-1.1B | Shares | |
| UNH | 7,617,300 | $3.2B | New | $3.2B | NEW POSITIONShares | |
| TLT | 35,084,000 | $3.0B | +12.1M | $1.0B | Shares |