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Latest TWO SIGMA SECURITIES, LLC Stock Portfolio

$10.36Billion

Equity Portfolio Value
Last Reported on: 15 May, 2024

About TWO SIGMA SECURITIES, LLC and it’s 13F Hedge Fund Stock Holdings

TWO SIGMA SECURITIES, LLC is a hedge fund based in NEW YORK, NY. On 24-Aug-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $67.5 Billions. In it's latest 13F Holdings report, TWO SIGMA SECURITIES, LLC reported an equity portfolio of $10.4 Billions as of 31 Mar, 2024.

The top stock holdings of TWO SIGMA SECURITIES, LLC are META, AMZN, MSFT. The fund has invested 0.9% of it's portfolio in META PLATFORMS INC and 0.8% of portfolio in AMAZON COM INC.

The fund managers got completely rid off 3M CO (MMM), ANHEUSER BUSCH INBEV SA/NV (BUD) and ISHARES INC (EMGF) stocks. They significantly reduced their stock positions in JOHNSON & JOHNSON (JNJ), LAM RESEARCH CORP (LRCX) and PAYPAL HLDGS INC (PYPL). TWO SIGMA SECURITIES, LLC opened new stock positions in SERVICENOW INC (NOW), INTEL CORP (INTC) and GOLDMAN SACHS GROUP INC (GS). The fund showed a lot of confidence in some stocks as they added substantially to ISHARES TR (AGG), BLACKSTONE INC (BX) and SPOTIFY TECHNOLOGY S A (SPOT).

New Buys

Ticker$ Bought
SERVICENOW INC17,626,700
INTEL CORP16,762,400
GOLDMAN SACHS GROUP INC16,018,000
KLA CORP11,237,200
ENPHASE ENERGY INC10,805,200
ORACLE CORP8,805,510
EQUINIX INC8,726,210
MONGODB INC8,262,350

New stocks bought by TWO SIGMA SECURITIES, LLC

Additions

Ticker% Inc.
ISHARES TR6,336
BLACKSTONE INC4,398
SPOTIFY TECHNOLOGY S A4,029
MARVELL TECHNOLOGY INC2,746
ETSY INC2,321
HILTON WORLDWIDE HLDGS INC2,257
ADOBE INC1,802
FEDEX CORP1,768

Additions to existing portfolio by TWO SIGMA SECURITIES, LLC

Reductions

Ticker% Reduced
SPDR S&P 500 ETF TR-86.16
APPLE INC-77.45
MARRIOTT INTL INC NEW-71.88
NETFLIX INC-71.45
EXXON MOBIL CORP-64.57
NVIDIA CORPORATION-64.24
ADVANCED MICRO DEVICES INC-63.42
FREEPORT-MCMORAN INC-62.62

TWO SIGMA SECURITIES, LLC reduced stake in above stock

Sold off

None of the stocks were completely sold off by TWO SIGMA SECURITIES, LLC

Current Stock Holdings of TWO SIGMA SECURITIES, LLC

Last Reported on: 15 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC0.48291,67550,016,400REDUCED-77.45
ABCCENCORA INC0.0521,6585,262,680ADDED431
ADBEADOBE INC0.1326,94613,597,000ADDED1,802
AFKVANECK ETF TRUST0.1152,60611,835,800ADDED647
AFRMAFFIRM HLDGS INC0.06174,4036,498,260ADDED255
AGGISHARES TR0.2099,40720,905,300ADDED65.19
AGGISHARES TR0.0550,2794,757,400REDUCED-17.2
AGGISHARES TR0.05115,2494,734,430ADDED25.34
AGGISHARES TR0.0474,5394,527,500ADDED6,336
AGGISHARES TR0.04186,0524,478,270ADDED535
ALBALBEMARLE CORP0.0432,4394,273,510NEW
AMDADVANCED MICRO DEVICES INC0.37214,68738,748,900REDUCED-63.42
AMZNAMAZON COM INC0.82473,26085,366,600REDUCED-33.95
ASMLASML HOLDING N V0.043,9873,869,260ADDED336
AXPAMERICAN EXPRESS CO0.1149,09511,178,400ADDED100
BABOEING CO0.19100,11019,320,200REDUCED-4.31
BILSPDR SER TR0.0554,7395,025,040ADDED108
BILSPDR SER TR0.0466,7594,107,680ADDED48.77
BXBLACKSTONE INC0.1291,73012,050,600ADDED4,398
CATCATERPILLAR INC0.1234,86412,775,200ADDED385
CHWYCHEWY INC0.04259,8984,134,980NEW
CMGCHIPOTLE MEXICAN GRILL INC0.145,03214,626,900REDUCED-4.13
CRWDCROWDSTRIKE HLDGS INC0.1343,05513,803,000ADDED542
CVNACARVANA CO0.13154,19713,555,500ADDED162
CVXCHEVRON CORP NEW0.17113,25617,865,000ADDED1,320
DALDELTA AIR LINES INC DEL0.07155,9487,465,230ADDED750
DASHDOORDASH INC0.0963,8418,792,180ADDED93.69
DDOGDATADOG INC0.0762,5307,728,710ADDED994
DELLDELL TECHNOLOGIES INC0.0441,2004,701,330ADDED646
DISDISNEY WALT CO0.30256,48431,383,400REDUCED-26.42
DLTRDOLLAR TREE INC0.0536,5014,860,110NEW
DVNDEVON ENERGY CORP NEW0.07149,3057,492,120NEW
DWMFWISDOMTREE TR0.05102,5355,156,480ADDED222
ELLAUDER ESTEE COS INC0.0532,9775,083,400ADDED164
ENPHENPHASE ENERGY INC0.1089,31410,805,200NEW
EQIXEQUINIX INC0.0810,5738,726,210NEW
ETSYETSY INC0.0465,7784,520,260ADDED2,321
FCXFREEPORT-MCMORAN INC0.05117,7095,534,680REDUCED-62.62
FDXFEDEX CORP0.1346,07313,349,200ADDED1,768
GEGENERAL ELECTRIC CO0.0740,8847,176,370REDUCED-31.59
GOOGALPHABET INC0.48326,93949,344,900ADDED22.23
GSGOLDMAN SACHS GROUP INC0.1638,34916,018,000NEW
HLTHILTON WORLDWIDE HLDGS INC0.0627,9125,953,910ADDED2,257
HOODROBINHOOD MKTS INC0.06305,3946,147,580REDUCED-45.32
INTCINTEL CORP0.16379,49816,762,400NEW
KLACKLA CORP0.1116,08611,237,200NEW
KMXCARMAX INC0.0448,6014,233,630ADDED6.97
KRKROGER CO0.0597,5865,575,090ADDED236
LLYELI LILLY & CO0.2432,32225,145,200ADDED1,046
LYFTLYFT INC0.05281,1375,440,000ADDED107
MARMARRIOTT INTL INC NEW0.0418,0594,556,470REDUCED-71.88
MDBMONGODB INC0.0823,0388,262,350NEW
METAMETA PLATFORMS INC0.86182,47888,607,700ADDED872
MOALTRIA GROUP INC0.20481,83321,017,600ADDED608
MRKMERCK & CO INC0.1291,27812,044,100ADDED72.49
MRVLMARVELL TECHNOLOGY INC0.08122,6698,694,780ADDED2,746
MSMORGAN STANLEY0.0444,5254,192,470NEW
MSFTMICROSOFT CORP0.77190,04279,954,500REDUCED-5.68
MUMICRON TECHNOLOGY INC0.50441,32652,027,900ADDED30.22
NETCLOUDFLARE INC0.0448,1794,665,170REDUCED-12.97
NFLXNETFLIX INC0.1729,58517,967,900REDUCED-71.45
NKENIKE INC0.17188,82017,745,300REDUCED-31.84
NOWSERVICENOW INC0.1723,12017,626,700NEW
NRGNRG ENERGY INC0.0581,6125,524,320ADDED554
NVDANVIDIA CORPORATION0.4248,04743,413,300REDUCED-64.24
NVONOVO-NORDISK A S0.1190,04511,561,800ADDED977
ORCLORACLE CORP0.0970,1028,805,510NEW
OXYOCCIDENTAL PETE CORP0.13210,03913,650,400ADDED23.78
PFEPFIZER INC0.08308,8288,569,980REDUCED-53.68
PINSPINTEREST INC0.04133,8414,640,270REDUCED-59.17
PLTRPALANTIR TECHNOLOGIES INC0.12533,38812,273,300REDUCED-30.58
QCOMQUALCOMM INC0.40243,85741,285,000ADDED1,263
RBLXROBLOX CORP0.05132,1975,047,280ADDED1,465
RHRH0.0618,4076,410,420NEW
SBUXSTARBUCKS CORP0.0997,8838,945,530REDUCED-51.92
SESEA LTD0.07126,5086,794,740ADDED75.3
SHOPSHOPIFY INC0.0562,5294,825,360REDUCED-17.1
SNOWSNOWFLAKE INC0.1064,80110,471,800ADDED1,251
SPOTSPOTIFY TECHNOLOGY S A0.1454,55314,396,500ADDED4,029
SPYSPDR S&P 500 ETF TR0.1122,09611,557,800REDUCED-86.16
SQBLOCK INC0.15179,11815,149,800REDUCED-22.56
TAT&T INC0.04231,6884,077,710ADDED333
TJXTJX COS INC NEW0.0442,6764,328,200NEW
TSLATESLA INC0.35207,85136,538,100ADDED18.05
TSMTAIWAN SEMICONDUCTOR MFG LTD0.32245,44633,392,900REDUCED-37.59
UBERUBER TECHNOLOGIES INC0.19254,27619,576,700ADDED641
UNHUNITEDHEALTH GROUP INC0.1939,20819,396,200ADDED103
VVISA INC0.2072,74620,302,000REDUCED-46.09
VEAVANGUARD TAX-MANAGED FDS0.0597,1144,872,210NEW
VLOVALERO ENERGY CORP0.0531,5695,388,510ADDED13.93
VSTVISTRA CORP0.0682,9895,780,180ADDED1,069
WWAYFAIR INC0.0453,4573,628,660REDUCED-26.87
WMTWALMART INC0.09154,9139,321,120ADDED64.23
XLBSELECT SECTOR SPDR TR0.0436,9994,660,390ADDED225
XOMEXXON MOBIL CORP0.1085,8199,975,600REDUCED-64.57
ZSZSCALER INC0.0736,0956,952,980NEW
ZTSZOETIS INC0.0425,2694,275,770NEW