| Ticker | $ Bought |
|---|---|
| medline inc | 252,266,000 |
| Ticker | % Inc. |
|---|---|
| coterra energy inc | 5,681 |
| keysight technologies inc | 3,591 |
| hunt j b trans svcs inc | 2,720 |
| vaneck etf trust | 2,325 |
| globus med inc | 2,165 |
| msci inc | 1,606 |
| omnicom group inc | 1,350 |
| duke energy corp new | 1,252 |
| Ticker | % Reduced |
|---|---|
| western digital corp | -64.59 |
| las vegas sands corp | -60.43 |
| meta platforms inc | -59.17 |
| hershey co | -58.95 |
| t-mobile us inc | -57.24 |
| argenx se | -50.83 |
| lockheed martin corp | -50.6 |
| monster beverage corp new | -50.38 |
CITADEL ADVISORS LLC has about 19.4% of it's holdings in Others sector.
| Sector | % |
|---|---|
| Others | 19.4 |
| Technology | 19.2 |
| Healthcare | 11.5 |
| Consumer Cyclical | 10.4 |
| Financial Services | 10.3 |
| Industrials | 9.7 |
| Consumer Defensive | 4.3 |
| Communication Services | 4.1 |
| Real Estate | 3.3 |
| Energy | 2.8 |
| Utilities | 2.4 |
| Basic Materials | 2.4 |
CITADEL ADVISORS LLC has about 63% of it's portfolio invested in the large-cap and mega-cap stocks.
| Category | % |
|---|---|
| LARGE-CAP | 41.4 |
| MEGA-CAP | 21.6 |
| UNALLOCATED | 19.5 |
| MID-CAP | 13.7 |
| SMALL-CAP | 3 |
About 63.5% of the stocks held by CITADEL ADVISORS LLC either belong to S&P 500 or RUSSELL 2000 index.
| Index | % |
|---|---|
| S&P 500 | 53.3 |
| Others | 36.5 |
| RUSSELL 2000 | 10.2 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
CITADEL ADVISORS LLC has 5814 stocks in it's portfolio. About 2.8% of the portfolio is in top 10 stocks. ORCL proved to be the most loss making stock for the portfolio. MU was the most profitable stock for CITADEL ADVISORS LLC last quarter.
Last Reported on: 17 Feb, 2026| Ticker | Namesorted ascending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
|---|---|---|---|---|---|---|---|---|
| AAPL | apple inc | 0.22 | 5,520,590 | 1,500,830,000 | added | 12.19 | ||
| ABNB | airbnb inc | 0.04 | 1,844,370 | 250,318,000 | added | 122 | ||
| ABT | abbott labs | 0.04 | 2,080,030 | 260,607,000 | added | 255 | ||
| ADBE | adobe inc | 0.03 | 610,433 | 213,645,000 | added | 83.25 | ||
| ADI | analog devices inc | 0.03 | 816,834 | 221,525,000 | added | 153 | ||
| ADP | automatic data processing in | 0.04 | 1,095,780 | 281,869,000 | added | 105 | ||
| ADSK | autodesk inc | 0.03 | 715,359 | 211,753,000 | reduced | -44.92 | ||
| AFK | vaneck etf trust | 0.05 | 3,589,540 | 307,875,000 | added | 2,325 | ||
| ALLY | ally finl inc | 0.03 | 4,408,640 | 199,667,000 | added | 302 | ||
| AMAT | applied matls inc | 0.10 | 2,475,220 | 636,108,000 | added | 599 | ||
| AMD | advanced micro devices inc | 0.04 | 1,362,570 | 291,808,000 | added | 7.41 | ||
| AME | ametek inc | 0.05 | 1,735,600 | 356,336,000 | added | 39.6 | ||
| AMT | american tower corp new | 0.03 | 1,099,660 | 193,067,000 | added | 97.93 | ||
| AMZN | amazon com inc | 0.49 | 14,139,000 | 3,263,560,000 | added | 336 | ||
| ANTX | elevance health inc formerly | 0.09 | 1,668,070 | 584,742,000 | added | 294 | ||
| APD | air prods & chems inc | 0.06 | 1,631,040 | 402,899,000 | added | 69.45 | ||
| ARGX | argenx se | 0.04 | 350,851 | 295,048,000 | reduced | -50.83 | ||
| ASML | asml holding n v | 0.08 | 516,954 | 553,068,000 | added | 11.66 | ||
| AVGO | broadcom inc | 0.20 | 3,861,560 | 1,336,490,000 | added | 102 | ||
| BA | boeing co | 0.07 | 2,042,880 | 443,551,000 | added | 32.08 | ||