Ticker | $ Bought |
---|---|
w.w. grainger inc. | 82,539,500 |
home depot, inc. | 67,092,600 |
adobe inc | 39,391,100 |
air products & chemicals inc | 39,131,600 |
blackrock inc. | 29,313,000 |
american airlines group inc | 28,957,900 |
super micro computer inc | 26,383,600 |
bp plc | 26,087,200 |
Ticker | % Inc. |
---|---|
sofi technologies inc | 101,793 |
chipotle mexican grill | 8,500 |
netflix inc. | 7,887 |
palo alto networks inc | 5,890 |
tjx companies, inc. | 1,533 |
oracle corp. | 1,373 |
walt disney co (the) | 1,016 |
ssga active trust | 865 |
Ticker | % Reduced |
---|---|
t-mobile us inc | -66.56 |
amazon.com inc. | -49.58 |
tesla inc | -47.77 |
blackrock institutional trus | -44.41 |
asml holding nv | -32.35 |
nike, inc. | -29.06 |
alphabet inc | -13.02 |
spotify technology s.a. | -11.45 |
Twin Tree Management, LP has about 27.8% of it's holdings in Technology sector.
Sector | % |
---|---|
Technology | 27.8 |
Others | 22.9 |
Consumer Cyclical | 12.5 |
Industrials | 10.7 |
Communication Services | 6.5 |
Consumer Defensive | 5.5 |
Financial Services | 5.4 |
Healthcare | 3.3 |
Basic Materials | 2 |
Energy | 1.7 |
Utilities | 1.1 |
Twin Tree Management, LP has about 68.7% of it's portfolio invested in the large-cap and mega-cap stocks.
Category | % |
---|---|
LARGE-CAP | 49.9 |
UNALLOCATED | 23.1 |
MEGA-CAP | 18.8 |
MID-CAP | 7.4 |
About 60.5% of the stocks held by Twin Tree Management, LP either belong to S&P 500 or RUSSELL 2000 index.
Index | % |
---|---|
S&P 500 | 56.6 |
Others | 39.5 |
RUSSELL 2000 | 3.9 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
Twin Tree Management, LP has 480 stocks in it's portfolio. About 1.4% of the portfolio is in top 10 stocks. PANW proved to be the most loss making stock for the portfolio. PLTR was the most profitable stock for Twin Tree Management, LP last quarter.
Last Reported on: 10 Feb, 2025Ticker | Namesorted ascending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
---|---|---|---|---|---|---|---|---|
AAL | american airlines group inc | 0.05 | 1,661,380 | 28,957,900 | new | |||
ABNB | airbnb inc | 0.05 | 223,446 | 29,363,000 | reduced | -7.07 | ||
ADBE | adobe inc | 0.07 | 88,583 | 39,391,100 | new | |||
AFK | vaneck etf trust | 0.12 | 281,615 | 68,198,700 | added | 141 | ||
AFK | vaneck etf trust | 0.08 | 1,311,960 | 44,488,600 | added | 66.49 | ||
AMAT | applied materials inc. | 0.05 | 186,226 | 30,285,900 | reduced | -0.39 | ||
AMD | advanced micro devices inc. | 0.08 | 377,177 | 45,559,200 | added | 24.18 | ||
AMZN | amazon.com inc. | 0.06 | 141,512 | 31,046,300 | reduced | -49.58 | ||
APD | air products & chemicals inc | 0.07 | 134,918 | 39,131,600 | new | |||
AVGO | broadcom inc | 0.09 | 216,846 | 50,273,600 | added | 150 | ||
BIL | spdr series trust | 0.07 | 452,758 | 40,775,400 | added | 111 | ||
BKNG | booking holdings inc | 0.12 | 13,667 | 67,903,400 | added | 447 | ||
C | citigroup inc | 0.04 | 299,150 | 21,057,200 | new | |||
CDNS | cadence design systems, inc. | 0.07 | 135,619 | 40,748,100 | added | 112 | ||
CMG | chipotle mexican grill | 0.04 | 395,292 | 23,836,100 | added | 8,500 | ||
COST | costco wholesale corp | 0.11 | 67,395 | 61,752,000 | added | 11.13 | ||
CRM | salesforce inc | 0.15 | 249,615 | 83,453,800 | added | 527 | ||
CRWD | crowdstrike holdings inc | 0.03 | 55,207 | 18,889,600 | added | 126 | ||
DAL | delta air lines, inc. | 0.06 | 554,853 | 33,568,600 | reduced | -9.21 | ||
DASH | doordash inc | 0.03 | 100,491 | 16,857,400 | new | |||