Universe · entity

SIG BROKERAGE, LP

Institutional manager (13F) · CIK 1094429
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $242M
#IssuerValueShares
1ISHARES TR$14M389,966
2ISHARES TR$13M350,459
3SELECT SECTOR SPDR TR$12M242,459
4SCHWAB CHARLES CORP$10M107,623
5ISHARES INC$9M236,657
6HOME DEPOT INC$8M25,439
7BANK AMERICA CORP$8M169,019
8META PLATFORMS INC$8M14,080
9VERTEX PHARMACEUTICALS INC$8M17,605
10ISHARES TR$7M78,420
11MERCK & CO INC$7M59,556
12GILEAD SCIENCES INC$7M51,303
13MICRON TECHNOLOGY INC$6M18,631
14CHUBB LTD SWITZ$6M17,961
15UNITEDHEALTH GROUP INC$6M20,352
16ISHARES TR$5M34,954
17VANECK ETF TRUST$5M13,652
18NETFLIX INC.$5M53,785
19ISHARES TR$5M45,489
20TAIWAN SEMICONDUCTOR MANUFAC$5M14,259
21PEPSICO INC$4M27,649
22SOUTHERN COPPER CORP$4M23,795
23ISHARES TR$4M16,639
24SELECT SECTOR SPDR TR$4M23,461
25S&P GLOBAL INC$4M8,785
26WILLIAMS SONOMA INC$4M20,037
27ISHARES TR$3M74,572
28SPDR SERIES TRUST$3M51,156
29UNITED AIRLS HLDGS INC$3M34,986
30ELI LILLY & CO$3M3,475
31VIATRIS INC$3M225,853
32ISHARES TR$3M13,889
33CSX CORP$3M70,026
34SELECT SECTOR SPDR TR$3M35,037
35LAM RESEARCH CORP$3M13,303
36STATE STR SPDR DOW JONES IND$3M6,050
37VISA INC$3M8,736
38AMAZON COM INC$3M12,542
39IREN LIMITED$3M75,809
40ORACLE CORP$3M17,348
41COCA COLA CO$3M33,197
42ALPHABET INC$2M8,287
43ISHARES BITCOIN TRUST ETF$2M61,522
44INVESCO EXCH TRADED FD TR II$2M20,000
45CORNING INC$2M16,874
46NEXTERA ENERGY INC$2M23,998
47ELBIT SYS LTD$2M2,577
48ISHARES INC$2M17,619
49SAP SE$2M12,571
50CHEVRON CORPORATION$2M10,039
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.