Universe · entity

TWO SIGMA INVESTMENTS, LP

Institutional manager (13F) · CIK 1179392
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $34.5B
#IssuerValueShares
1NVIDIA CORPORATION$2.0B11,234,245
2APPLE INC$1.5B5,944,443
3AMAZON COM INC$1.3B6,335,167
4ALPHABET INC$1.3B4,431,628
5TESLA INC$1.1B2,912,899
6JPMORGAN CHASE & CO$974M3,310,888
7PALANTIR TECHNOLOGIES INC$941M6,430,502
8COSTCO WHOLESALE CORPORATION$872M874,793
9TJX COS INC NEW$837M5,243,268
10MASTERCARD INCORPORATED$837M1,675,098
11T-MOBILE US INC$817M3,891,468
12LOCKHEED MARTIN CORP$815M1,349,172
13BERKSHIRE HATHAWAY INC DEL$777M1,621,590
14MICRON TECHNOLOGY INC$774M2,290,444
15ADOBE INC$761M3,129,038
16BRISTOL-MYERS SQUIBB CO$700M11,535,106
17PROGRESSIVE CORP$699M3,527,808
18BROADCOM INC$689M2,225,253
19ROBLOX CORP$681M12,043,968
20ALNYLAM PHARMACEUTICALS INC$659M1,992,577
21ABBOTT LABORATORIES$656M6,388,828
22INTUITIVE SURGICAL INC$648M1,405,334
23WESTERN DIGITAL CORP$639M89,226,000
24REGENERON PHARMACEUTICALS$628M812,236
25MORGAN STANLEY$615M3,739,612
26ROSS STORES INC$609M2,812,290
27BOSTON SCIENTIFIC CORP$591M9,411,231
28CLOUDFLARE INC$582M2,819,837
29WASTE CONNECTIONS INC$559M3,444,052
30INTERACTIVE BROKERS GROUP IN$558M8,312,971
31MICROSOFT CORP$511M1,380,837
32SCHWAB CHARLES CORP$504M5,360,299
33ASML HLDG NV$501M378,950
34KIMBERLY-CLARK CORP$499M5,174,726
35DELL TECHNOLOGIES INC$498M3,033,333
36CITIGROUP INC$488M4,301,867
37AERCAP HOLDINGS NV$485M3,535,599
38SERVICENOW INC$485M4,636,219
39SANDISK CORP$485M762,726
40BLOOM ENERGY CORP$481M3,547,838
41WASTE MGMT INC DEL$469M2,039,194
42MODERNA INC$462M9,086,404
43ARISTA NETWORKS INC$461M3,758,279
44UNITEDHEALTH GROUP INC$460M1,700,196
45META PLATFORMS INC$448M783,225
46EQUINIX INC$443M452,267
47GENERAL MTRS CO$442M5,934,561
48IONIS PHARMACEUTICALS INC$440M5,857,629
49AIRBNB INC$437M3,458,771
50ALBEMARLE CORP$417M2,320,881
All filings on EDGAR ↗

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