Universe · entity
SG Americas Securities, LLC
Institutional manager (13F) · CIK 1313360
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $51M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | BROADCOM INC COM | $7M | 21,342,800 |
| 2 | ALPHABET INC CAP STK CL A | $5M | 17,582,917 |
| 3 | JPMORGAN CHASE & CO COM | $5M | 15,599,956 |
| 4 | MICRON TECHNOLOGY INC COM | $4M | 10,582,752 |
| 5 | META PLATFORMS INC CL A | $3M | 5,991,150 |
| 6 | ALPHABET INC CAP STK CL C | $3M | 10,824,846 |
| 7 | MICROSOFT CORP COM | $2M | 5,421,595 |
| 8 | APPLE INC COM | $2M | 6,964,698 |
| 9 | STATE STR SPDR S&P 500 ETF T TR UNIT | $1M | 2,179,433 |
| 10 | LINDE PLC | $1M | 2,201,856 |
| 11 | JOHNSON & JOHNSON COM | $980k | 4,010,908 |
| 12 | AMAZON COM INC COM | $974k | 6,044,106 |
| 13 | EQUINIX INC COM | $879k | 896,484 |
| 14 | COSTCO WHOLESALE CORPORATION COM | $815k | 817,441 |
| 15 | PDD HOLDINGS INC SPONSORED ADS | $644k | 6,301,820 |
| 16 | TESLA INC COM | $632k | 1,699,714 |
| 17 | DANAHER CORP DEL COM | $632k | 3,331,048 |
| 18 | VISA INC COM CL A | $630k | 2,085,903 |
| 19 | SANDISK CORP COM | $600k | 944,503 |
| 20 | ELI LILLY & CO COM | $600k | 652,281 |
| 21 | AMERICAN EXPRESS CO COM | $595k | 1,965,738 |
| 22 | BRISTOL-MYERS SQUIBB CO COM | $540k | 8,910,032 |
| 23 | UNITEDHEALTH GROUP INC COM | $530k | 1,960,359 |
| 24 | AMPHENOL CORP CL A | $526k | 4,159,165 |
| 25 | STRYKER CORPORATION COM | $501k | 1,525,239 |
| 26 | CHEVRON CORPORATION COM | $489k | 2,364,671 |
| 27 | GE AEROSPACE COM NEW | $487k | 1,715,481 |
| 28 | INVESCO QQQ TR UNIT SER 1 | $467k | 809,697 |
| 29 | BOOKING HOLDINGS INC COM | $412k | 97,911 |
| 30 | WALMART INC COM | $397k | 3,195,932 |
| 31 | CUMMINS INC COM | $396k | 736,670 |
| 32 | ASML HLDG NV N Y REGISTRY | $388k | 293,392 |
| 33 | SPDR GOLD TR GOLD | $380k | 883,213 |
| 34 | NETFLIX INC. COM | $357k | 3,717,505 |
| 35 | COHERENT CORP COM | $352k | 1,478,984 |
| 36 | PHILIP MORRIS INTL INC COM | $346k | 2,091,125 |
| 37 | 3M CO COM | $344k | 2,369,879 |
| 38 | US BANCORP COM NEW | $341k | 6,559,944 |
| 39 | MCDONALDS CORP COM | $299k | 963,550 |
| 40 | INTUIT COM | $292k | 674,982 |
| 41 | COMCAST CORP NEW CL A | $289k | 10,074,374 |
| 42 | COCA COLA CO COM | $275k | 3,616,403 |
| 43 | CORNING INC COM | $273k | 2,004,676 |
| 44 | JOHNSON CONTROLS INTERNATION | $271k | 2,068,995 |
| 45 | PFIZER INC COM | $267k | 9,513,295 |
| 46 | AT&T INC COM | $265k | 9,125,571 |
| 47 | HOST HOTELS & RESORTS INC COM | $264k | 13,755,486 |
| 48 | LUMENTUM HLDGS INC COM | $261k | 371,251 |
| 49 | GENERAL DYNAMICS CORP COM | $258k | 750,462 |
| 50 | ABBVIE INC COM | $247k | 1,135,261 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.