13F Filings for ARK Investment Management LLC (CIK: 1697748)

View the most recent portfolio holdings disclosed by ARK Investment Management LLC in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
TSLA - Tesla Inc(Class: Common Stock)3.08M $977.59M 7.17%Decreased 181.29K (5.0%, $133.05M)
COIN - Coinbase Global Inc(Class: Common Stock)2.62M $919.39M 6.74%Decreased 445.96K (14.0%, $390.80M)
ROKU - Roku Inc(Class: Common Stock)8.46M $743.56M 5.45%Decreased 181.97K (2.0%, $134.81M)
HOOD - Robinhood Markets Inc(Class: Common Stock)7.79M $728.99M 5.34%Decreased 2.46M (24.0%, $302.44M)
RBLX - ROBLOX Corp(Class: Common Stock)6.77M $712.13M 5.22%Decreased 2.30M (25.0%, $183.32M)
SHOP - Shopify Inc(Class: Common Stock)5.05M $582.46M 4.27%Increased 605.28K (13.0%, $158.13M)
PLTR - Palantir Technologies Inc(Class: Common Stock)4.08M $555.68M 4.07%Decreased 2.21M (35.0%, $25.21M)
N/A - Circle Internet Group Inc(Class: Common Stock)2.92M $530.17M 3.89%New 2.92M ($530.17M)
CRSP - CRISPR Therapeutics AG(Class: Common Stock)10.18M $495.28M 3.63%Increased 17.19K (0.0%, $149.35M)
TEM - Tempus AI Inc(Class: Common Stock)7.42M $471.58M 3.46%Decreased 79.63K (1.0%, $109.71M)
AMD - Advanced Micro Devices Inc(Class: Common Stock)2.71M $384.28M 2.82%Increased 1.29M (90.0%, $238.14M)
ACHR - Archer Aviation Inc(Class: Common Stock)29.59M $321M 2.35%Increased 2.27M (8.0%, $126.79M)
AMZN - Amazon.com Inc(Class: Common Stock)1.14M $250.21M 1.83%Increased 86.98K (8.0%, $49.77M)
N/A - ARK 21Shares Bitcoin ETF(Class: ETP)6.62M $237M 1.74%Increased 3.75M (130.0%, $1.13M)
TWST - Twist Bioscience Corp(Class: Common Stock)6.40M $235.47M 1.73%Increased 158.85K (2.0%, $9.57M)
META - Meta Platforms Inc(Class: Common Stock)290.50K $214.42M 1.57%Decreased 125.97K (30.0%, $25.62M)
XYZ - Block Inc(Class: Common Stock)3.09M $210.02M 1.54%Decreased 987.86K (24.0%, $11.62M)
KTOS - Kratos Defense Security Solu(Class: Common Stock)4.51M $209.38M 1.54%Increased 818.10K (22.0%, $99.84M)
TER - Teradyne Inc(Class: Common Stock)2.17M $195.50M 1.43%Decreased 69.40K (3.0%, $10.18M)
DKNG - DraftKings Inc(Class: Common Stock)4.47M $191.74M 1.41%Decreased 359.65K (7.0%, $31.33M)
RXRX - Recursion Pharmaceuticals Inc(Class: Common Stock)32.99M $166.92M 1.22%Decreased 1.83M (5.0%, $17.25M)
IRDM - Iridium Communications Inc(Class: Common Stock)5.33M $160.91M 1.18%Increased 441.85K (9.0%, $27.27M)
TXG - 10X Genomics Inc(Class: Common Stock)13.89M $160.87M 1.18%Increased 1.05M (8.0%, $48.73M)
NVDA - NVIDIA Corp(Class: Common Stock)1.01M $160.05M 1.17%Increased 659.21K (186.0%, $121.70M)
TSM - Taiwan Semiconductor Manufactu(Class: ADR)698.93K $158.30M 1.16%Increased 472.88K (209.0%, $120.78M)