13F Filings for Twin Tree Management, LP (CIK: 1535588)
View the most recent portfolio holdings disclosed by Twin Tree Management, LP in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
SPY - SPDR SP 500 ETF TR(Class: TR UNIT) | 17.15M* | $10.60B* | 19.74% | Decreased | 9.90M (36.0%, $4.54B) |
GLD - SPDR GOLD TR(Class: GOLD SHS) | 5.66M* | $1.72B* | 3.21% | Decreased | 2.49M (30.0%, $623.99M) |
QQQ - INVESCO QQQ TR(Class: UNIT SER 1) | 2.06M* | $1.14B* | 2.12% | Decreased | 1.19M (36.0%, $386.80M) |
IWM - ISHARES TR(Class: RUSSELL 2000 ETF) | 3.81M* | $823.07M* | 1.53% | Increased | 1.87M (96.0%, $434.91M) |
VOO - VANGUARD INDEX FDS(Class: SP 500 ETF SHS) | 1.38M* | $782.71M* | 1.46% | Increased | 1.28M (1301.0%, $732.20M) |
AAPL - APPLE INC(Class: COM) | 3.64M* | $746.29M* | 1.39% | Increased | 257.20K (7.0%, $4.56M) |
ORCL - ORACLE CORP(Class: COM) | 2.99M* | $654.51M* | 1.22% | Increased | 966.81K (47.0%, $371.13M) |
MSFT - MICROSOFT CORP(Class: COM) | 1.19M* | $591.42M* | 1.10% | Increased | 1M (544.0%, $522.13M) |
XLV - SELECT SECTOR SPDR TR(Class: SBI HEALTHCARE) | 4.37M* | $589.03M* | 1.10% | Increased | 503.67K (13.0%, $24.51M) |
SMH - VANECK ETF TRUST(Class: SEMICONDUCTR ETF) | 1.96M* | $546.01M* | 1.02% | Decreased | 629.49K (24.0%, $1.14M) |
IAU - ISHARES GOLD TR(Class: ISHARES NEW) | 7.61M* | $474.54M* | 0.88% | Decreased | 496.18K (6.0%, $3.38M) |
TSLA - TESLA INC(Class: COM) | 1.29M* | $411.36M* | 0.77% | Decreased | 8.66K (0.0%, $73.51M) |
MU - MICRON TECHNOLOGY INC(Class: COM) | 3.26M* | $401.64M* | 0.75% | Increased | 93.92K (2.0%, $126.65M) |
GDX - VANECK ETF TRUST(Class: GOLD MINERS ETF) | 7.69M* | $400.24M* | 0.75% | Decreased | 1.26M (14.0%, $10.99M) |
AMD - ADVANCED MICRO DEVICES INC(Class: COM) | 2.79M* | $396.06M* | 0.74% | Increased | 466.37K (20.0%, $157.21M) |
SOXX - ISHARES TR(Class: ISHARES SEMICDTR) | 1.53M* | $364.21M* | 0.68% | Decreased | 1.31M (46.0%, $169.93M) |
AVGO - BROADCOM INC(Class: COM) | 1.26M* | $348.09M* | 0.65% | Decreased | 857.52K (40.0%, $6.91M) |
META - META PLATFORMS INC(Class: CL A) | 469.50K* | $346.53M* | 0.65% | Decreased | 35.50K (7.0%, $55.47M) |
BRK.B - BERKSHIRE HATHAWAY INC DEL(Class: CL B NEW) | 707.45K* | $343.66M* | 0.64% | Increased | 13.25K (1.0%, $26.06M) |
MRVL - MARVELL TECHNOLOGY INC(Class: COM) | 4.04M* | $312.86M* | 0.58% | Increased | 1.64M (68.0%, $165.20M) |
DIS - DISNEY WALT CO(Class: COM) | 2.39M* | $296.56M* | 0.55% | Increased | 2.22M (1277.0%, $279.43M) |
XLP - SELECT SECTOR SPDR TR(Class: SBI CONS STPLS) | 3.64M* | $294.86M* | 0.55% | Increased | 3.30M (959.0%, $266.79M) |
NFLX - NETFLIX INC(Class: COM) | 216.50K* | $289.92M* | 0.54% | Decreased | 265.50K (55.0%, $159.56M) |
CRWD - CROWDSTRIKE HLDGS INC(Class: CL A) | 561.40K* | $285.93M* | 0.53% | Increased | 90.63K (19.0%, $119.94M) |
SLV - ISHARES SILVER TR(Class: ISHARES) | 8.42M* | $276.10M* | 0.51% | Decreased | 4.12M (32.0%, $112.42M) |