SEC FORM 13F
Soros Fund (founded by George Soros)
Soros Fund Management
- As filed
- 2026-03-31
- Shown
- 157 / 229
- 13F value
- $5.5B
This quarter's moves (2026-03-31)
New buys63
Penumbra, NextEra Energy, Webster Financial …
Added25
Electronic Arts, NVIDIA, Taiwan Semiconductor Manufacturing …
Trimmed53
Amazon Com, Alphabet Class A, IDACORP …
Holdings
By weight
- 1Amazon Com10.9%AMZN-US · $405.2MTrimmed-413,783 sh
- 2Electronic Arts5.3%EA-US · $196.9MAdded+537,391 sh
- 3NVIDIA5.1%NVDA-US · $187.2MAdded+407,530 sh
- 4Taiwan Semiconductor Manufacturing4.8%TSM-US · $176.5MAdded+172,460 sh
- 5Alphabet Class A4.5%GOOGL-US · $165MTrimmed-65,138 sh
- 6Apple3.4%AAPL-US · $127MAdded+84,295 sh
- 7IDACORP2.2%IDA-US · $82.5MTrimmed-7,766 sh
- 8Honeywell International2.2%HON-US · $80.9MAdded+286,997 sh
- 9CMS Energy2.2%CMS-US · $80.2MTrimmed-71,978 sh
- 10Microsoft2.1%MSFT-US · $78.5MTrimmed-51,075 sh
- 11Itron1.9%ITRI-US · $69.7MAdded+402,116 sh
- 12Kodiak AI, Inc. Common Stock1.8%KDK-US · $67.8MTrimmed-200,941 sh
- 13Salesforce1.8%CRM-US · $67.4MTrimmed-157,955 sh
- 14Penumbra1.8%PEN-US · $66.8MNew
- 15NextEra Energy1.6%NEE-US · $60.4MNew
- 16WEC Energy Group1.6%WEC-US · $59.4MAdded+416,509 sh
- 17Medline Inc. Class A Common Stock1.5%MDLN-US · $57.2MTrimmed-293,566 sh
- 18KENVUE1.5%KVUE-US · $54.4MAdded+1,911,020 sh
- 19Corebridge Financial1.4%CRBG-US · $50.9MAdded+65,308 sh
- 20Brighthouse Financial1.4%BHF-US · $50.7MAdded+72,532 sh
- 21Webster Financial1.3%WBS-US · $49.4MNew
- 22Broadcom1.3%AVGO-US · $48MAdded+52,728 sh
- 23VSE1.2%VSEC-US · $45.6MNo prior data
- 24Blue Owl Capital Class A1.2%OWL-US · $45.5MNo prior data
- 25Interactive Brokers Group Class A1.2%IBKR-US · $43.3MTrimmed-126,136 sh
- 26Xcel Energy1.1%XEL-US · $40.4MTrimmed-223,585 sh
- 27McDonald`s1%MCD-US · $38.4MNew
- 28Vistra1%VST-US · $36.7MNew
- 29Atlassian Class A1%TEAM-US · $36.5MAdded+248,749 sh
- 30Woodward1%WWD-US · $35.7MTrimmed-81,428 sh
- 31JPMorgan Chase0.9%JPM-US · $34.8MAdded+116,193 sh
- 32CoreWeave, Inc. Class A Common Stock0.9%CRWV-US · $34MNew
- 33Figure Technology Solutions, Inc. Class A Common Stock0.9%FIGR-US · $34MTrimmed-1,097,698 sh
- 34Capital One Financial0.9%COF-US · $32.9MNew
- 35Warner Bros. Discovery Series A0.8%WBD-US · $30MAdded+942,610 sh
- 36Ally Financial0.8%ALLY-US · $28.5MTrimmed-962,226 sh
- 37Portland General Electric0.7%POR-US · $26.7MNew
- 38Oracle0.7%ORCL-US · $26.1MNew
- 39iShares National Muni Bond ETF0.7%MUB-US · $25.6MHeld
- 40RadNet0.7%RDNT-US · $24.5MTrimmed-136,105 sh
- 41KKR AND CO. ORD. SHS.0.6%KKR-US · $22.6MNew
- 42Uber Technologies0.6%UBER-US · $22.6MTrimmed-57,910 sh
- 43Wix.Com0.6%WIX-US · $22.5MNew
- 44AES0.6%AES-US · $21.9MNew
- 45MidCap Financial Investment0.6%MFIC-US · $21.9MNew
- 46Ares Management Class A0.6%ARES-US · $21.4MNew
- 47Blackstone Secured Lending0.6%BXSL-US · $20.6MNew
- 48Eli Lilly0.6%LLY-US · $20.4MTrimmed-135 sh
- 49Blackstone0.5%BX-US · $19.9MNew
- 50iShares iBoxx $ High Yield Corporate Bond ETF0.5%HYG-US · $19.9MNew
- 51Meta Platforms Class A0.5%META-US · $19.8MNew
- 52Globalfoundries0.5%GFS-US · $19.8MNew
- 53Tesla0.5%TSLA-US · $19.7MTrimmed-3,568 sh
- 54Philip Morris International0.5%PM-US · $18.6MNew
- 55Citizens Financial Group0.5%CFG-US · $17.9MHeld
- 56UnitedHealth Group0.5%UNH-US · $17.6MAdded+8,202 sh
- 57ITT0.5%ITT-US · $17.1MTrimmed-239,650 sh
- 58DuPont de Nemours0.5%DD-US · $16.9MHeld
- 59SPDR S&P 500 ETF Trust0.4%SPY-US · $16.3MTrimmed-116,653 sh
- 60ServiceNow0.4%NOW-US · $16.1MNew
- 61Mastercard Class A0.4%MA-US · $15.2MNew
- 62APOLLO GLOBAL MANAGEMENT0.4%APO-US · $14.6MNew
- 63Talkspace0.4%TALK-US · $14.3MNew
- 64Clear Channel Outdoor Holdings0.3%CCO-US · $12.8MAdded+4,727,175 sh
- 65Datadog Class A0.3%DDOG-US · $12MTrimmed-278,769 sh
- 66Carlyle Group0.3%CG-US · $11.9MNew
- 67Humana0.3%HUM-US · $11.7MAdded+17,114 sh
- 68Core & Main Class A0.3%CNM-US · $11.5MTrimmed-202,017 sh
- 69Coca-Cola0.3%KO-US · $11.5MNew
- 70American International Group0.3%AIG-US · $11.3MTrimmed-36,075 sh
- 71Sempra0.3%SRE-US · $10.5MTrimmed-287,949 sh
- 72EVgo Class A0.3%EVGO-US · $10.4MAdded+1,536,569 sh
- 73Digital Realty Trust REIT0.3%DLR-US · $10.3MHeld
- 74Verisk Analytics0.3%VRSK-US · $10.1MNew
- 75Equity Residential REIT0.3%EQR-US · $9.5MHeld
- 76CME Group Class A0.2%CME-US · $8.9MHeld
- 77Entergy0.2%ETR-US · $8.7MTrimmed-78,621 sh
- 78Johnson & Johnson0.2%JNJ-US · $8.5MNew
- 79Globe Life0.2%GL-US · $8.3MTrimmed-85,805 sh
- 80ATI0.2%ATI-US · $7.7MNew
- 81CF Industries Holdings0.2%CF-US · $7.5MNew
- 82Legence Corp. Class A Common stock0.2%LGN-US · $7.5MAdded+4,094 sh
- 83써클 인터넷 그룹0.2%CRCL-US · $7.2MAdded+23,979 sh
- 84Snowflake Class A0.2%SNOW-US · $7.2MTrimmed-42,424 sh
- 85Advanced Micro Devices0.2%AMD-US · $7MAdded+17,444 sh
- 86S&P Global0.2%SPGI-US · $7MNew
- 87TPG Class A0.2%TPG-US · $7MNew
- 88Northrop Grumman0.2%NOC-US · $6.6MNew
- 89Metropolitan Bank Holding0.2%MCB-US · $6.2MNew
- 90iShares MSCI Canada ETF0.1%EWC-US · $5.4MHeld
- 91McCormick & Co Non-Voting0.1%MKC-US · $5.2MNew
- 92Miami International Holdings, Inc.0.1%MIAX-US · $5.2MTrimmed-21,960 sh
- 93Exelon0.1%EXC-US · $5.1MTrimmed-518,072 sh
- 94Galaxy Digital Holdings Ltd0.1%GLXY-US · $5MHeld
- 95Core Scientific0.1%CORZ-US · $4.9MAdded+323,964 sh
- 96Netflix0.1%NFLX-US · $4.6MNew
- 97Abbott Laboratories0.1%ABT-US · $4.6MNew
- 98PPL0.1%PPL-US · $4.5MNew
- 99Black Rock Coffee Bar, Inc. Class A Common Stock0.1%BRCB-US · $4.2MTrimmed-15,490 sh
- 100EnerSys0.1%ENS-US · $4.1MNew
- 101Neptune Insurance Holdings Inc.0.1%NP-US · $4.1MHeld
- 102Wolfspeed0.1%WOLF-US · $4.1MNew
- 103Bill com Holdings0.1%BILL-US · $4.1MNew
- 104Bullish0.1%BLSH-US · $3.9MHeld
- 105Carpenter Technology0.1%CRS-US · $3.3MNew
- 106Materion0.1%MTRN-US · $3.1MNew
- 107Dycom Industries0.1%DY-US · $2.8MNew
- 108RBC Bearings0.1%RBC-US · $2.6MNew
- 109Fluor0.1%FLR-US · $2.4MTrimmed-71,238 sh
- 110Cloudflare Class A0.1%NET-US · $2.2MNew
- 111Central Bancompany, Inc. Class A Common Stock0.1%CBC-US · $2.2MTrimmed-17,974 sh
- 112iShares iBoxx $ Inv Grade Corporate Bond ETF0.1%LQD-US · $2.2MNew
- 113Verizon Communications0.1%VZ-US · $2.2MNew
- 114Array Technologies0.1%ARRY-US · $2MNew
- 115Shoals Technologies Group Class A0.1%SHLS-US · $1.9MNew
- 116Progressive0.1%PGR-US · $1.9MNew
- 117Tennant0%TNC-US · $1.7MNew
- 118Lucid Group0%LCID-US · $1.6MAdded+76,900 sh
- 119BankUnited0%BKU-US · $1.4MTrimmed-98,361 sh
- 120Coupang Class A0%CPNG-US · $1.4MTrimmed-19,661 sh
- 121Andersen Group Inc.0%ANDG-US · $1.4MTrimmed-12,600 sh
- 122Alliant Energy0%LNT-US · $1.3MNew
- 123Mastec0%MTZ-US · $1.3MTrimmed-10,773 sh
- 124Adeia0%ADEA-US · $1.2MNew
- 125Voyager Technologies, Inc.0%VOYG-US · $1.2MHeld
- 126BillionToOne, Inc. Class A Common Stock0%BLLN-US · $1.1MHeld
- 127FirstEnergy0%FE-US · $1.1MNew
- 128Eversource Energy0%ES-US · $1MAdded+1 sh
- 129Walt Disney0%DIS-US · $1MTrimmed-668,195 sh
- 130Micron Technology0%MU-US · $954.1KNew
- 131Rush Enterprises Class A0%RUSHA-US · $921.4KNew
- 132SPDR Portfolio Short Term Corporate Bond ETF0%SPSB-US · $910.2KHeld
- 133StubHub Holdings, Inc.0%STUB-US · $780KTrimmed-361,599 sh
- 134NuScale Power Class A0%SMR-US · $762.7KTrimmed-79,851 sh
- 135Rapid70%RPD-US · $688.8KTrimmed-9,845 sh
- 136DTE Energy0%DTE-US · $646.9KNew
- 137Financial Select Sector SPDR Fund0%XLF-US · $605.8KTrimmed-300,000 sh
- 138Huntsman0%HUN-US · $545.8KAdded+2,574 sh
- 139Acadia Healthcare Company0%ACHC-US · $527.1KNew
- 140MP Materials Class A0%MP-US · $455.7KTrimmed-2,926 sh
- 141Alcoa0%AA-US · $430KNew
- 142Comcast Class A0%CMCSA-US · $413.1KTrimmed-59,051 sh
- 143IMPINJ0%PI-US · $398.6KNew
- 144lululemon athletica0%LULU-US · $375.1KTrimmed-4,775 sh
- 145Kratos Defense and Security Solutions0%KTOS-US · $352.6KNew
- 146Jacobs Solutions0%J-US · $321.5KTrimmed-10,505 sh
- 147Sunrun0%RUN-US · $264.4KTrimmed-2,210,018 sh
- 148Grocery Outlet Holding0%GO-US · $260.1KTrimmed-100,439 sh
- 149Lincoln National0%LNC-US · $258.7KTrimmed-26,728 sh
- 150EMCOR Group0%EME-US · $242.2KTrimmed-1,693 sh
- 151Builders FirstSource0%BLDR-US · $218.7KTrimmed-7,172 sh
- 152Compass Diversified0%CODI-US · $193.5KTrimmed-100,211 sh
- 153Rocket Companies Class A0%RKT-US · $191.9KTrimmed-30,401 sh
- 154Cadiz0%CDZI-US · $143.4KNew
- 155PureCycle Technologies0%PCT-US · $107.9KTrimmed-38,106 sh
- 156Fermi Inc.0%FRMI-US · $92.3KTrimmed-44,734 sh
- 157Opendoor Technologies0%OPEN-US · $11.8KNo prior data
Factual information from reported filings; not investment advice.