13F-HRFiling Date: Aug 14, 2026

Citadel

Institutional Holdings (13F)

View SEC Filing
ACC: 0001104659-26-097200
Total Value$875.10B
Positions16127
Changes19742

Holdings

remove_circle_outlineExited this quarter· 200
–
SELECT SECTOR SPDR TR
was 27.77M shares
Exited
–
SELECT SECTOR SPDR TR
was 14.22M shares
Exited
–
WESTERN DIGITAL CORP
was 97.27M shares
Exited
–
SELECT SECTOR SPDR TR
was 11.33M shares
Exited
–
SELECT SECTOR SPDR TR
was 11.64M shares
Exited
–
SPDR GOLD TR
was 1.06M shares
Exited
–
SELECT SECTOR SPDR TR
was 5.51M shares
Exited
–
Tesla · TSLA
was 1.17M shares
Exited
–
SELECT SECTOR SPDR TR
was 8.25M shares
Exited
–
SPDR SERIES TRUST
was 2.17M shares
Exited
–
SELECT SECTOR SPDR TR
was 2.79M shares
Exited
–
ISHARES TR
was 3.60M shares
Exited
–
SPDR SERIES TRUST
was 2.73M shares
Exited
–
DIREXION SHARES ETF TRUST
was 7.18M shares
Exited
–
ISHARES TR
was 3.43M shares
Exited
–
SPDR SERIES TRUST
was 4.94M shares
Exited
–
SELECT SECTOR SPDR TR
was 2.72M shares
Exited
–
ISHARES TR
was 5.20M shares
Exited
–
DIREXION SHARES ETF TRUST
was 5.65M shares
Exited
–
Twilio · TWLO
was 1.92M shares
Exited
–
SPDR SERIES TRUST
was 3.68M shares
Exited
–
SELECT SECTOR SPDR TR
was 4.81M shares
Exited
–
SELECT SECTOR SPDR TR
was 1.78M shares
Exited
–
SPDR SERIES TRUST
was 1.80M shares
Exited
–
SELECT SECTOR SPDR TR
was 1.39M shares
Exited
–
SELECT SECTOR SPDR TR
was 1.36M shares
Exited
–
LIVE NATION ENTERTAINMENT IN
was 142.85M shares
Exited
–
ISHARES TR
was 3.70M shares
Exited
–
COTERRA ENERGY INC
was 5.96M shares
Exited
–
SPDR SERIES TRUST
was 1.06M shares
Exited
–
SELECT SECTOR SPDR TR
was 4.07M shares
Exited
–
SELECT SECTOR SPDR TR
was 1.21M shares
Exited
–
Honeywell · HON
was 779.40K shares
Exited
–
CLEARWATER ANALYTICS HLDGS I
was 7.22M shares
Exited
–
GLOBUS MED INC
was 1.94M shares
Exited
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AMPLIFY ETF TR
was 5.58M shares
Exited
–
PROTAGONIST THERAPEUTICS INC
was 1.55M shares
Exited
–
SELECT SECTOR SPDR TR
was 3.31M shares
Exited
–
Alphabet · GOOGL
was 563.10K shares
Exited
–
SELECT SECTOR SPDR TR
was 1.35M shares
Exited
–
TERNS PHARMACEUTICALS INC
was 2.72M shares
Exited
–
TE Connectivity · TEL
was 651.70K shares
Exited
–
CARNIVAL CORP
was 5.15M shares
Exited
–
SELECT SECTOR SPDR TR
was 2.61M shares
Exited
–
Honeywell · HON
was 551.80K shares
Exited
–
Spotify Technology · SPOT
was 252.74K shares
Exited
–
SELECT SECTOR SPDR TR
was 2.62M shares
Exited
–
DIREXION SHARES ETF TRUST
was 640.90K shares
Exited
–
SELECT SECTOR SPDR TR
was 803.40K shares
Exited
–
CANADIAN NATL RY CO
was 1.14M shares
Exited
–
Conagra Brands · CAG
was 6.98M shares
Exited
–
CARNIVAL CORP
was 4.20M shares
Exited
–
Citi · C
was 923.84K shares
Exited
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TechnipFMC · FTI
was 1.51M shares
Exited
–
BLOCK H & R INC
was 3.12M shares
Exited
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Amphenol · APH
was 774.10K shares
Exited
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ALIGNMENT HEALTHCARE INC
was 5.36M shares
Exited
–
DIREXION SHARES ETF TRUST
was 509.90K shares
Exited
–
PENNYMAC FINL SVCS INC NEW
was 1.07M shares
Exited
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AMPLIFY ETF TR
was 3.12M shares
Exited
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MIRUM PHARMACEUTICALS INC
was 991.62K shares
Exited
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Campbell's · CPB
was 4.03M shares
Exited
–
SPDR SERIES TRUST
was 788.10K shares
Exited
–
SPDR SERIES TRUST
was 1.06M shares
Exited
–
SPDR INDEX SHS FDS
was 1.36M shares
Exited
–
SPDR SERIES TRUST
was 1.25M shares
Exited
–
2023 ETF SERIES TRUST
was 2.67M shares
Exited
–
COLUMBIA BKG SYS INC
was 2.96M shares
Exited
–
ISHARES TR
was 2.25M shares
Exited
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ISHARES INC
was 1.10M shares
Exited
–
STATE STR SPDR S&P 500 ETF T
was 115.00K shares
Exited
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SELECT SECTOR SPDR TR
was 1.50M shares
Exited
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CARNIVAL CORP
was 2.86M shares
Exited
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Mastec · MTZ
was 227.13K shares
Exited
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HOLOGIC INC
was 953.82K shares
Exited
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SHAKE SHACK INC
was 806.19K shares
Exited
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SPDR SERIES TRUST
was 722.40K shares
Exited
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DYNATRACE INC
was 1.90M shares
Exited
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Honeywell · HON
was 311.20K shares
Exited
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MEDLINE INC
was 1.58M shares
Exited
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GRANITESHARES ETF TR
was 941.40K shares
Exited
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SAILPOINT INC
was 5.05M shares
Exited
–
DIREXION SHARES ETF TRUST
was 226.90K shares
Exited
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Caesars Entertainment · CZR
was 2.30M shares
Exited
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GRANITE CONSTR INC
was 23.12M shares
Exited
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SAMSARA INC
was 1.88M shares
Exited
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AMPLIFY ETF TR
was 1.96M shares
Exited
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Vertex · VRTX
was 129.28K shares
Exited
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SPDR SERIES TRUST
was 713.70K shares
Exited
–
BURLINGTON STORES INC
was 176.20K shares
Exited
–
JFROG LTD
was 1.21M shares
Exited
–
Wec Energy · WEC
was 45.90M shares
Exited
–
Keysight Technologies · KEYS
was 200.00K shares
Exited
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DICKS SPORTING GOODS INC
was 277.47K shares
Exited
–
SPDR SERIES TRUST
was 552.92K shares
Exited
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Pnc Financial Services · PNC
was 259.94K shares
Exited
–
DIREXION SHARES ETF TRUST
was 623.10K shares
Exited
–
DIREXION SHARES ETF TRUST
was 283.10K shares
Exited
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ARES CAPITAL CORP
was 2.88M shares
Exited
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MONDAY COM LTD
was 734.64K shares
Exited
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CUBESMART
was 1.37M shares
Exited
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ISHARES TR
was 501.40K shares
Exited
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Alibaba · BABA
was 393.72K shares
Exited
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VIPER ENERGY INC
was 1.05M shares
Exited
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DoorDash · DASH
was 320.28K shares
Exited
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DIREXION SHARES ETF TRUST
was 289.40K shares
Exited
–
GFL ENVIRONMENTAL INC
was 1.14M shares
Exited
–
AMBARELLA INC
was 926.47K shares
Exited
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Honeywell · HON
was 210.71K shares
Exited
–
TERADATA CORP DEL
was 1.86M shares
Exited
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APOGEE THERAPEUTICS INC
was 562.68K shares
Exited
–
SPDR GOLD TR
was 109.37K shares
Exited
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BGC GROUP INC
was 4.78M shares
Exited
–
SPHERE ENTERTAINMENT CO
was 387.10K shares
Exited
–
ONESTREAM INC
was 1.89M shares
Exited
–
SELECT SECTOR SPDR TR
was 409.10K shares
Exited
–
SELECT SECTOR SPDR TR
was 715.15K shares
Exited
–
DIREXION SHARES ETF TRUST
was 217.30K shares
Exited
–
SELECT SECTOR SPDR TR
was 862.20K shares
Exited
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Humana · HUM
was 248.30K shares
Exited
–
DUPONT DE NEMOURS INC
was 932.60K shares
Exited
–
SELECT SECTOR SPDR TR
was 513.00K shares
Exited
–
GRANITESHARES ETF TR
was 564.70K shares
Exited
–
CHEMED CORP NEW
was 108.45K shares
Exited
–
SPDR SERIES TRUST
was 625.00K shares
Exited
–
MIAMI INTL HLDGS INC
was 1.04M shares
Exited
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FLAGSTAR BANK NATIONAL ASSOC
was 3.07M shares
Exited
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BLACKLINE INC
was 42.45M shares
Exited
–
Travelers · TRV
was 134.35K shares
Exited
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AMER SPORTS INC
was 1.18M shares
Exited
–
DIREXION SHARES ETF TRUST
was 951.36K shares
Exited
–
DUPONT DE NEMOURS INC
was 826.91K shares
Exited
–
Danaher · DHR
was 197.93K shares
Exited
–
ISHARES TR
was 466.63K shares
Exited
–
ULTRAGENYX PHARMACEUTICAL IN
was 1.74M shares
Exited
–
UL SOLUTIONS INC
was 423.89K shares
Exited
–
Cvs Health · CVS
was 501.00K shares
Exited
–
HOME BANCSHARES INC
was 1.32M shares
Exited
–
BANK OZK LITTLE ROCK ARK
was 776.61K shares
Exited
–
DIREXION SHARES ETF TRUST
was 188.10K shares
Exited
–
CNH INDL N V
was 3.20M shares
Exited
–
C. H. Robinson Worldwide · CHRW
was 211.78K shares
Exited
–
ASHLAND INC
was 630.24K shares
Exited
–
FRONTLINE PLC
was 993.85K shares
Exited
–
GM · GM
was 458.17K shares
Exited
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JD.COM INC
was 34.00M shares
Exited
–
FIRST CTZNS BANCSHARES INC D
was 17.95K shares
Exited
–
DIREXION SHARES ETF TRUST
was 342.40K shares
Exited
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WHIRLPOOL CORP
was 800.00K shares
Exited
–
Autozone · AZO
was 9.75K shares
Exited
–
Nebius · NBIS
was 311.72K shares
Exited
–
Zebra Technologies · ZBRA
was 154.46K shares
Exited
–
ETF SER SOLUTIONS
was 1.30M shares
Exited
–
Rocket Lab · RKLB
was 497.40K shares
Exited
–
SPDR SERIES TRUST
was 321.40K shares
Exited
–
VANGUARD SCOTTSDALE FDS
was 380.03K shares
Exited
–
DIREXION SHARES ETF TRUST
was 186.80K shares
Exited
–
FLUENCE ENERGY INC
was 30.50M shares
Exited
–
SEMTECH CORP
was 400.00K shares
Exited
–
ISHARES TR
was 256.39K shares
Exited
–
NUTRIEN LTD
was 401.77K shares
Exited
–
HYCROFT MINING HOLDING CORP
was 843.31K shares
Exited
–
SPDR SERIES TRUST
was 274.80K shares
Exited
–
ADMA BIOLOGICS INC
was 3.29M shares
Exited
–
H2O AMERICA
was 502.80K shares
Exited
–
VALE S A
was 1.84M shares
Exited
–
DIREXION SHARES ETF TRUST
was 302.00K shares
Exited
–
CLEARWATER ANALYTICS HLDGS I
was 1.22M shares
Exited
–
HARLEY DAVIDSON INC
was 1.43M shares
Exited
–
Roper Technologies · ROP
was 80.94K shares
Exited
–
RENAISSANCERE HLDGS LTD
was 93.47K shares
Exited
–
OPENDOOR TECHNOLOGIES INC
was 5.92M shares
Exited
–
SPORTRADAR GROUP AG
was 1.64M shares
Exited
–
HIGHWOODS PPTYS INC
was 1.28M shares
Exited
–
Pdd · PDD
was 267.78K shares
Exited
–
SELECT SECTOR SPDR TR
was 250.40K shares
Exited
–
BIRKENSTOCK HOLDING PLC
was 755.63K shares
Exited
–
DIREXION SHARES ETF TRUST
was 311.50K shares
Exited
–
DIREXION SHARES ETF TRUST
was 259.70K shares
Exited
–
MASIMO CORP
was 149.44K shares
Exited
–
RANGE RES CORP
was 587.58K shares
Exited
–
BITFARMS LTD
was 13.56M shares
Exited
–
TERNS PHARMACEUTICALS INC
was 498.08K shares
Exited
–
SPDR SERIES TRUST
was 433.80K shares
Exited
–
BANKUNITED INC
was 571.96K shares
Exited
–
MBX BIOSCIENCES INC
was 865.09K shares
Exited
–
FIRST TR EXCH TRD ALPHDX FD
was 296.33K shares
Exited
–
SCHWAB STRATEGIC TR
was 836.84K shares
Exited
–
SPDR INDEX SHS FDS
was 409.60K shares
Exited
–
ALASKA AIR GROUP INC
was 688.32K shares
Exited
–
EXELIXIS INC
was 585.90K shares
Exited
–
CRANE NXT CO
was 611.94K shares
Exited
–
GUARDANT HEALTH INC
was 14.70M shares
Exited
–
ARK ETF TR
was 365.92K shares
Exited
–
WINTRUST FINL CORP
was 176.74K shares
Exited
–
CELESTICA INC
was 86.02K shares
Exited
–
Hubspot · HUBS
was 98.36K shares
Exited
–
CoreWeave · CRWV
was 307.11K shares
Exited
–
AIR LEASE CORP
was 363.46K shares
Exited
–
RB GLOBAL INC
was 245.75K shares
Exited

keid analysis is for reference only and does not constitute investment advice.