Jim Simons

Renaissance Technologies

Portfolio Value
$63929.9T
Positions
3213
Quarter
2026-Q1

Portfolio Holdings

CompanyTickerSharesValue% PortfolioChange
UNITED THERAPEUTICS CORP DEL1.8M$1059.7T0.0%
PALANTIR TECHNOLOGIES INC7.0M$1021.9T0.0%
APPLE INC3.1M$780.6T0.0%
KINROSS GOLD CORP25.5M$779.7T0.0%
MICRON TECHNOLOGY INC2.2M$730.7T0.0%
VERISIGN INC2.8M$699.9T0.0%
EXELIXIS INC13.7M$588.8T0.0%
FRANCO NEV CORP2.2M$548.2T0.0%
SANDISK CORP800K$508.0T0.0%
NVIDIA CORPORATION2.5M$440.7T0.0%
CHEVRON CORPORATION2.0M$417.0T0.0%
ROBLOX CORP7.1M$403.1T0.0%
CARVANA CO1.2M$377.6T0.0%
WAYFAIR INC5.0M$374.0T0.0%
ROBINHOOD MKTS INC5.1M$353.7T0.0%
INCYTE CORP3.7M$343.7T0.0%
ARGAN INC611K$332.7T0.0%
INTEL CORP7.4M$326.5T0.0%
NEUROCRINE BIOSCIENCES INC2.4M$318.7T0.0%
UNITEDHEALTH GROUP INC1.2M$313.5T0.0%
STERLING INFRASTRUCTURE INC767K$312.3T0.0%
LINDE PLC630K$312.2T0.0%
WESTERN DIGITAL CORP1.1M$310.0T0.0%
CBOE GLOBAL MKTS INC1.1M$309.3T0.0%
GILEAD SCIENCES INC2.2M$300.0T0.0%
ETSY INC6.0M$298.0T0.0%
ALLISON TRANSMISSION HLDGS I2.3M$264.6T0.0%
BROADCOM INC794K$245.7T0.0%
VERTIV HOLDINGS CO968K$242.6T0.0%
MEDPACE HLDGS INC505K$242.3T0.0%
NU HLDGS LTD16.3M$233.8T0.0%
AIRBNB INC1.8M$231.2T0.0%
NEW YORK TIMES CO MTN BE2.8M$230.8T0.0%
STRATEGY INC2.1M$230.8T0.0%
CORCEPT THERAPEUTICS INC5.7M$229.1T0.0%
ALAMOS GOLD INC5.1M$227.4T0.0%
ADOBE INC925K$224.9T0.0%
VALE S A14.1M$223.6T0.0%
BARRICK MNG CORP5.5M$223.4T0.0%
EVERPURE INC3.8M$222.0T0.0%
NOVA LTD511K$221.9T0.0%
ALKERMES PLC6.2M$217.8T0.0%
DOORDASH INC1.4M$214.2T0.0%
REDDIT INC1.6M$210.8T0.0%
MERCADOLIBRE120K$208.0T0.0%
VISA INC677K$204.5T0.0%
JPMORGAN CHASE & CO688K$202.5T0.0%
BOSTON SCIENTIFIC CORP3.2M$197.8T0.0%
ZOOM COMMUNICATIONS INC2.5M$197.7T0.0%
PEABODY ENGR CORP5.9M$195.5T0.0%
COLGATE PALMOLIVE CO2.3M$193.8T0.0%
TAIWAN SEMICONDUCTOR MANUFAC568K$191.9T0.0%
LOGITECH INTL S A2.1M$188.8T0.0%
VERTEX PHARMACEUTICALS INC422K$188.3T0.0%
SPROUTS FMRS MKT INC2.4M$188.0T0.0%
TENARIS S A3.2M$186.2T0.0%
BOEING CO931K$185.4T0.0%
NATIONAL GRID PLC2.2M$183.5T0.0%
NEWMONT CORP1.7M$180.9T0.0%
FREEPORT MCMORAN INC3.1M$179.5T0.0%
MOTOROLA SOLUTIONS INC405K$175.8T0.0%
DROPBOX INC7.7M$175.4T0.0%
APPLOVIN CORP437K$173.7T0.0%
UBIQUITI INC219K$173.0T0.0%
ILLINOIS TOOL WKS INC660K$171.7T0.0%
CIRCLE INTERNET GROUP INC1.8M$170.9T0.0%
NOVARTIS AG1.1M$169.8T0.0%
MCDONALDS CORP543K$168.7T0.0%
PERMIAN RESOURCES CORP7.8M$167.0T0.0%
NEW ORIENTAL ED & TECHNOLOGY2.9M$166.9T0.0%
AMERICAN EXPRESS CO551K$166.6T0.0%
TEXAS INSTRS INC851K$165.3T0.0%
BLACKSTONE INC1.4M$164.6T0.0%
RIVIAN AUTOMOTIVE INC10.9M$164.3T0.0%
CLEAR SECURE INC3.4M$162.3T0.0%
VISTRA CORP1.1M$159.6T0.0%
PETROLEO BRASILEIRO S A7.7M$159.0T0.0%
ALPHABET INC542K$156.0T0.0%
JAZZ PHARMACEUTICALS PLC819K$154.9T0.0%
NETEASE COM INC1.4M$152.6T0.0%
MONDAY COM LTD2.2M$150.8T0.0%
DOCUSIGN INC3.2M$150.3T0.0%
ROKU INC1.6M$148.1T0.0%
META PLATFORMS INC253K$145.0T0.0%
HP INC7.4M$142.7T0.0%
LUMENTUM HLDGS INC203K$142.5T0.0%
VANECK ETF TRUST369K$141.7T0.0%
CAL MAINE FOODS INC1.8M$140.8T0.0%
CAPITAL ONE FINL CORP739K$134.8T0.0%
SELECT SECTOR SPDR TR2.7M$134.1T0.0%
BRINKER INTL INC922K$131.7T0.0%
AUTOMATIC DATA PROCESSING IN647K$131.4T0.0%
ALBEMARLE CORP731K$131.2T0.0%
OTIS WORLDWIDE CORP1.7M$130.4T0.0%
PERDOCEO ED CORP3.5M$130.3T0.0%
UBER TECHNOLOGIES INC1.8M$129.2T0.0%
COEUR MNG INC6.9M$129.0T0.0%
VIRTU FINL INC2.9M$128.8T0.0%
DANAHER CORP DEL679K$128.7T0.0%
STRYKER CORPORATION392K$128.7T0.0%
ABBOTT LABORATORIES1.2M$127.2T0.0%
KIMBERLY-CLARK CORP1.3M$127.1T0.0%
LI AUTO INC7.1M$126.8T0.0%
SEA LTD1.5M$126.4T0.0%
SERVICENOW INC1.2M$126.1T0.0%
DOMINOS PIZZA INC351K$126.0T0.0%
WYNN RESORTS LTD1.2M$125.9T0.0%
NOVO-NORDISK A S3.4M$124.8T0.0%
WILLIAMS SONOMA INC681K$124.1T0.0%
THE TRADE DESK INC5.4M$123.4T0.0%
VERALTO CORP1.4M$123.1T0.0%
LYFT INC9.2M$121.9T0.0%
ALPHA METALLURGICAL RESOUR I593K$121.7T0.0%
SEAGATE TECHNOLOGY HLDNGS PL310K$121.6T0.0%
UNITED PARCEL SVCS INC1.2M$121.5T0.0%
SYNOPSYS INC304K$120.6T0.0%
ILLUMINA INC973K$119.9T0.0%
GENMAB A/S4.4M$118.4T0.0%
DELL TECHNOLOGIES INC722K$118.4T0.0%
LOCKHEED MARTIN CORP195K$117.6T0.0%
GE AEROSPACE414K$117.5T0.0%
CHUNGHWA TELECOM CO LTD2.8M$116.8T0.0%
AUTOZONE INC34K$115.5T0.0%
TOAST INC4.3M$114.6T0.0%
MURPHY USA INC232K$114.5T0.0%
CINEMARK HLDGS INC4.0M$113.9T0.0%
PDD HOLDINGS INC1.1M$113.7T0.0%
TE CONNECTIVITY PLC537K$112.1T0.0%
PROGRESSIVE CORP560K$111.0T0.0%
MORGAN STANLEY674K$110.9T0.0%
ALTRIA GROUP INC1.7M$110.6T0.0%
PINTEREST INC6.0M$109.8T0.0%
AMRIZE LTD2.0M$109.6T0.0%
SELECT SECTOR SPDR TR675K$109.1T0.0%
DR REDDYS LABS LTD7.9M$108.9T0.0%
PAYCHEX INC1.2M$107.4T0.0%
NOKIA CORP13.3M$106.9T0.0%
WARNER BROS DISCOVERY INC3.8M$105.6T0.0%
RYANAIR HOLDINGS PLC1.8M$105.0T0.0%
BROOKDALE SR LIVING INC7.7M$104.8T0.0%
AMERICAN AIRLINES GROUP INC9.7M$104.0T0.0%
NUTANIX INC2.7M$103.6T0.0%
ROLLINS INC1.9M$103.4T0.0%
GRUPO AEROPORTUNARIO DEL PAC416K$102.6T0.0%
BROWN & BROWN INC1.6M$102.6T0.0%
DEERE & CO182K$102.5T0.0%
TELEFONAKTIEBOLAGET LM ERICS9.1M$102.3T0.0%
ENOVA INTL INC750K$101.9T0.0%
MCKESSON CORP117K$101.5T0.0%
DEXCOM INC1.6M$99.4T0.0%
NATIONAL BEVERAGE CORP2.9M$99.1T0.0%
HOWMET AEROSPACE INC429K$99.0T0.0%
MATCH GROUP INC NEW3.2M$98.1T0.0%
FRONTDOOR INC1.8M$97.8T0.0%
MASTERCARD INCORPORATED195K$97.3T0.0%
SPOTIFY TECHNOLOGY S A198K$96.1T0.0%
XYLEM INC792K$94.6T0.0%
INNOVIVA INC4.1M$94.5T0.0%
TORO CO1.0M$94.4T0.0%
BEST BUY INC1.4M$93.1T0.0%
FUTU HLDGS LTD671K$91.8T0.0%
RIO TINTO PLC966K$90.1T0.0%
INSULET CORP426K$89.4T0.0%
CHENIERE ENERGY INC314K$89.2T0.0%
SCORPIO TANKERS INC1.2M$88.5T0.0%
CORVEL CORP1.6M$88.4T0.0%
SUPERNUS PHARMACEUTICALS1.7M$88.1T0.0%
WINMARK CORP206K$88.0T0.0%
MANHATTAN ASSOCIATES INC655K$87.2T0.0%
NIO INC14.5M$87.1T0.0%
PETROLEO BRASILEIRO S A4.6M$86.4T0.0%
VERIZON COMMUNICATIONS INC1.7M$86.0T0.0%
COMMVAULT SYS INC1.1M$85.5T0.0%
HEWLETT PACKARD ENTERPRISE C3.6M$85.3T0.0%
HONEYWELL INTL INC375K$84.8T0.0%
ISHARES TR861K$83.6T0.0%
DOLLAR GEN CORP704K$83.6T0.0%
VERISK ANALYTICS INC440K$83.6T0.0%
COPA HOLDINGS SA734K$83.4T0.0%
ECOLAB INC313K$83.4T0.0%
FIDELITY NATL INFORMATION SV1.8M$83.0T0.0%
TRANE TECHNOLOGIES PLC199K$82.9T0.0%
BARCLAYS PLC3.9M$81.8T0.0%
DILLARDS INC142K$81.3T0.0%
HUNTINGTON BANCSHARES INC5.2M$81.3T0.0%
HERBALIFE LTD5.5M$81.0T0.0%
UNITED STS LIME & MINERALS I614K$80.3T0.0%
AMBEV SA27.4M$79.9T0.0%
EMBRAER S.A.1.3M$79.4T0.0%
ATOUR LIFESTYLE HLDGS LTD2.2M$79.3T0.0%
CRH PLC753K$79.1T0.0%
WATSCO INC216K$78.7T0.0%
TESLA INC211K$78.5T0.0%
LAS VEGAS SANDS CORP1.5M$78.3T0.0%
COMFORT SYS USA INC57K$78.1T0.0%
ZIM INTEGRATED SHIPPING SERV2.9M$77.4T0.0%
BAKER HUGHES COMPANY1.3M$76.8T0.0%
CITIGROUP INC675K$76.5T0.0%
KANZHUN LIMITED5.7M$76.3T0.0%
MORNINGSTAR INC449K$75.9T0.0%
WORKDAY INC582K$75.6T0.0%
WARRIOR MET COAL INC811K$75.5T0.0%
MONSTER BEVERAGE CORP NEW1.0M$75.5T0.0%
ABERCROMBIE & FITCH CO826K$75.4T0.0%
DAVE INC432K$75.2T0.0%
CAMECO CORP685K$74.4T0.0%
BRADY CORP913K$74.1T0.0%
JFROG LTD1.6M$73.9T0.0%
COCA COLA CONS INC382K$73.3T0.0%
AFLAC INC668K$73.3T0.0%
CARDINAL HEALTH INC345K$72.9T0.0%
KE HLDGS INC4.9M$72.8T0.0%
JAMES HARDIE INDS PLC3.8M$72.7T0.0%
HECLA MINING COMPANY3.9M$72.7T0.0%
BLOOM ENERGY CORP536K$72.6T0.0%
MERCURY GENL CORP NEW824K$72.6T0.0%
AMPHENOL CORP574K$72.5T0.0%
BP PLC1.5M$72.1T0.0%
KENVUE INC4.1M$71.4T0.0%
DOXIMITY INC3.1M$71.3T0.0%
PAN AMERN SILVER CORP1.3M$71.1T0.0%
LIBERTY MEDIA CORP DEL827K$70.4T0.0%
H WORLD GROUP LTD1.4M$70.0T0.0%
CROWN CASTLE INC856K$69.6T0.0%
REX AMERICAN RES CORP1.5M$69.4T0.0%
ITT INC362K$69.0T0.0%
CELESTICA INC245K$69.0T0.0%
IAMGOLD CORP3.6M$68.6T0.0%
MASCO CORP1.1M$68.5T0.0%
AUTODESK INC286K$68.4T0.0%
THERMO FISHER SCIENTIFIC INC139K$68.3T0.0%
QUALCOMM INC530K$68.3T0.0%
FIRSTSERVICE CORP NEW490K$68.1T0.0%
CARNIVAL PLC2.6M$68.1T0.0%
GENERAL MTRS CO913K$68.0T0.0%
LUMEN TECHNOLOGIES INC9.7M$67.6T0.0%
BANK AMERICA CORP1.4M$67.5T0.0%
CARNIVAL CORP2.6M$67.2T0.0%
TAPESTRY INC476K$67.2T0.0%
UNILEVER PLC1.2M$67.1T0.0%
TELEKOMUNIKASI IND3.6M$67.0T0.0%
REPUBLIC SVCS INC305K$66.8T0.0%
VENTAS INC811K$66.3T0.0%
MARKEL GROUP INC35K$66.3T0.0%
ELI LILLY & CO72K$66.0T0.0%
JOHNSON CONTROLS INTERNATION503K$65.9T0.0%
ALLSTATE CORP318K$65.9T0.0%
SPHERE ENTERTAINMENT CO560K$65.7T0.0%
AMETEK INC306K$65.6T0.0%
ARROWHEAD PHARMACEUTICALS IN1.0M$65.0T0.0%
AMERIPRISE FINL INC145K$64.4T0.0%
INTUITIVE SURGICAL INC139K$64.3T0.0%
TUTOR PERINI CORP830K$64.1T0.0%
MARSH & MCLENNAN COS INC366K$63.4T0.0%
CDW CORP523K$63.3T0.0%
ENTERGY CORP NEW562K$63.1T0.0%
FIRST MAJESTIC SILVER CORP2.9M$62.8T0.0%
PLUG PWR INC27.7M$62.7T0.0%
LATAM AIRLINES GROUP SA1.3M$62.7T0.0%
FORTIVE CORP1.1M$62.4T0.0%
TRIMBLE INC947K$61.8T0.0%
TAKE-TWO INTERACTIVE SOFTWAR313K$61.7T0.0%
GRACO INC722K$61.1T0.0%
GAMESTOP CORP2.7M$61.1T0.0%
TENCENT MUSIC ENTMT GROUP6.6M$61.0T0.0%
F N B CORP3.6M$60.9T0.0%
ELDORADO GOLD CORP NEW1.8M$60.8T0.0%
ZEBRA TECHNOLOGIES CORPORATI288K$60.3T0.0%
DUOLINGO INC604K$59.5T0.0%
BRISTOL-MYERS SQUIBB CO977K$59.3T0.0%
NUSCALE PWR CORP5.5M$59.1T0.0%
LIBERTY GLOBAL LTD4.9M$59.1T0.0%
T-MOBILE US INC281K$59.0T0.0%
BUCKLE INC1.2M$58.8T0.0%
MAPLEBEAR INC1.6M$58.7T0.0%
VODAFONE GROUP PLC3.9M$58.7T0.0%
TRAVERE THERAPEUTICS INC2.0M$58.4T0.0%
THE CIGNA GROUP219K$58.4T0.0%
CATALYST PHARMACEUTICALS INC2.3M$58.1T0.0%
PINNACLE WEST CAP CORP576K$58.0T0.0%
BIOMARIN PHARMACEUTICAL INC1.0M$57.9T0.0%
SELECT SECTOR SPDR TR530K$57.8T0.0%
ALPHABET INC201K$57.7T0.0%
DESCARTES SYS GROUP INC799K$57.2T0.0%
ANHEUSER BUSCH INBEV SA NV811K$56.3T0.0%
AECOM662K$56.2T0.0%
REGIONS FINANCIAL CORP NEW2.1M$56.0T0.0%
VIKING HOLDINGS LTD759K$55.8T0.0%
PTC INC389K$55.4T0.0%
BLUE OWL CAPITAL INC6.1M$55.4T0.0%
TAKEDA PHARMACEUTICAL CO LTD3.0M$55.4T0.0%
MADISON SQUARE GRDN SPRT COR172K$55.3T0.0%
OPENDOOR TECHNOLOGIES INC11.8M$55.3T0.0%
CENTENE CORP DEL1.7M$55.2T0.0%
CROWN HLDGS INC548K$54.9T0.0%
EZCORP INC2.2M$54.8T0.0%
UNITY SOFTWARE INC2.5M$54.5T0.0%
GAMING & LEISURE P1.2M$54.2T0.0%
ANGLOGOLD ASHANTI PLC556K$54.2T0.0%
CARLISLE COS INC161K$53.9T0.0%
MIRUM PHARMACEUTICALS INC582K$53.8T0.0%
MAGNOLIA OIL & GAS CORP1.7M$53.7T0.0%
NATIONAL HEALTHCARE CORP336K$53.6T0.0%
DNOW INC4.5M$53.1T0.0%
EVEREST GROUP LTD162K$53.0T0.0%
COMPANHIA DE SANEAMENTO BASI1.7M$52.8T0.0%
VANECK ETF TRUST575K$52.8T0.0%
WEST PHARMACEUTICAL SVSC INC210K$52.5T0.0%
AMERICAN PUB ED INC920K$52.3T0.0%
FTAI AVIATION LTD213K$52.2T0.0%
T1 ENERGY INC11.9M$52.1T0.0%
EVERCORE INC174K$51.9T0.0%
WIX COM LTD576K$51.9T0.0%
COLLIERS INTL GROUP INC485K$51.8T0.0%
CARMAX INC1.2M$51.8T0.0%
REGENERON PHARMACEUTICALS67K$51.6T0.0%
QUANTUMSCAPE CORP8.1M$51.4T0.0%
MARZETTI COMPANY371K$51.3T0.0%
ALIGNMENT HEALTHCARE INC2.9M$51.2T0.0%
BATH & BODY WORKS INC2.7M$51.0T0.0%
ALLIANT ENERGY CORP711K$51.0T0.0%
COMMERCE BANCSHARES INC1.0M$50.9T0.0%
TARGET CORP411K$49.8T0.0%
TEEKAY CORPORATION LTD4.1M$49.8T0.0%
RUSH STREET INTERACTIVE INC2.3M$49.7T0.0%
JACOBS SOLUTIONS INC390K$49.6T0.0%
SMITH A O CORP744K$49.1T0.0%
BROOKFIELD ASSET MANAGMT LTD1.1M$49.0T0.0%
PLDT INC2.3M$49.0T0.0%
KODIAK GAS SVCS INC839K$48.9T0.0%
MOODYS CORP112K$48.9T0.0%
TERADYNE INC165K$48.9T0.0%
GRAB HOLDINGS LIMITED13.3M$48.7T0.0%
COLLEGIUM PHARMACEUTICAL INC1.5M$48.6T0.0%
GARTNER INC305K$48.3T0.0%
TOWER SEMICONDUCTOR LTD275K$48.2T0.0%
TRADEWEB MKTS INC409K$48.1T0.0%
APPLIED OPTOELECTRONICS INC565K$47.8T0.0%
HEICO CORP NEW173K$47.6T0.0%
STAR BULK CARRIERS CORP.2.1M$47.5T0.0%
CANADIAN NATL RY CO461K$47.3T0.0%
TIM S A1.8M$47.3T0.0%
HALOZYME THERAPEUTICS INC732K$47.3T0.0%
MARQETA INC11.6M$47.2T0.0%
NVR INC7K$46.7T0.0%
VULCAN MATLS CO171K$46.5T0.0%
IDT CORP946K$46.4T0.0%
LIQUIDITY SVCS INC1.5M$45.9T0.0%
GODADDY INC553K$45.7T0.0%
BROOKFIELD RENEWABLE CORP1.1M$45.6T0.0%
CAMDEN PPTY TR467K$45.6T0.0%
RINGCENTRAL INC1.2M$45.1T0.0%
BANCO BRADESCO S A12.3M$45.0T0.0%
MODERNA INC881K$44.8T0.0%
BANCO DE CHILE1.2M$44.7T0.0%
PATTERSON-UTI ENERGY INC4.1M$44.7T0.0%
CADENCE DESIGN SYSTEM INC161K$44.6T0.0%
TELADOC HEALTH INC8.1M$44.1T0.0%
HIMS & HERS HEALTH INC2.1M$44.0T0.0%
ITURAN LOCATION AND CONTROL892K$43.7T0.0%
QUALYS INC498K$43.7T0.0%
HSBC HLDGS PLC524K$43.2T0.0%
XCEL ENERGY INC544K$43.2T0.0%
HELLO GROUP INC7.5M$43.1T0.0%
ADVANCED MICRO DEVICES INC217K$42.8T0.0%
MASIMO CORP240K$42.6T0.0%
COGNEX CORP868K$42.5T0.0%
IRADIMED CORP441K$42.4T0.0%
VISTANCE NETWORKS INC2.3M$42.4T0.0%
BEL FUSE INC214K$42.3T0.0%
UDR INC1.3M$42.3T0.0%
BANK OZK LITTLE ROCK ARK919K$42.2T0.0%
QORVO INC544K$42.1T0.0%
SOUTHERN CO432K$41.7T0.0%
EVERGY INC508K$41.6T0.0%
REGENCY CTRS CORP550K$41.6T0.0%
WD 40 CO203K$41.5T0.0%
HUBSPOT INC170K$41.4T0.0%
ITRON INC462K$41.4T0.0%
A10 NETWORKS INC1.8M$41.3T0.0%
PACIRA BIOSCIENCES INC1.8M$41.3T0.0%
MILLICOM INTL CELLULAR S A550K$41.2T0.0%
SNAP ON INC113K$41.1T0.0%
ITAU UNIBANCO HLDG S A4.9M$41.0T0.0%
SELECT SECTOR SPDR TR500K$41.0T0.0%
TEEKAY TANKERS LTD558K$40.9T0.0%
SOCIEDAD QUIMICA Y MINERA DE502K$40.7T0.0%
FLUTTER ENTMT PLC398K$40.6T0.0%
CORE & MAIN INC814K$40.2T0.0%
CHIPMOS TECHNOLOGIES INC1.1M$40.0T0.0%
SOUTHWEST GAS HLDGS INC459K$39.9T0.0%
GRIFFON CORP547K$39.8T0.0%
ALCOA CORP599K$39.7T0.0%
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MYOMO INC24K$15.9B0.0%
WING YIP FOOD CHINA HLDGS GR36K$15.7B0.0%
NEXTPLAT CORP41K$15.4B0.0%
TDH HLDGS INC12K$15.0B0.0%
GREEN CIRCLE DECARBONIZE TEC14K$14.5B0.0%
MATINAS BIOPHARMA HLDGS INC29K$14.3B0.0%
ORIGIN AGRITECH LIMITED11K$14.2B0.0%
SOUTHLAND HLDGS INC10K$13.4B0.0%
RENOVORX INC13K$13.1B0.0%
LEXARIA BIOSCIENCE CORP16K$12.7B0.0%
MASSIMO GROUP13K$12.6B0.0%
CLPS INCORPORATION13K$11.5B0.0%
PRESURANCE HOLDINGS INC22K$11.3B0.0%
HEALTHY CHOICE WELLNESS CORP43K$10.8B0.0%
VYNE THERAPEUTICS INC17K$10.3B0.0%
TRINITY BIOTECH INVT LTD18K$9.6B0.0%
APTORUM GROUP LIMITED12K$9.4B0.0%
JIANZHI ED TECHNOLOGY GROUP11K$9.4B0.0%
COLLPLANT BIOTECHNOLOGIES LT17K$9.0B0.0%
KARTOON STUDIOS INC.13K$8.1B0.0%
AERIES TECHNOLOGY INC26K$8.1B0.0%
CHINA PHARMA HLDGS INC11K$7.0B0.0%
HAOXIN HLDGS LTD17K$6.8B0.0%
AIOS TECHNOLOGY INC11K$6.2B0.0%
NOCERA INC29K$6.0B0.0%
MYND AI INC16K$5.7B0.0%
HUB CYBER SECURITY LTD55K$5.5B0.0%
NEXALIN TECHNOLOGY INC11K$3.7B0.0%
INLIF LTD11K$3.4B0.0%
HITEK GLOBAL INC17K$1.0B0.0%
SINOVAC BIOTECH LTD1.3M0.0%

Holdings from the latest SEC Form 13F filing. Filed quarterly — reflects positions as of quarter end, not real time. Not investment advice.