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Large institution tracker

Millennium Management LLC Portfolio

Millennium Management LLC Holdings

Q2 20265,796 positions$276.29B

Millennium is a global, diversified alternative investment firm. This filing-based view follows selected securities reported directly by Millennium Management LLC in its SEC Form 13F information tables.

Confirmed SEC snapshot$276.29B
Q2 2026report period
5,796reported positions
2026-08-14filing date
13F-HRsource filing
20verified quarters
Estimated 1Y—

Portfolio

Weights use the institution’s complete reported 13F value as the denominator. The page materializes a bounded top-250 plus material-events universe, so additional securities may exist in the source filing.
ISHARES TR
$10.86B
3.9%
+17.1%Basis first observed · Q1 2026
Q2 2026 Bought 11.7% more
STATE STR SPDR S&P 500 ETF T
$3.63B
1.3%
—Est. vs filing basis
Q2 2026 Bought 679.7% more
SPACE EXPLORATION TECHN CORP
$2.98B
1.1%
-12.2%Basis first observed · Q2 2026
Q2 2026 New position
$1.58B
0.6%
—Est. vs filing basis
Q2 2026 Bought 51.6% more
WARNER BROS DISCOVERY INC
$1.54B
0.6%
+13.2%Basis first observed · Q1 2026
Q2 2026 Bought 31.2% more
VANGUARD INDEX FDS
$1.25B
0.5%
+11.9%Basis first observed · Q1 2026
Q2 2026 Bought 79.5% more
$981.2M
0.4%
—Est. vs filing basis
Q2 2026 Bought 46.7% more
WESTERN DIGITAL CORP
$980.0M
0.4%
—Est. vs filing basis
Q2 2026 Sold 71.8% of the position
ELECTRONIC ARTS INC
$889.4M
0.3%
—Est. vs filing basis
Q2 2026 Bought 1.4% more
$832.5M
0.3%
—Est. vs filing basis
Q2 2026 Sold 67.9% of the position
BLOOM ENERGY CORP
$763.5M
0.3%
—Est. vs filing basis
Q2 2026 Bought 551.5% more
TAIWAN SEMICONDUCTOR MANUFAC
$760.5M
0.3%
-5.6%Basis first observed · Q2 2026
Q2 2026 New position
META PLATFORMS INC
$731.9M
0.3%
+31.4%Basis first observed · Q1 2026
Q2 2026 Sold 35.2% of the position
FREEPORT MCMORAN INC
$720.2M
0.3%
+23.0%Basis first observed · Q1 2026
Q2 2026 Sold 9.6% of the position
$705.9M
0.3%
—Est. vs filing basis
Q2 2026 Bought 16.2% more
INVESCO QQQ TR
$687.5M
0.2%
+1.1%Basis first observed · Q2 2026
Q2 2026 New position
NRG ENERGY INC
$621.9M
0.2%
-31.3%Basis first observed · Q1 2026
Q2 2026 Bought 114.4% more
Showing 20 of 143 positions
Reported Options107 positions · value unavailable reported value

Reported puts and calls are shown separately from primary equity holdings.

ISHARES TRNo ticker
PUT
$10.00B3.6% of reported 13F
NVIDIA CORPORATIONNVDA
PUT
$5.10B1.8% of reported 13F
ISHARES TRNo ticker
CALL
$4.36B1.6% of reported 13F
INVESCO QQQ TRNo ticker
PUT
$3.99B1.4% of reported 13F
STATE STR SPDR S&P 500 ETF TNo ticker
CALL
$3.54B1.3% of reported 13F
MICRON TECHNOLOGY INCNo ticker
PUT
$3.26B1.2% of reported 13F
STATE STR SPDR S&P 500 ETF TNo ticker
PUT
$3.22B1.2% of reported 13F
INVESCO QQQ TRNo ticker
CALL
$3.00B1.1% of reported 13F
ADVANCED MICRO DEVICES INCNo ticker
PUT
$2.75B1.0% of reported 13F
APPLE INCAAPL
PUT
$2.63B1.0% of reported 13F
AMAZON COM INCAMZN
PUT
$2.54B0.9% of reported 13F
MICROSOFT CORPMSFT
PUT
$2.24B0.8% of reported 13F
ALPHABET INCNo ticker
PUT
$2.17B0.8% of reported 13F
META PLATFORMS INCNo ticker
PUT
$1.94B0.7% of reported 13F
NVIDIA CORPORATIONNVDA
CALL
$1.51B0.5% of reported 13F
TESLA INCTSLA
PUT
$1.47B0.5% of reported 13F
APPLE INCAAPL
CALL
$1.40B0.5% of reported 13F
VANECK ETF TRUSTNo ticker
PUT
$1.39B0.5% of reported 13F
BROADCOM INCAVGO
PUT
$1.36B0.5% of reported 13F
SELECT SECTOR SPDR TRNo ticker
PUT
$1.20B0.4% of reported 13F
MICRON TECHNOLOGY INCMU
CALL
$1.14B0.4% of reported 13F
MICROSOFT CORPMSFT
CALL
$1.13B0.4% of reported 13F
ADVANCED MICRO DEVICES INCNo ticker
CALL
$1.11B0.4% of reported 13F
STATE STR SPDR DOW JONES INDNo ticker
PUT
$1.07B0.4% of reported 13F
ISHARES TRNo ticker
PUT
$1.04B0.4% of reported 13F
INTEL CORPNo ticker
PUT
$1.03B0.4% of reported 13F
ALPHABET INCNo ticker
PUT
$935.1M0.3% of reported 13F
AMAZON COM INCAMZN
CALL
$929.5M0.3% of reported 13F
META PLATFORMS INCNo ticker
CALL
$892.2M0.3% of reported 13F
ISHARES TRNo ticker
PUT
$868.3M0.3% of reported 13F
SELECT SECTOR SPDR TRNo ticker
PUT
$854.5M0.3% of reported 13F
ALPHABET INCNo ticker
CALL
$722.4M0.3% of reported 13F
BERKSHIRE HATHAWAY INC DELNo ticker
PUT
$722.3M0.3% of reported 13F
MARVELL TECHNOLOGY INCNo ticker
PUT
$694.6M0.3% of reported 13F
TAIWAN SEMICONDUCTOR MANUFACNo ticker
PUT
$691.0M0.3% of reported 13F
NEBIUS GROUP N.V.No ticker
PUT
$658.0M0.2% of reported 13F
VANECK ETF TRUSTNo ticker
CALL
$653.7M0.2% of reported 13F
TESLA INCTSLA
CALL
$646.3M0.2% of reported 13F
APPLIED MATLS INCNo ticker
PUT
$630.8M0.2% of reported 13F
BROADCOM INCNo ticker
CALL
$617.9M0.2% of reported 13F
ISHARES TRNo ticker
CALL
$610.7M0.2% of reported 13F
INTEL CORPNo ticker
CALL
$601.5M0.2% of reported 13F
SELECT SECTOR SPDR TRNo ticker
PUT
$591.6M0.2% of reported 13F
PALANTIR TECHNOLOGIES INCNo ticker
PUT
$585.5M0.2% of reported 13F
PALO ALTO NETWORKS INCNo ticker
PUT
$578.0M0.2% of reported 13F
ASTRAZENECA PLCNo ticker
PUT
$564.0M0.2% of reported 13F
ISHARES TRNo ticker
CALL
$555.2M0.2% of reported 13F
ELI LILLY & CONo ticker
PUT
$551.5M0.2% of reported 13F
NETFLIX INC.NFLX
PUT
$550.2M0.2% of reported 13F
ISHARES TRNo ticker
PUT
$544.1M0.2% of reported 13F
ALPHABET INCNo ticker
CALL
$528.9M0.2% of reported 13F
LAM RESEARCH CORPNo ticker
PUT
$486.8M0.2% of reported 13F
SELECT SECTOR SPDR TRNo ticker
CALL
$446.7M0.2% of reported 13F
SELECT SECTOR SPDR TRNo ticker
PUT
$436.3M0.2% of reported 13F
CATERPILLAR INCNo ticker
CALL
$434.1M0.2% of reported 13F
COSTCO WHOLESALE CORPORATIONCOST
PUT
$431.3M0.2% of reported 13F
CARLYLE GROUP INCNo ticker
CALL
$421.1M0.2% of reported 13F
APPLIED MATLS INCAMAT
CALL
$420.4M0.2% of reported 13F
JPMORGAN CHASE & CONo ticker
PUT
$405.3M0.1% of reported 13F
SELECT SECTOR SPDR TRNo ticker
CALL
$402.0M0.1% of reported 13F
CATERPILLAR INCCAT
PUT
$393.2M0.1% of reported 13F
UNITEDHEALTH GROUP INCUNH
PUT
$372.5M0.1% of reported 13F
LAM RESEARCH CORPNo ticker
CALL
$371.4M0.1% of reported 13F
CISCO SYS INCNo ticker
PUT
$368.5M0.1% of reported 13F
SANDISK CORPNo ticker
PUT
$362.4M0.1% of reported 13F
ISHARES TRNo ticker
CALL
$354.5M0.1% of reported 13F
SELECT SECTOR SPDR TRNo ticker
PUT
$348.6M0.1% of reported 13F
ORACLE CORPNo ticker
PUT
$341.5M0.1% of reported 13F
VISA INCNo ticker
PUT
$340.6M0.1% of reported 13F
SPDR SERIES TRUSTNo ticker
PUT
$329.4M0.1% of reported 13F
PALO ALTO NETWORKS INCPANW
CALL
$316.8M0.1% of reported 13F
SELECT SECTOR SPDR TRNo ticker
PUT
$309.1M0.1% of reported 13F
ISHARES INCNo ticker
PUT
$306.6M0.1% of reported 13F
ORACLE CORPORCL
CALL
$299.7M0.1% of reported 13F
CISCO SYS INCCSCO
CALL
$294.9M0.1% of reported 13F
WALMART INCNo ticker
PUT
$291.5M0.1% of reported 13F
JOHNSON & JOHNSONNo ticker
PUT
$287.2M0.1% of reported 13F
DELL TECHNOLOGIES INCNo ticker
PUT
$286.1M0.1% of reported 13F
INTERNATIONAL BUSINESS MACHSIBM
PUT
$285.3M0.1% of reported 13F
QUALCOMM INCQCOM
PUT
$280.4M0.1% of reported 13F
GE VERNOVA INCNo ticker
PUT
$270.8M0.1% of reported 13F
SALESFORCE INCCRM
PUT
$270.8M0.1% of reported 13F
DELL TECHNOLOGIES INCNo ticker
CALL
$268.1M0.1% of reported 13F
SPDR GOLD TRNo ticker
CALL
$264.0M0.1% of reported 13F
SPDR SERIES TRUSTNo ticker
PUT
$260.1M0.1% of reported 13F
ASML HLDG NVNo ticker
PUT
$254.6M0.1% of reported 13F
WELLS FARGO & CONo ticker
PUT
$253.9M0.1% of reported 13F
KLA CORPNo ticker
PUT
$251.8M0.1% of reported 13F
SCHWAB CHARLES CORPNo ticker
PUT
$250.7M0.1% of reported 13F
TAIWAN SEMICONDUCTOR MANUFACNo ticker
CALL
$239.6M0.1% of reported 13F
CROWDSTRIKE HLDGS INCNo ticker
PUT
$237.7M0.1% of reported 13F
GOLDMAN SACHS GROUP INCGS
PUT
$236.7M0.1% of reported 13F
ECHOSTAR CORPNo ticker
CALL
$235.9M0.1% of reported 13F
SEAGATE TECHNOLOGY HLDNGS PLNo ticker
CALL
$227.8M0.1% of reported 13F
MASTERCARD INCORPORATEDNo ticker
PUT
$227.4M0.1% of reported 13F
CHEVRON CORPORATIONCVX
PUT
$224.0M0.1% of reported 13F
TEXAS INSTRS INCTXN
PUT
$221.5M0.1% of reported 13F
SEAGATE TECHNOLOGY HLDNGS PLNo ticker
PUT
$214.3M0.1% of reported 13F
CITIGROUP INCNo ticker
PUT
$210.3M0.1% of reported 13F
SALESFORCE INCCRM
CALL
$209.8M0.1% of reported 13F
HOME DEPOT INCNo ticker
PUT
$209.6M0.1% of reported 13F
MARVELL TECHNOLOGY INCNo ticker
CALL
$209.5M0.1% of reported 13F
WESTERN DIGITAL CORPWDC
PUT
$209.4M0.1% of reported 13F
BANK OF AMER CORPBAC
PUT
$206.0M0.1% of reported 13F
ASML HLDG NVNo ticker
CALL
$202.7M0.1% of reported 13F
WESTERN DIGITAL CORPWDC
CALL
$199.0M0.1% of reported 13F
BOOKING HOLDINGS INCBKNG
PUT
$197.7M0.1% of reported 13F

COMMON QUESTIONS

Millennium Management LLC Portfolio FAQ

Answers to common questions about the latest reported 13F portfolio and how to interpret it.

What is Millennium Management LLC’s latest reported portfolio?

Millennium Management LLC’s latest verified Form 13F snapshot for Q2 2026 reports 143 primary non-option positions with reported portfolio value unavailable. The filing date was Aug 14, 2026.

What does portfolio weight mean on Millennium Management LLC’s portfolio?

Portfolio weight is calculated across the primary non-option holdings shown in the tracker. Reported puts and calls are excluded from this denominator and, when present, are displayed separately.

Does Millennium Management LLC’s 13F show exact buy prices or trade dates?

No. Form 13F is a quarter-end holdings disclosure filed later. It does not reveal exact transaction dates or execution prices. MarketInsiderLab therefore labels filing-basis and reference-price metrics as estimates and withholds unsupported values.

Are reported options included in Millennium Management LLC’s portfolio?

Millennium Management LLC currently has 107 reported option positions in the latest filing. They are shown separately because option-reported values are not equivalent to ordinary equity ownership and are excluded from primary portfolio weighting.

Signals

Fresh SEC ownership signals from Schedule 13D and 13G disclosures, separate from the quarterly 13F portfolio.

COMMON QUESTIONS

Millennium Management LLC Signals FAQ

Answers about 13D/13G ownership signals, Item 4 intent and filing freshness.

What are Millennium Management LLC’s latest ownership signals?

MarketInsiderLab currently publishes 2 verified recent ownership signals for Millennium Management LLC, with the latest tracked filing dated Jun 24, 2026. These come from Schedule 13D and 13G disclosures and are separate from the quarterly 13F portfolio.

How are Millennium Management LLC’s 13D and 13G filings different from the 13F portfolio?

A 13F is a delayed quarter-end holdings snapshot. Schedule 13D and 13G filings can disclose significant beneficial ownership between 13F reports, and a Schedule 13D can also reveal activist, strategic, board-related or control intentions.

What can Item 4 of a Schedule 13D reveal?

Item 4 describes the purpose of the transaction. It can matter even when the reported ownership percentage barely changes because the filing may disclose board activity, strategic proposals, transaction discussions or explicit control-related intentions. MarketInsiderLab publishes an intent classification only when the filing language supports it.

How fresh are Millennium Management LLC’s ownership signals?

The ownership engine records precise SEC scan timestamps. The latest recorded SEC scan for the current ownership pipeline was Sep 26, 2026 04:12 UTC. Published signals retain their source filing and processing timestamps.

Performance

Estimated 1Y performanceFiling-based estimate

—

Performance not publishedPerformance is not published for Institutional Giants because the bounded holdings universe does not support a verified portfolio-level return.

Coverage

Quarterly performanceBackend-published quarter legs within the 1Y estimate
——
——
——
——

Displayed legs are backend-ready filing-based estimates. They explain the path of the published 1Y result and are not summed or compounded in the browser.

Methodology—
What this measures

Estimated return from standardized SEC-reported portfolio observations using the approved filing-based methodology. It is not an actual transaction-level or realized investor return.

Performance is not published for Institutional Giants because the bounded holdings universe does not support a verified portfolio-level return.

Portfolio history

History loads when opened.

COMMON QUESTIONS

Millennium Management LLC Filing History FAQ

How verified quarter history, exits, re-entries and withheld periods are handled.

How far back does Millennium Management LLC’s verified filing history go?

The currently available canonical history runs from Q3 2021 through Q2 2026, with 20 quarters marked READY. This describes the verified history currently available in the tracker and does not claim completeness before the oldest supported filing.

Does filing history reveal exact buy and sell dates?

No. The history compares verified quarter-end disclosures. It can show that a position appeared, increased, decreased, remained unchanged or disappeared between filings, but it does not infer an exact transaction date that the SEC filing does not provide.

How are exits and later re-entries handled?

A full reported exit ends the prior filing-basis episode. If the security later reappears, the backend treats it as a new episode rather than carrying the old basis through the gap.

Why are some historical values unavailable?

Historical values are withheld when continuity, identity, price, filing-basis or source evidence is not strong enough to support the metric. The tracker is designed to fail closed rather than fill gaps with unsupported assumptions.

Methodology

This is a bounded selection from a 13F combination report. A portion is reported separately by another manager. The profile does not represent all investments, trades or performance. Quarters are reporting observations, not transaction dates.

1. Start with SEC filings

Official Form 13F filings and the canonical MarketInsiderLab filing record are authoritative. Unsupported or unverified data is withheld.

2. Verify the filing denominator

Portfolio weights use the verified full filing total. Security identity and corporate actions are reconciled before publication.

3. Compare quarter-end snapshots

Changes compare verified SEC-reported quarter-end positions. They do not represent exact trade dates, execution prices, or intraperiod activity.

What Form 13F can — and cannot — show

These pages track the reporting manager’s public 13F disclosures. A 13F is a delayed quarter-end snapshot, not a complete or real-time portfolio.

Reporting lag

Form 13F is generally due within 45 days after quarter-end. Snapshot and filing dates are shown separately, and positions may have changed before the filing became public. Amendments or later confidential-treatment releases can also revise the public record.

Portfolio scope

The filing mainly shows long positions in reportable 13F securities, not every asset or exposure. Cash, short positions, private investments, many bonds and other non-reportable holdings can sit outside the filing.

Options and security continuity

Reported puts and calls are kept separate from ordinary shares, and their reported values should not be read as cash invested. Share classes, ticker changes, splits and supported corporate actions are reconciled; unresolved identity or continuity issues are withheld.

Directory concentration filters

On Investor Portfolios, Concentrated means the top five reported holdings are at least 60% of reported portfolio value; Diversified means 35% or less. Profiles between those thresholds are in neither quick filter.

Estimate definitions

Reported filing data and calculated estimates are kept separate. Estimates are published only when the required inputs pass validation.

Latest available price

The latest verified price held by this tracker, dated as shown. It is not necessarily a live quote.

Quarter-end price (from filing)

Reported holding value divided by reported shares after unit validation. It is not a purchase price or an independently verified market close.

Estimated holding basis

A calculated per-share reference from verified filing history and split-adjusted reported changes. It is not actual purchase price or tax basis; a limited-history date marks the reference start.

1-year performance

Published only when four consecutive quarterly estimates pass QA and the weakest leg has at least 70% measurable coverage. Because the estimate is derived from quarter-end filing snapshots, it does not capture all intraperiod trading, cash or non-13F assets and is not an audited fund return.

≥90%  High coverage70–89.9%  Partial estimate<70%  Withheld

COMMON QUESTIONS

Millennium Management LLC Methodology FAQ

Sources, calculation rules, continuity checks and the fail-closed publication policy.

Where does MarketInsiderLab get Millennium Management LLC’s portfolio data?

The tracker is built from verified SEC filings, primarily Form 13F for portfolio holdings and Schedule 13D/13G for significant beneficial-ownership disclosures. Market-price layers are used only where the methodology explicitly allows them.

What is an SEC reference price?

It is an economic interpretation derived from the SEC-reported value and reported shares for a filing observation. It is not presented as the investor’s actual purchase price or execution price.

How are stock splits and other corporate actions handled?

Security continuity and corporate-action checks are applied before publishing history, basis and performance metrics. When continuity cannot be established confidently, affected calculations are withheld rather than forced across incompatible observations.

When does MarketInsiderLab withhold a metric or signal?

The system withholds output when required source evidence, security identity, continuity, price data or methodology conditions are not sufficient. This fail-closed policy is intentional: unsupported precision is not published.

MarketInsiderLab tracks what public filings actually show.

Research and context — not a recommendation to copy any investor’s trades.

Explore investor portfolios →

MarketInsiderLab tracks what public filings actually show.

Research and context — not a recommendation to copy any investor’s trades.

Explore investor portfolios →