Citadel Advisors LLC 13F portfolio

Latest 13F filing: 2026-05-15. Reported holdings: 6733, total reported value $618.5B. Data straight from SEC EDGAR.

New positions

StockValueSharesChange
Astrazeneca PLC$519M2,632,743+100%
Pinnacle FINL Partners INC$285M3,311,141+100%
Echostar CORP$197M54,966,000+100%
Forgent Power Solutions INC$141M4,830,181+100%
Versant Media Group INC$118M3,194,120+100%
Veradermics INC$115M1,825,672+100%
Indivior Pharmaceuticals INC$113M3,705,044+100%
UGI CORP NEW$101M72,000,000+100%
Ionis Pharmaceuticals INC$88M58,000,000+100%
2023 ETF Series Trust$81M2,668,731+100%

Exits

StockValueSharesChange
Seagate HDD Cayman$0K0-100%
Dynavax Technologies CORP$0K0-100%
Bridgebio Pharma INC$0K0-100%
Granite Constr INC$0K0-100%
Jetblue Airways CORP$0K0-100%
Freshpet INC$0K0-100%
LIVE Nation Entertainment IN$0K0-100%
Transmedics Group INC$0K0-100%
PPL CAP FDG INC$0K0-100%
Mirum Pharmaceuticals INC$0K0-100%

Positions this fund shares with other tracked managers (consensus picks): Amazon COM INC, Microsoft CORP, Taiwan Semiconductor Manufac, Sandisk CORP, Nvidia Corporation, Alphabet INC, Chevron Corporation, Palantir Technologies INC.

DataSignals Lab publishes data and research. Informational only, not investment advice, not an offer or solicitation. Every figure links back to the official filing so you can verify it yourself.