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SEC 13F filing

Two Sigma Investments 13F portfolio — Q2 2026

Two Sigma Investments reported $78.35B across its top 200 reported positions in its SEC Form 13F-HR for the quarter ended 2026-06-30, with WESTERN DIGITAL CORP the largest at $1.50B (1.91% of reported value). 13F positions are as of quarter-end and filed up to 45 days later — they are not current positions.

QuarterlyFlock's coverage of this filer runs through the quarter ended 2026-06-30 · view filing on SEC EDGAR · CIK 0001179392

Definition

A 13F filing is a quarterly SEC disclosure required of institutional investment managers with at least $100M in US-listed equity assets. It lists the manager's long US equity positions as of quarter-end and must be filed within 45 days of that date. Source: SEC EDGAR Form 13F-HR.

Two Sigma Investments holdings — Q2 2026

Flock stores the top 200 positions by value from this filing; the complete information table is on SEC EDGAR.

#HoldingTickerSharesValue% of reportedΔ shares vs Q1 2026
1WESTERN DIGITAL CORPWDC88,951,000$1.50B1.91%−275,000
2AMAZON COM INCAMZN5,848,287$1.39B1.78%−606,280
3NVIDIA CorpNVDA6,901,974$1.38B1.76%−5,151,571
4APPLE INCAAPL4,406,113$1.27B1.63%−1,679,030
5Tesla IncTSLA3,000,296$1.26B1.61%−115,803
6BERKSHIRE HATHAWAY INC DEL2,359,695$1.18B1.51%+668,905
7Intuitive Surgical IncISRG8,282,709$1.08B1.38%−1,501,400
8JPMORGAN CHASE & COJPM3,001,216$982.4M1.25%−522,372
9ASML HLDG NVASML491,805$978.4M1.25%+101,855
10Advanced Micro Devices IncAMD1,661,119$965.0M1.23%+278,115
11COSTCO WHOLESALE CORPORATIONCOST1,014,031$948.6M1.21%+122,938
12MASTERCARD INCORPORATEDMA1,845,239$947.7M1.21%+162,241
13ALPHABET INCGOOGL2,456,751$878.0M1.12%−2,353,777
14CITIGROUP INCC6,127,926$857.7M1.09%+1,674,159
15State Street SPDR S&P 500 ETF TrustSPY1,148,149$857.4M1.09%+331,156
16BOSTON SCIENTIFIC CORPBSX19,420,323$828.9M1.06%+10,004,092
17GOLDMAN SACHS GROUP INCGS806,845$816.0M1.04%+394,417
18Lockheed Martin CorpLMT1,578,736$804.3M1.03%+229,564
19SCHWAB CHARLES CORPSCHW8,501,355$784.4M1%+3,089,456
20KIMBERLY-CLARK CORPKMB7,115,332$781.0M1%+1,917,006
21TJX COS INC NEWTJX5,002,275$757.8M0.97%−275,693
22ABBOTT LABORATORIESABT8,221,115$746.0M0.95%+1,779,787
23T-MOBILE US INCTMUS4,443,802$745.4M0.95%+552,334
24ROBLOX CorpRBLX13,469,049$732.4M0.93%+1,316,581
25INTERACTIVE BROKERS GROUP INIBKR8,398,700$731.0M0.93%+2,029
26MORGAN STANLEYMS3,435,646$718.2M0.92%−318,066
27MICROSOFT CORPMSFT1,881,783$701.9M0.9%+399,046
28PROGRESSIVE CORPPGR3,036,004$663.2M0.85%−491,804
29Cloudflare IncNET2,625,383$644.0M0.82%−212,954
30MICRON TECHNOLOGY INCMU549,473$634.3M0.81%−1,767,271
31CHIPOTLE MEXICAN GRILL INCCMG18,601,784$632.5M0.81%+10,275,677
32WELLS FARGO & COWFC7,511,471$620.7M0.79%+5,773,084
33BLOOM ENERGY CORPBE2,042,432$618.2M0.79%−1,564,406
34EQUINIX INCEQIX576,841$601.3M0.77%+124,574
35RTX CORPORATION3,123,437$592.6M0.76%+1,167,254
36ILLINOIS TOOL WKS INCITW2,153,740$582.5M0.74%+685,665
37BRISTOL-MYERS SQUIBB COBMY10,092,383$581.5M0.74%−1,496,823
38SANDISK CORPSNDK251,375$571.6M0.73%−550,451
39INTUITINTU2,183,507$569.9M0.73%+2,175,507
40ALNYLAM PHARMACEUTICALS INCALNY1,875,937$564.7M0.72%−116,640
41Guardant Health IncGH3,742,701$561.5M0.72%−486,830
42WASTE CONNECTIONS INCWCN3,245,893$541.1M0.69%−198,159
43CME GROUP INCCME2,420,121$534.4M0.68%+1,266,663
44ROSS STORES INCROST2,446,237$520.7M0.66%−366,053
45Airbnb IncABNB3,563,565$509.9M0.65%+104,794
46MODERNA INCMRNA7,242,430$507.2M0.65%−1,964,574
47THE CIGNA GROUPCI1,819,210$501.5M0.64%+1,177,862
48AMERICAN AIRLINES GROUP INCAAL27,439,583$495.8M0.63%+13,259,465
49Ionis Pharmaceuticals IncIONS6,252,342$495.7M0.63%+394,713
50AERCAP HOLDINGS NVAER3,397,489$495.3M0.63%−138,110

Showing the top 50 of 200 stored positions by value.

Disclosures shown are public regulatory filings. Data may be delayed or incomplete. Smart-money entities may no longer hold positions shown. Not investment advice.

Changes vs Q1 2026

Share-count changes between the Q1 2026 and Q2 2026 filings, matched position by position. Value deltas include the quarter's price move, so rankings key on share changes first. Two Sigma Investments's portfolio is larger than the positions tracked here (Flock stores the top 200 by value for its largest filings), so exits cannot be determined from the stored data and are not listed.

New positions

  • SELECT SECTOR SPDR TR (CUSIP 81369Y506)+5,819,502 sh · +$309.1M
  • SPACE EXPLORATION TECHN CORP+1,775,121 sh · +$303.3M
  • Intercontinental Exchange Inc+2,029,234 sh · +$249.8M
  • FORTIVE CORP+3,209,327 sh · +$196.1M
  • SUPER MICRO COMPUTER INC (CUSIP 86800U500)+3,153,643 sh · +$163.9M

Largest increases

  • Advanced Micro Devices Inc+278,115 sh · +$683.6M
  • INTUIT+2,175,507 sh · +$566.4M
  • WELLS FARGO & CO+5,773,084 sh · +$482.4M
  • GOLDMAN SACHS GROUP INC+394,417 sh · +$467.1M
  • ASML HLDG NV+101,855 sh · +$463.4M
  • AMGEN INC+1,042,301 sh · +$378.3M
  • TEXAS INSTRS INC+1,165,640 sh · +$371.2M
  • BERKSHIRE HATHAWAY INC DEL+668,905 sh · +$370.5M
  • CHIPOTLE MEXICAN GRILL INC+10,275,677 sh · +$365.9M
  • CITIGROUP INC+1,674,159 sh · +$352.6M

Largest decreases

  • NVIDIA Corp−5,151,571 sh · −$721.1M
  • ADOBE INC−2,045,467 sh · −$539.1M
  • Palantir Technologies Inc−2,654,149 sh · −$511.3M
  • ALPHABET INC−2,353,777 sh · −$505.3M
  • Broadcom Inc−1,713,123 sh · −$488.4M
  • ARISTA NETWORKS INC−2,731,824 sh · −$278.1M
  • APPLE INC−1,679,030 sh · −$269.4M
  • ALBEMARLE CORP−878,351 sh · −$223.6M
  • REGENERON PHARMACEUTICALS−156,112 sh · −$218.4M
  • DELL TECHNOLOGIES INC−2,312,434 sh · −$173.5M

Disclosures shown are public regulatory filings. Data may be delayed or incomplete. Smart-money entities may no longer hold positions shown. Not investment advice.

Two Sigma Investments 13F filing history

QuarterQuarter endPositions storedReported value
Q2 20262026-06-30200 (top by value)$78.35B
Q1 20262026-03-313724$123.93B
Q4 20252025-12-31200 (top by value)$37.34B
Q3 20252025-09-30200 (top by value)$38.47B
Q2 20252025-06-30200 (top by value)$33.44B

Frequently asked questions

What is Two Sigma Investments's largest 13F holding?

WESTERN DIGITAL CORP was Two Sigma Investments's largest reported position for the quarter ended 2026-06-30, valued at $1.50B — 1.91% of the $78.35B in reported holdings. Figures come from the fund's SEC Form 13F-HR. Not investment advice.

How many positions did Two Sigma Investments report for Q2 2026?

Flock stores the top 200 positions by value from Two Sigma Investments's Q2 2026 13F filing, worth $78.35B combined. The full filing reports more positions; the source link on this page opens the complete information table on SEC EDGAR.

Which quarter does Two Sigma Investments's 13F data here cover?

Flock's coverage of Two Sigma Investments runs through the quarter ended 2026-06-30. SEC rules give institutional managers up to 45 days after quarter-end to file Form 13F-HR, so the disclosure became public after that date. Positions are as of the quarter-end, not current positions.

What did Two Sigma Investments add in Q2 2026?

Versus its prior stored quarter (Q1 2026), Two Sigma Investments's Q2 2026 13F shows share-count increases or newly reported positions including Advanced Micro Devices Inc, INTUIT, WELLS FARGO & CO. The quarter-over-quarter tables on this page list the largest changes with share and value deltas. Not investment advice.

What is a 13F filing?

Form 13F-HR is a quarterly SEC disclosure required of institutional investment managers with at least $100M in US-listed equity assets. It lists the manager's long US equity positions as of quarter-end and must be filed within 45 days of that date. It excludes shorts, most bonds, and non-US listings.

How current is this data?

13F positions are as of quarter-end and filed up to 45 days later, so they are never current positions. Flock's coverage of Two Sigma Investments runs through the quarter ended 2026-06-30. Flock re-checks SEC EDGAR daily and re-stamps this page when a new quarterly filing lands.

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