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Institutional 13F data

Jane Street Group, LLC

Quarterly holding changes are displayed with primary SEC 13F sources.

2026-03-31 · AMD · increased +34.7%

Shares
57,112,374
Share change
14,712,690
Value
$11,618,370,243
Filed
2026-05-12
AMDSEC EDGAR ↗

2026-03-31 · APP · increased +17.2%

Shares
5,840,061
Share change
857,074
Value
$2,324,344,278
Filed
2026-05-12
APPSEC EDGAR ↗

2026-03-31 · COIN · increased +0.7%

Shares
15,753,096
Share change
109,505
Value
$2,750,648,093
Filed
2026-05-12
COINSEC EDGAR ↗

2026-03-31 · CRM · increased +315.1%

Shares
25,235,286
Share change
19,155,959
Value
$4,710,670,838
Filed
2026-05-12
CRMSEC EDGAR ↗

2026-03-31 · CRWD · increased +79.4%

Shares
5,359,080
Share change
2,371,856
Value
$2,092,238,423
Filed
2026-05-12
CRWDSEC EDGAR ↗

2026-03-31 · DDOG · increased +20.2%

Shares
4,372,124
Share change
734,750
Value
$516,129,238
Filed
2026-05-12
DDOGSEC EDGAR ↗

2026-03-31 · DELL · increased +61.2%

Shares
17,220,300
Share change
6,537,732
Value
$2,826,367,839
Filed
2026-05-12
DELLSEC EDGAR ↗

2026-03-31 · GLBE · increased +188.6%

Shares
1,609,089
Share change
1,051,539
Value
$49,640,395
Filed
2026-05-12
GLBESEC EDGAR ↗

2026-03-31 · HIMS · increased +67.1%

Shares
13,375,570
Share change
5,371,040
Value
$277,676,833
Filed
2026-05-12
HIMSSEC EDGAR ↗

2026-03-31 · MRVL · increased +6.1%

Shares
29,441,690
Share change
1,692,689
Value
$2,916,199,395
Filed
2026-05-12
MRVLSEC EDGAR ↗

2026-03-31 · MSTR · decreased -5.1%

Shares
27,784,133
Share change
-1,493,141
Value
$3,467,459,798
Filed
2026-05-12
MSTRSEC EDGAR ↗

2026-03-31 · MU · increased +76.3%

Shares
44,692,337
Share change
19,342,174
Value
$15,098,859,132
Filed
2026-05-12
MUSEC EDGAR ↗

2026-03-31 · NET · increased +72.6%

Shares
4,833,139
Share change
2,032,943
Value
$997,269,901
Filed
2026-05-12
NETSEC EDGAR ↗

2026-03-31 · NFLX · increased +63.2%

Shares
63,195,555
Share change
24,472,788
Value
$6,076,252,613
Filed
2026-05-12
NFLXSEC EDGAR ↗

2026-03-31 · OKLO · decreased -3.9%

Shares
9,309,300
Share change
-377,797
Value
$461,648,187
Filed
2026-05-12
OKLOSEC EDGAR ↗

2026-03-31 · PLTR · increased +56.7%

Shares
67,278,035
Share change
24,343,743
Value
$9,841,430,960
Filed
2026-05-12
PLTRSEC EDGAR ↗

2026-03-31 · RDDT · decreased -1.1%

Shares
4,203,113
Share change
-46,748
Value
$565,949,165
Filed
2026-05-12
RDDTSEC EDGAR ↗

2026-03-31 · SNAP · decreased -6.2%

Shares
26,785,318
Share change
-1,770,458
Value
$123,212,462
Filed
2026-05-12
SNAPSEC EDGAR ↗

2026-03-31 · SNDK · increased +156.8%

Shares
7,511,354
Share change
4,586,372
Value
$4,772,263,651
Filed
2026-05-12
SNDKSEC EDGAR ↗

2026-03-31 · SNOW · increased +29.6%

Shares
8,562,108
Share change
1,955,543
Value
$1,291,337,128
Filed
2026-05-12
SNOWSEC EDGAR ↗

2026-03-31 · SOFI · increased +48.7%

Shares
101,196,978
Share change
33,142,521
Value
$1,607,008,011
Filed
2026-05-12
SOFISEC EDGAR ↗

2026-03-31 · TSLA · increased +19.5%

Shares
96,307,904
Share change
15,715,516
Value
$35,802,463,312
Filed
2026-05-12
TSLASEC EDGAR ↗

2026-03-31 · TSM · decreased -36.1%

Shares
17,904,427
Share change
-10,115,021
Value
$6,050,801,105
Filed
2026-05-12
TSMSEC EDGAR ↗

2026-03-31 · ZS · increased +33.3%

Shares
2,298,194
Share change
574,117
Value
$322,413,636
Filed
2026-05-12
ZSSEC EDGAR ↗