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Institutional 13F data

D. E. Shaw & Co., Inc. 13F

See 3,032 stock and ETF positions for Q1 2026, including 1,525 new or increased positions and 1,856 reductions or exits, with the original SEC filing. Put and call options are excluded.

13F filing follow-along calculator

If KRW 1,000,000 followed the new and increased positions

Checking current prices and calculating the KRW 1,000,000 result.

D. E. Shaw & Co., Inc. 13F top holdings

Q1 2026 · 3,032 stock & ETF positions · Filed 2026-05-15 · Data updated 2026-07-07

View original SEC filings

Ranked by quarter-end stock and ETF value reported on Form 13F. Put and call options are excluded. These are not current market values or execution prices.

Reported stock & ETF value
$130.38B
Top 10 concentration
14.4%
Reported value
$2.42B
Portfolio weight
1.46%

Quarterly change: increased +89.5%

Reported value
$2.28B
Portfolio weight
1.92%

Quarterly change: decreased -10.2%

Reported value
$1.97B
Portfolio weight
1.66%

Quarterly change: increased +76.5%

Reported value
$1.77B
Portfolio weight
1.49%

Quarterly change: increased +28.5%

Reported value
$1.67B
Portfolio weight
1.01%

Quarterly change: decreased -11.3%

Reported value
$1.62B
Portfolio weight
1.36%

Quarterly change: increased +87.5%

#8
BSXBOSTON SCIENTIFIC CORP
Reported value
$1.53B
Portfolio weight
1.28%

Quarterly change: increased +116.1%

#10
GOOGALPHABET INC
Reported value
$1.43B
Portfolio weight
1.20%

Quarterly change: increased +143.6%

#11
HDHOME DEPOT INC
Reported value
$1.24B
Portfolio weight
1.04%

Quarterly change: increased +49.6%

Largest new or increased positions

Reported value
$2.42B
Portfolio weight
1.46%

Quarterly change: increased +89.5%

Reported value
$1.97B
Portfolio weight
1.66%

Quarterly change: increased +76.5%

Reported value
$1.77B
Portfolio weight
1.49%

Quarterly change: increased +28.5%

Reported value
$1.62B
Portfolio weight
1.36%

Quarterly change: increased +87.5%

#5
BSXBOSTON SCIENTIFIC CORP
Reported value
$1.53B
Portfolio weight
1.28%

Quarterly change: increased +116.1%

#6
GOOGALPHABET INC
Reported value
$1.43B
Portfolio weight
1.20%

Quarterly change: increased +143.6%

#7
HDHOME DEPOT INC
Reported value
$1.24B
Portfolio weight
1.04%

Quarterly change: increased +49.6%

Latest 13F filing snapshot

Reporting period
2026-03-31
Filed
2026-05-15
Stock & ETF positions
3,032
New or increased
1,525
Reduced or exited
1,856
Unchanged
180

Top reported buys

BLZEPENGEVCTMCI

Counts cover unique stock and ETF positions and exclude put and call options, so they can differ from the SEC information-table row count. Form 13F reports quarter-end holdings and does not reveal every trade date or execution price.

View original SEC filings

Detailed changes for published stocks

2026-03-31 · ALAB · decreased -33.0%

Shares
1,834,161
Share change
-903,393
Reported value
$201,024,046
Filed
2026-05-15
ALABSEC EDGAR ↗

2026-03-31 · AMR · decreased -34.9%

Shares
152,097
Share change
-81,539
Reported value
$31,220,951
Filed
2026-05-15
AMRSEC EDGAR ↗

2026-03-31 · ARM · decreased -33.3%

Shares
1,290,920
Share change
-644,492
Reported value
$195,290,377
Filed
2026-05-15
ARMSEC EDGAR ↗

2026-03-31 · ATOM · increased +1567.9%

Shares
975,623
Share change
917,129
Reported value
$3,717,124
Filed
2026-05-15
ATOMSEC EDGAR ↗

2026-03-31 · AUPH · increased +2.7%

Shares
1,572,983
Share change
41,354
Reported value
$23,311,608
Filed
2026-05-15
AUPHSEC EDGAR ↗

2026-03-31 · AUR · decreased -14.9%

Shares
29,335,125
Share change
-5,136,232
Reported value
$120,860,715
Filed
2026-05-15
AURSEC EDGAR ↗

2026-03-31 · CAR · decreased -60.4%

Shares
367,325
Share change
-560,263
Reported value
$53,574,352
Filed
2026-05-15
CARSEC EDGAR ↗

2026-03-31 · CRCL · increased +1882.8%

Shares
4,244,025
Share change
4,029,983
Reported value
$404,922,425
Filed
2026-05-15
CRCLSEC EDGAR ↗

2026-03-31 · EXTR · increased +2.6%

Shares
1,470,448
Share change
37,263
Reported value
$22,174,356
Filed
2026-05-15
EXTRSEC EDGAR ↗

2026-03-31 · GCO · decreased -21.7%

Shares
285,126
Share change
-79,020
Reported value
$8,265,802
Filed
2026-05-15
GCOSEC EDGAR ↗

2026-03-31 · HOOD · increased +30.0%

Shares
8,222,169
Share change
1,897,424
Reported value
$569,796,311
Filed
2026-05-15
HOODSEC EDGAR ↗

2026-03-31 · KMX · decreased -17.7%

Shares
3,252,317
Share change
-699,466
Reported value
$135,231,341
Filed
2026-05-15
KMXSEC EDGAR ↗

2026-03-31 · RDW · new position

Shares
2,447,881
Share change
2,447,881
Reported value
$20,806,989
Filed
2026-05-15
RDWSEC EDGAR ↗

2026-03-31 · RKLB · decreased -33.0%

Shares
5,445,261
Share change
-2,681,994
Reported value
$349,694,662
Filed
2026-05-15
RKLBSEC EDGAR ↗

2026-03-31 · SOFI · increased +1.9%

Shares
54,555,908
Share change
1,017,235
Reported value
$866,347,819
Filed
2026-05-15
SOFISEC EDGAR ↗

2026-03-31 · UA · decreased -12.5%

Shares
2,838,717
Share change
-405,531
Reported value
$16,436,172
Filed
2026-05-15
UASEC EDGAR ↗