A new Periodic Transaction Report filed with the U.S. House of Representatives shows that Hon. Michael Rulli purchased shares of Micron Technology, Inc. (MU) on June 25, 2026. The transaction, made personally by the member of Congress and held through a Merrill Lynch Managed Account, falls in the disclosed range of $1,001 to $15,000. Under … Read more
Proem Advisors LLC’s portfolio moves are tracked here quarter by quarter, based on the fund’s SEC Form 13F disclosures. These filings offer a snapshot of a firm’s U.S. equity holdings as of the end of each quarter, giving a window into what stocks are being bought, trimmed, or dropped by institutional managers. This page will … Read more
Daiwa Securities Group Inc.’s institutional portfolio moves, tracked quarter by quarter through its SEC Form 13F filings. Like many large asset managers, Daiwa’s disclosed U.S. equity holdings offer a periodic snapshot of where institutional capital is flowing, and this profile will be refreshed each quarter as new filings become available, giving readers a running history … Read more
This page tracks Boundless Plain Holdings Ltd’s institutional portfolio moves as disclosed in SEC Form 13F filings, updated every quarter as new filings become public. Rather than a one-time snapshot, it’s meant to be a running record of how this fund has repositioned its holdings over time, filing by filing. During the quarter ending 2026-06-30, … Read more
Teilinger Capital Ltd.’s portfolio moves are tracked here quarter by quarter, based on the fund’s SEC Form 13F filings. These filings offer a snapshot of the fund’s U.S. equity holdings at the end of each reporting period, giving a rolling picture of where institutional capital is shifting over time. This page will be updated as … Read more
This page tracks Valliance Asset Management Ltd’s institutional portfolio moves as disclosed in its SEC Form 13F filings, updated every quarter as new data becomes available. Rather than a one-off news snapshot, think of this as a running record of how the fund’s holdings shift over time — new positions, additions, trims, and exits — … Read more
Winslow Capital Management, LLC’s portfolio moves, tracked quarter by quarter. This profile follows the fund’s institutional equity holdings as disclosed in its quarterly SEC Form 13F filings, updated each reporting period with new positions, increases, decreases, and exits. Because 13F filings only report a quarterly snapshot rather than exact trade dates, all moves below reflect … Read more
Quarter Ending 2026-06-30 During the quarter ending 2026-06-30, SIMPLEX TRADING, LLC filed a 13F reflecting active repositioning across technology, industrials, and financial holdings. Notably, the fund opened two substantial new positions in SPACE EXPLORATION TECHN CORP, valued at $401,281,796 and $322,942,486, alongside a new stake in DIREXION SHARES ETF TRUST worth $36,845,186 and a new … Read more
Quarter Ending 2026-06-30 During the quarter ending 2026-06-30, Bridgewater Associates, LP made notable adjustments across its energy, industrial, and financial holdings. The fund sharply increased its stake in PG&E Corp (PCG), growing the position from $431,010 to $99,764,701, alongside a major build-up in Petroleo Brasileiro S A, which rose from $23,882,918 to $105,436,776. Other energy-related … Read more