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Group One Trading

Group One Trading Portfolio holdings

AUM $52.2B
1-Year Est. Return 104.56%
This Fund
S&P 500
This Quarter Est. Return
+20.36%
1 Year Est. Return
+104.56%
3 Year Est. Return
+314.05%
5 Year Est. Return
+338.55%
10 Year Est. Return
+1,561.13%
AUM
$26B
AUM Growth
-$12B
Cap. Flow
-$15.4B
Cap. Flow %
-59.14%
Top 10 Hldgs %
26.02%
Holding
8,334
New
1,055
Increased
1,987
Reduced
3,543
Closed
1,412

Top Buys

Rank Stock Value
1
BABA icon
Alibaba
BABA
+$58M
2
ARM icon
Arm
ARM
+$57M
3
COIN icon
Coinbase
COIN
+$30.9M
4
MSFT icon
Microsoft
MSFT
+$30.2M
5
AMZN icon
Amazon
AMZN
+$28.8M

Sector Composition

Rank Sector Weight
1 Technology 3.22%
2 Financials 1.78%
3 Consumer Discretionary 1.72%
4 Healthcare 1.04%
5 Communication Services 0.79%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
KEX icon
7501
CALL
Kirby Corp
KEX
$7.86B
-26,700
Closed -$2.1M
KEX icon
7502
PUT
Kirby Corp
KEX
$7.86B
-12,500
Closed -$981K
KFRC icon
7503
Kforce
KFRC
$1.04B
-88
Closed -$6.02K
KFY icon
7504
CALL
Korn Ferry
KFY
$4.26B
-100
Closed -$5.93K
NXDR
7505
CALL
Nextdoor Holdings
NXDR
$881M
-202,800
Closed -$383K
KMX icon
7506
CarMax
KMX
$8.36B
-1,987
Closed -$150K
KN icon
7507
CALL
Knowles
KN
$3.1B
-8,100
Closed -$145K
KNSA icon
7508
CALL
Kiniksa Pharmaceuticals
KNSA
$6.13B
-8,000
Closed -$140K
KNSA icon
7509
PUT
Kiniksa Pharmaceuticals
KNSA
$6.13B
-8,000
Closed -$140K
KNOP icon
7510
KNOT Offshore Partners
KNOP
$355M
-6,665
Closed -$37.5K
KO icon
7511
Coca-Cola
KO
$379B
-88,752
Closed -$5.33M
KOS icon
7512
Kosmos Energy
KOS
$1.39B
-13,821
Closed -$83.1K
KREF
7513
KKR Real Estate Finance Trust
KREF
$471M
-744
Closed -$8.16K
KRRO icon
7514
Korro Bio
KRRO
$151M
-4
Closed -$218
KT icon
7515
KT
KT
$8.93B
-307
Closed -$4.23K
KW
7516
PUT
DELISTED
Kennedy-Wilson Holdings
KW
-800
Closed -$9.9K
KXIN icon
7517
Kaixin Holdings
KXIN
$8.93M
-4
Closed -$97.3K
KXIN icon
7518
PUT
Kaixin Holdings
KXIN
$8.93M
-6
Closed -$136K
KZR
7519
CALL
DELISTED
Kezar Life Sciences
KZR
-10
Closed -$95
L icon
7520
Loews
L
$24.6B
-395
Closed -$29.2K
LAD icon
7521
Lithia Motors
LAD
$8.21B
-2,915
Closed -$862K
LAD icon
7522
PUT
Lithia Motors
LAD
$8.21B
-800
Closed -$263K
LASR icon
7523
CALL
nLIGHT
LASR
$3.55B
-5,500
Closed -$74.3K
LASR icon
7524
PUT
nLIGHT
LASR
$3.55B
-300
Closed -$4.05K
LAUR icon
7525
CALL
Laureate Education
LAUR
$5.24B
-5,300
Closed -$72.7K

Similar funds

Group One Trading's Q1 2024 Portfolio in Review

As of Q1 2024, Group One Trading held 8,334 positions worth $26B, down 32% from $38B the previous quarter. Its ten largest holdings account for 26% of the portfolio.

Group One Trading withdrew a net $15.4B in Q1 2024, closing 1,412 positions and reducing 3,543 holdings. Its most notable exit was Mirati Therapeutics, Inc. Common Stock, an estimated $24.3M position sold in full.

By sector, the portfolio is most concentrated in Technology at 3.2% of assets, up from 2.3% a quarter earlier, followed by Financials and Consumer Discretionary.

Against the trend, Group One Trading opened a new position in Arm worth $67.3M.

  • Group One Trading's largest Q1 2024 buy was Arm: 538,130 shares worth $67.3M.
  • Group One Trading added most to Alibaba in Q1 2024, an estimated $58M increase.
  • Group One Trading's biggest Q1 2024 reduction was NVIDIA, cutting an estimated $61.3M.
  • Group One Trading fully exited Mirati Therapeutics, Inc. Common Stock in Q1 2024, selling an estimated $24.3M.
  • Group One Trading's ten largest holdings make up 26% of its $26B portfolio in Q1 2024.
  • Group One Trading opened 1,055 new positions and closed 1,412 in Q1 2024.
  • Group One Trading's portfolio value fell 32% quarter-over-quarter to $26B.

Based on Group One Trading's 13F filing for Q1 2024, filed 10 May 2024.