Millennium Management

Millennium Management Portfolio holdings

AUM $112B
1-Year Return 13.71%
 

Millennium Management, founded in 1989 by Israel (Izzy) Englander and Ronald Shear and headquartered in New York City, is a global multi-strategy hedge fund managing over $71 billion in assets as of late 2024, employing a decentralized model with over 300 independent trading teams. Operating across equities, fixed income, commodities, currencies, and derivatives, the firm uses a mix of quantitative and fundamental strategies, providing its portfolio managers with capital, infrastructure, and autonomy to pursue diverse investment approaches while enforcing strict risk management. With more than 5,400 employees across offices in London, Hong Kong, Singapore, and beyond, Millennium has evolved from its initial $35 million seed capital—partly from the Belzberg family—into a titan of the hedge fund world, known for its ability to attract top talent and deliver consistent returns. Under Englander’s leadership as chairman and CEO, the firm remains a low-profile yet highly influential force in global finance.

This Quarter Return
+4.58%
1 Year Return
+13.71%
3 Year Return
+41.74%
5 Year Return
+76.27%
10 Year Return
+245.84%
AUM
$71.4B
AUM Growth
-$6.31B
Cap. Flow
-$11.6B
Cap. Flow %
-16.27%
Top 10 Hldgs %
9.88%
Holding
5,398
New
1,163
Increased
1,425
Reduced
1,788
Closed
782

Sector Composition

1 Technology 17.5%
2 Healthcare 13.64%
3 Consumer Discretionary 11.41%
4 Financials 10.82%
5 Industrials 9.28%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TTC icon
1301
Toro Company
TTC
$7.68B
$10.5M 0.01%
101,719
+86,541
+570% +$8.93M
MGRC icon
1302
McGrath RentCorp
MGRC
$3.02B
$10.5M 0.01%
129,609
+76,074
+142% +$6.14M
SYNH
1303
DELISTED
Syneos Health, Inc. Class A Common Stock
SYNH
$10.5M 0.01%
137,778
-497,587
-78% -$37.7M
SBII.U
1304
DELISTED
Sandbridge X2 Corp. Units, each consisting of one share of Class A common stock and one-third of one redeemable warrant
SBII.U
$10.4M 0.01%
+1,045,000
New +$10.4M
ALTR
1305
DELISTED
Altair Engineering Inc. Class A Common Stock
ALTR
$10.4M 0.01%
166,818
+13,381
+9% +$837K
FOXA icon
1306
Fox Class A
FOXA
$28B
$10.4M 0.01%
288,463
-1,182,444
-80% -$42.7M
PAAS icon
1307
Pan American Silver
PAAS
$15.3B
$10.4M 0.01%
346,706
+258,877
+295% +$7.77M
AMPI.U
1308
DELISTED
Advanced Merger Partners, Inc. Units, each consisting of one share of Class A common stock and one-sixth of one redeemable warrant
AMPI.U
$10.4M 0.01%
+1,041,000
New +$10.4M
CLDX icon
1309
Celldex Therapeutics
CLDX
$1.66B
$10.4M 0.01%
505,163
+299,241
+145% +$6.16M
JPST icon
1310
JPMorgan Ultra-Short Income ETF
JPST
$33.5B
$10.4M 0.01%
204,948
+125,410
+158% +$6.37M
PCH icon
1311
PotlatchDeltic
PCH
$3.21B
$10.4M 0.01%
196,408
+189,472
+2,732% +$10M
INFI
1312
DELISTED
Infinity Pharmaceuticals, Inc.
INFI
$10.4M 0.01%
3,215,498
+2,341,544
+268% +$7.56M
ATC
1313
DELISTED
Atotech Limited
ATC
$10.4M 0.01%
+511,490
New +$10.4M
ALT icon
1314
Altimmune
ALT
$324M
$10.4M 0.01%
732,742
+355,554
+94% +$5.02M
OPA.U
1315
DELISTED
Magnum Opus Acquisition Limited Units, each consisting of one Class A ordinary share and one-half redeemable warrant
OPA.U
$10.3M 0.01%
+1,045,971
New +$10.3M
ARBG
1316
DELISTED
Aequi Acquisition Corp. Class A Common Stock
ARBG
$10.3M 0.01%
+1,071,479
New +$10.3M
AWI icon
1317
Armstrong World Industries
AWI
$8.47B
$10.3M 0.01%
114,728
-317,214
-73% -$28.6M
LINX
1318
DELISTED
Linx S.A.
LINX
$10.3M 0.01%
1,555,334
-56,829
-4% -$377K
RVLV icon
1319
Revolve Group
RVLV
$1.67B
$10.3M 0.01%
229,628
+203,243
+770% +$9.13M
ACRE
1320
Ares Commercial Real Estate
ACRE
$267M
$10.3M 0.01%
751,044
+266,471
+55% +$3.66M
SAVA icon
1321
Cassava Sciences
SAVA
$101M
$10.3M 0.01%
+228,976
New +$10.3M
OLED icon
1322
Universal Display
OLED
$6.52B
$10.2M 0.01%
43,199
+12,498
+41% +$2.96M
AEGN
1323
DELISTED
Aegion Corp
AEGN
$10.2M 0.01%
355,756
+245,347
+222% +$7.05M
LUMN icon
1324
Lumen
LUMN
$6.3B
$10.2M 0.01%
766,058
-2,073,688
-73% -$27.7M
LOTZ
1325
DELISTED
CarLotz, Inc. Class A Common Stock
LOTZ
$10.2M 0.01%
1,434,392
+108,493
+8% +$774K