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
+3.2%
1 Year Return
+13.71%
3 Year Return
+41.74%
5 Year Return
+76.27%
10 Year Return
+245.84%
AUM
$90.9B
AUM Growth
+$15.4B
Cap. Flow
+$11.8B
Cap. Flow %
12.93%
Top 10 Hldgs %
11.4%
Holding
6,405
New
898
Increased
2,063
Reduced
2,021
Closed
841

Sector Composition

1 Technology 17.11%
2 Financials 14.3%
3 Healthcare 13.21%
4 Consumer Discretionary 10.53%
5 Industrials 9.69%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
IPVF
1376
DELISTED
InterPrivate III Financial Partners Inc.
IPVF
$12.1M 0.01%
1,217,389
+56,738
+5% +$562K
RIGL icon
1377
Rigel Pharmaceuticals
RIGL
$681M
$12M 0.01%
454,687
+49,695
+12% +$1.32M
GDYN icon
1378
Grid Dynamics Holdings
GDYN
$642M
$12M 0.01%
316,840
+103,435
+48% +$3.93M
IPAXU
1379
DELISTED
Inflection Point Acquisition Corp. Units
IPAXU
$12M 0.01%
1,203,901
+3,901
+0.3% +$38.9K
HTPA
1380
DELISTED
Highland Transcend Partners I Corp.
HTPA
$12M 0.01%
1,210,734
+243,849
+25% +$2.42M
HCVIU
1381
DELISTED
Hennessy Capital Investment Corp. VI Unit
HCVIU
$12M 0.01%
1,200,664
+664
+0.1% +$6.64K
BYND icon
1382
Beyond Meat
BYND
$205M
$12M 0.01%
184,196
+117,407
+176% +$7.65M
LTHM
1383
DELISTED
Livent Corporation
LTHM
$12M 0.01%
491,319
-724,742
-60% -$17.7M
CUBI icon
1384
Customers Bancorp
CUBI
$2.32B
$12M 0.01%
183,199
+159,651
+678% +$10.4M
BNAI
1385
Brand Engagement Network
BNAI
$12.8M
$12M 0.01%
1,229,998
+649,998
+112% +$6.32M
QSR icon
1386
Restaurant Brands International
QSR
$20.6B
$12M 0.01%
197,025
-180,724
-48% -$11M
FTCV
1387
DELISTED
FinTech Acquisition Corp. V Class A Common Stock
FTCV
$11.9M 0.01%
1,203,342
+49,575
+4% +$492K
DNAB
1388
DELISTED
Social Capital Suvretta Holdings Corp. II Class A Ordinary Shares
DNAB
$11.9M 0.01%
1,205,480
-146,919
-11% -$1.45M
DNAD
1389
DELISTED
Social Capital Suvretta Holdings Corp. IV Class A Ordinary Shares
DNAD
$11.9M 0.01%
1,213,472
-53,080
-4% -$521K
BOH icon
1390
Bank of Hawaii
BOH
$2.7B
$11.9M 0.01%
142,174
+73,238
+106% +$6.13M
NFYS.U
1391
DELISTED
Enphys Acquisition Corp. Units, each consisting of one Class A ordinary share and one-half of one redeemable warrant
NFYS.U
$11.9M 0.01%
+1,200,000
New +$11.9M
ROSS
1392
DELISTED
Ross Acquisition Corp II
ROSS
$11.9M 0.01%
1,218,711
-290,589
-19% -$2.84M
CCVI
1393
DELISTED
Churchill Capital Corp VI
CCVI
$11.9M 0.01%
1,216,232
+188,932
+18% +$1.85M
BSKY
1394
DELISTED
Big Sky Growth Partners, Inc. Class A Common Stock
BSKY
$11.9M 0.01%
1,223,536
+1,139,548
+1,357% +$11.1M
NXRT
1395
NexPoint Residential Trust
NXRT
$858M
$11.9M 0.01%
141,708
+120,532
+569% +$10.1M
WPCA
1396
DELISTED
Warburg Pincus Capital Corporation I-A
WPCA
$11.9M 0.01%
1,211,687
+290,214
+31% +$2.84M
ODP icon
1397
ODP
ODP
$624M
$11.9M 0.01%
301,706
+62,942
+26% +$2.47M
HSII icon
1398
Heidrick & Struggles
HSII
$1.03B
$11.8M 0.01%
270,967
+177,114
+189% +$7.74M
CYH icon
1399
Community Health Systems
CYH
$412M
$11.8M 0.01%
889,922
+644,737
+263% +$8.58M
EWC icon
1400
iShares MSCI Canada ETF
EWC
$3.26B
$11.8M 0.01%
307,945
+144,111
+88% +$5.54M