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Renaissance Technologies

Renaissance Technologies Portfolio holdings

AUM $63.9B
1-Year Est. Return 45.56%
 

Renaissance Technologies LLC, founded in 1982 by mathematician James Simons as Monemetrics and headquartered in East Setauket, New York, is a legendary quantitative hedge fund managing around $65 billion in assets as of late 2024, renowned for its pioneering use of mathematical models and algorithms in trading. Starting with currency trading and evolving into a secretive powerhouse under its flagship Medallion Fund—launched in 1988—the firm employs PhDs, physicists, and computer scientists to analyze vast datasets, executing high-frequency trades across equities, futures, and derivatives with returns averaging over 66% annually before fees from 1988 to 2018. Simons, who stepped down as chairman in 2021, built a culture of intellectual rigor, limiting Medallion to employees and insiders since 1993 while offering institutional funds like the Renaissance Institutional Equities Fund (RIEF) to outsiders. Now led by Peter Brown and Robert Mercer’s successors, Renaissance remains a benchmark for quant investing, blending academic precision with a low-profile, extraordinarily profitable legacy despite occasional regulatory scrutiny.

This Fund
S&P 500
This Quarter Est. Return
+9.73%
1 Year Est. Return
+45.56%
3 Year Est. Return
+129.95%
5 Year Est. Return
+153.6%
10 Year Est. Return
+738.07%
AUM
$80.4B
AUM Growth
-$11.7B
Cap. Flow
-$16B
Cap. Flow %
-19.95%
Top 10 Hldgs %
10.17%
Holding
3,937
New
591
Increased
1,069
Reduced
1,579
Closed
676

Top Buys

Rank Stock Value
1
TSLA icon
Tesla
TSLA
+$427M
2
ROKU icon
Roku
ROKU
+$393M
3
PARA
Paramount Global Class B
PARA
+$345M
4
T icon
AT&T
T
+$317M
5
QCOM icon
Qualcomm
QCOM
+$293M

Top Sells

Rank Stock Value
1
BIDU icon
Baidu
BIDU
+$1.41B
2
PDD icon
Pinduoduo
PDD
+$755M
3
BMY icon
Bristol-Myers Squibb
BMY
+$716M
4
ABBV icon
AbbVie
ABBV
+$558M
5
CMG icon
Chipotle Mexican Grill
CMG
+$491M

Sector Composition

Rank Sector Weight
1 Healthcare 19.43%
2 Technology 17.52%
3 Communication Services 11.4%
4 Consumer Discretionary 10.59%
5 Consumer Staples 10.17%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
MED icon
76
Medifast
MED
$110M
$189M 0.24%
894,410
-116,100
-11% -$27.8M
IBM icon
77
IBM
IBM
$209B
$185M 0.23%
1,455,524
+1,164,108
+399% +$139M
TS icon
78
Tenaris
TS
$28.6B
$184M 0.23%
8,118,300
-1,717,800
-17% -$32.8M
GIS icon
79
General Mills
GIS
$19.4B
$183M 0.23%
2,991,188
-2,532,300
-46% -$146M
BTG icon
80
B2Gold
BTG
$5.13B
$182M 0.23%
42,262,955
+1,756,100
+4% +$8.57M
KO icon
81
Coca-Cola
KO
$381B
$182M 0.23%
+3,444,500
New +$173M
MBT
82
DELISTED
Mobile TeleSystems Public Joint Stock Company American Depositary Shares (Each representing 2 Shares
MBT
$180M 0.22%
21,586,474
-2,264,450
-9% -$19.9M
NEM icon
83
Newmont
NEM
$101B
$180M 0.22%
2,984,569
-1,820,537
-38% -$109M
HSBC icon
84
HSBC
HSBC
$367B
$174M 0.22%
5,975,843
-1,692,626
-22% -$48.4M
BDX icon
85
Becton Dickinson
BDX
$45.6B
$171M 0.21%
721,181
+591,220
+455% +$144M
DHR icon
86
Danaher
DHR
$138B
$171M 0.21%
854,805
-270,641
-24% -$55M
VIRT icon
87
Virtu Financial
VIRT
$5.15B
$170M 0.21%
5,485,507
+706,100
+15% +$19.5M
UI icon
88
Ubiquiti
UI
$32.3B
$170M 0.21%
569,882
-101,600
-15% -$32M
WBD icon
89
Warner Bros
WBD
$63.9B
$168M 0.21%
+3,857,550
New +$193M
PCRX icon
90
Pacira BioSciences
PCRX
$1.06B
$162M 0.2%
2,314,797
-310,262
-12% -$22.2M
XOM icon
91
ExxonMobil
XOM
$651B
$162M 0.2%
+2,904,213
New +$152M
FTS icon
92
Fortis
FTS
$29.3B
$161M 0.2%
3,714,895
-560,268
-13% -$23M
MCD icon
93
McDonald's
MCD
$191B
$161M 0.2%
717,500
+529,700
+282% +$113M
TCOM icon
94
Trip.com Group
TCOM
$29.3B
$160M 0.2%
4,049,151
-2,429,582
-38% -$90M
DG icon
95
Dollar General
DG
$28.1B
$160M 0.2%
787,376
+636,384
+421% +$126M
CCOI icon
96
Cogent Communications
CCOI
$663M
$156M 0.19%
2,275,256
-421,900
-16% -$25.8M
TSM icon
97
TSMC
TSM
$2.09T
$156M 0.19%
+1,318,520
New +$163M
USNA icon
98
Usana Health Sciences
USNA
$409M
$153M 0.19%
1,568,000
-154,966
-9% -$14.1M
RCI icon
99
Rogers Communications
RCI
$18.4B
$152M 0.19%
3,287,722
-332,100
-9% -$15.5M
SNP
100
DELISTED
CHINA PETROLEUM & CHEMICAL CORPORATION ADS (REP 100 ORDINARY H SHARES)
SNP
$151M 0.19%
2,870,190
-185,014
-6% -$9.67M

Similar funds

Renaissance Technologies's Q1 2021 Portfolio in Review

As of Q1 2021, Renaissance Technologies held 3,937 positions worth $80.4B, down 13% from $92.1B the previous quarter. Its ten largest holdings account for 10% of the portfolio.

Renaissance Technologies withdrew a net $16B in Q1 2021, closing 676 positions and reducing 1,579 holdings. Its most notable exit was Micron Technology, an estimated $252M position sold in full.

By sector, the portfolio is most concentrated in Healthcare at 19% of assets, down from 21% a quarter earlier, followed by Technology and Communication Services.

Against the trend, Renaissance Technologies opened a new position in Paramount Global Class B worth $255M.

  • Renaissance Technologies's largest Q1 2021 buy was Paramount Global Class B: 5,644,997 shares worth $255M.
  • Renaissance Technologies added most to Tesla in Q1 2021, an estimated $427M increase.
  • Renaissance Technologies's biggest Q1 2021 reduction was Baidu, cutting an estimated $1.41B.
  • Renaissance Technologies fully exited Micron Technology in Q1 2021, selling an estimated $252M.
  • Renaissance Technologies's ten largest holdings make up 10% of its $80.4B portfolio in Q1 2021.
  • Renaissance Technologies opened 591 new positions and closed 676 in Q1 2021.
  • Renaissance Technologies's portfolio value fell 13% quarter-over-quarter to $80.4B.

Based on Renaissance Technologies's 13F filing for Q1 2021, filed 13 May 2021.