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Rokos Capital Management LLP

Rokos Capital Management LLP · Investor
1Y performance ⓘ
+33%
AUM (13F)
$13.2B
# of Holdings
140
3Y performance ⓘ
+105%
vs S&P 500 ⓘ
+26%
Updated
Mar 31

Rokos Capital Management LLP's Rokos Capital Management LLP holds 140 U.S.-equity positions worth $13.2B (SEC 13F, Q1 2026). Top positions: Invesco Qqq Tr 26.3%, Meta Platforms, Inc. Class A Common Stock 8.4%, Alphabet Inc. Class A Common Stock 7.1%. 13F-replication return is +105% over 3 years (+26 pts vs the S&P 500) — a replicated, non-audited figure.

Holdings

Stock% of portfolio SharesValue Latest activityAvg buy price Current priceDate
QQQ Invesco Qqq Tr 26.3% 6.0M $3.5B ▼ 73% (−16.0M) $573.55 $742.78 (+30%) 2026-03-31
META Meta Platforms, Inc. Class A Common Stock 8.4% 2.0M $1.1B ▲ 745% (+1.7M) $583.89 $732.25 (+25%) 2026-03-31
GOOGL Alphabet Inc. Class A Common Stock 7.1% 3.3M $941M ▼ 46% (−2.8M) $254.19 $344.90 (+36%) 2026-03-31
NVDA NVIDIA CORP 6.8% 5.1M $896M ▼ 13% (−738K) $143.77 $230.82 (+61%) 2026-03-31
EEM Ishares Tr 4.2% 9.8M $559M ▲ 139914% (+9.8M) $56.78 $66.83 (+18%) 2026-03-31
ORCL Oracle Corp 3.7% 3.3M $488M ▼ 11% (−400K) $261.61 $138.05 (−47%) 2026-03-31
KRE Spdr Series Trust 3.0% 6.1M $398M NEW (+6.1M) $61.74 $68.69 (+11%) 2026-03-31
AAPL Apple Inc. 2.9% 1.5M $384M ▲ 135% (+869K) $252.02 $332.30 (+32%) 2026-03-31
XLP Select Sector Spdr Tr 1.6% 2.6M $215M ▲ 500% (+2.2M) $80.32 $80.30 (−0%) 2026-03-31
TSLA Tesla, Inc. 1.5% 545K $203M NEW (+545K) $358.18 $355.59 (−1%) 2026-03-31
TSM Taiwan Semiconductor Manufac 1.2% 454K $153M NEW (+454K) $289.15 $456.19 (+58%) 2026-03-31
PLTR Palantir Technologies Inc. Class A Common Stock 1.2% 1.0M $153M NEW (+1.0M) $142.00 $187.21 (+32%) 2026-03-31
XLV Select Sector Spdr Tr 1.1% 1.0M $152M ▼ 37% (−621K) $154.80 $168.22 (+9%) 2026-03-31
RSP Invesco Exchange Traded Fd T 1.0% 702K $135M NEW (+702K) $179.60 $208.17 (+16%) 2026-03-31
MU Micron Technology, Inc. 1.0% 393K $133M ▼ 72% (−1.0M) $132.53 $1,062.39 (+702%) 2026-03-31
EWZ Ishares Inc 1.0% 3.4M $130M ▼ 88% (−24.4M) $29.33 $37.17 (+27%) 2026-03-31
C Citigroup Inc. 0.9% 1.1M $120M — $97.97 $127.33 (+30%) 2026-03-31
SATS EchoStar Corporation 0.8% 956K $112M ▲ 48% (+309K) $60.75 — (+93%) 2026-03-31
EQT EQT CORP 0.8% 1.7M $111M — $35.74 $48.73 (+36%) 2026-03-31
RTX RTX Corporation 0.8% 556K $107M ▲ 804% (+495K) $187.47 $185.70 (−1%) 2026-03-31
CRWD CrowdStrike Holdings, Inc. Class A Common Stock 0.8% 267K $104M ▲ 23% (+51K) $111.94 $262.81 (+135%) 2026-03-31
XLE Select Sector Spdr Tr 0.7% 1.6M $97M ▼ 50% (−1.6M) $44.78 $61.56 (+37%) 2026-03-31
EXE Expand Energy Corporation Common Stock 0.7% 863K $95M — $110.36 $85.10 (−23%) 2026-03-31
HON Honeywell International, Inc. 0.7% 415K $94M NEW (+415K) $226.03 $210.84 (−7%) 2026-03-31
GEV GE Vernova Inc. 0.7% 98K $86M ▲ 7.7% (+7K) $345.62 $953.30 (+176%) 2026-03-31
XBI Spdr Series Trust 0.6% 660K $84M ▼ 67% (−1.3M) $105.69 $158.25 (+50%) 2026-03-31
LITE Lumentum Holdings Inc. Common Stock 0.6% 116K $81M ▼ 42% (−85K) $68.21 $983.62 (+1342%) 2026-03-31
BABA Alibaba Group Hldg Ltd 0.6% 626K $79M ▲ 41% (+183K) $140.71 $108.85 (−23%) 2026-03-31
AVGO Broadcom Inc. Common Stock 0.6% 237K $73M ▼ 85% (−1.3M) $276.98 $352.10 (+27%) 2026-03-31
GLNG Golar LNG Ltd 0.5% 1.2M $63M NEW (+1.2M) $54.11 $47.10 (−13%) 2026-03-31
LMT Lockheed Martin Corp. 0.5% 103K $62M NEW (+103K) $455.08 $509.75 (+12%) 2026-03-31
XLY Select Sector Spdr Tr 0.5% 558K $61M NEW (+558K) $108.10 $108.65 (+1%) 2026-03-31
AMAT Applied Materials Inc 0.5% 177K $61M ▼ 56% (−226K) $245.61 $528.75 (+115%) 2026-03-31
LHX L3Harris Technologies, Inc. 0.5% 173K $60M NEW (+173K) $336.23 $236.94 (−30%) 2026-03-31
COHR Coherent Corp. 0.4% 246K $59M ▼ 33% (−122K) $86.59 $289.90 (+235%) 2026-03-31
LRCX Lam Research Corp 0.4% 260K $56M ▲ 42% (+77K) $154.03 $339.09 (+120%) 2026-03-31
XOP Spdr Series Trust 0.4% 304K $55M NEW (+304K) $151.55 $180.28 (+19%) 2026-03-31
WDC Western Digital Corp. 0.4% 198K $54M ▼ 63% (−337K) $67.77 $454.27 (+570%) 2026-03-31
GLW Corning Incorporated 0.4% 393K $53M ▼ 6.4% (−27K) $70.90 $152.85 (+116%) 2026-03-31
PCG PG&E Corporation 0.4% 3.0M $53M ▼ 39% (−2.0M) $15.16 $12.05 (−20%) 2026-03-31
GS Goldman Sachs Group Inc. 0.4% 59K $50M ▼ 54% (−69K) $539.92 $894.26 (+66%) 2026-03-31
STX Seagate Technology Holdings PLC Ordinary Shares (Ireland) 0.4% 125K $49M ▼ 64% (−220K) $155.87 $919.79 (+490%) 2026-03-31
NTRA Natera, Inc. Common Stock 0.4% 243K $49M — $141.42 $415.50 (+194%) 2026-03-31
BMY Bristol-Myers Squibb Co. 0.4% 800K $49M NEW (+800K) $59.56 $62.48 (+5%) 2026-03-31
VLO Valero Energy Corporation 0.3% 187K $46M NEW (+187K) $247.08 $392.35 (+59%) 2026-03-31
V VISA Inc. 0.3% 152K $46M NEW (+152K) $302.24 $361.52 (+20%) 2026-03-31
JCI Johnson Controls International plc 0.3% 350K $46M NEW (+350K) $130.95 $150.68 (+15%) 2026-03-31
VST Vistra Corp. 0.3% 297K $45M ▼ 33% (−145K) $126.70 $141.01 (+11%) 2026-03-31
MA Mastercard Incorporated 0.3% 89K $44M NEW (+89K) $457.42 $554.07 (+21%) 2026-03-31
SPOT Spotify Technology S.A. 0.3% 90K $44M ▲ 106% (+47K) $605.42 $491.19 (−19%) 2026-03-31

Showing top 50 of 140 holdings by value.

Related ▾
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FAQ ▾

What are Rokos Capital Management LLP's largest holdings?

As of the latest 13F: Invesco Qqq Tr 26.3%, Meta Platforms, Inc. Class A Common Stock 8.4%, Alphabet Inc. Class A Common Stock 7.1%, NVIDIA CORP 6.8%, Ishares Tr 4.2%.

How big is Rokos Capital Management LLP's 13F portfolio?

$13.2B across 140 disclosed U.S.-equity positions.

What is Rokos Capital Management LLP's 3-year performance?

+105% (13F-replication, price return), +26 pts vs the S&P 500. Not an audited fund return.

Where does this data come from?

U.S. SEC Form 13F-HR institutional holdings filings.

Sourced from SEC Form 13F-HR filings · Not investment advice ▾
SEC EDGAR 13F
Data as of 2026-03-31 · Methodology
13F-replication (price return, filing-date based) — not an audited fund return.
Published by WealthFile · Not investment advice.

Latest activity = change vs. the prior 13F. Avg buy price = est. entry over the trailing 3 years (gain = vs. latest price). Returns are 13F-replication, not audited fund returns. Sourced from SEC 13F filings.