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JO

John Overdeck

TWO SIGMA INVESTMENTS, LP · Investor
AUM (13F)
$120.5B
# of Holdings
3054
3Y performance ⓘ
vs S&P 500 ⓘ
Updated
Mar 31

John Overdeck's TWO SIGMA INVESTMENTS, LP holds 3054 U.S.-equity positions worth $120.5B (SEC 13F, Q1 2026). Top positions: NVIDIA CORP 1.7%, Apple Inc. 1.2%, Alphabet Inc. Class A Common Stock 1.1%.

Holdings

Stock% of portfolio SharesValue Latest activityAvg buy price Current priceDate
NVDA NVIDIA CORP 1.7% 12.1M $2.1B ▲ 520% (+10.1M) $162.25 $200.75 (+24%) 2026-03-31
AAPL Apple Inc. 1.2% 6.1M $1.5B ▲ 340% (+4.7M) $245.98 $308.91 (+26%) 2026-03-31
GOOGL Alphabet Inc. Class A Common Stock 1.1% 4.8M $1.4B ▲ 833% (+4.3M) $274.30 $356.13 (+30%) 2026-03-31
AMZN Amazon.Com Inc 1.1% 6.5M $1.3B ▲ 374% (+5.1M) $210.75 $271.58 (+29%) 2026-03-31
TSLA Tesla, Inc. 0.9% 3.1M $1.2B ▲ 324% (+2.4M) $361.49 $311.21 (−14%) 2026-03-31
JPM JPMorgan Chase & Co. 0.8% 3.5M $1.0B ▲ 721% (+3.1M) $295.80 $351.79 (+19%) 2026-03-31
PLTR Palantir Technologies Inc. Class A Common Stock 0.8% 6.8M $996M ▲ 244% (+4.8M) $132.12 $123.06 (−7%) 2026-03-31
COST Costco Wholesale Corp 0.7% 891K $888M ▲ 244% (+632K) $938.67 $951.89 (+1%) 2026-03-31
TJX TJX Companies, Inc. (The) 0.7% 5.3M $843M ▲ 204% (+3.5M) $154.61 $157.34 (+2%) 2026-03-31
MA Mastercard Incorporated 0.7% 1.7M $841M ▲ 281% (+1.2M) $483.56 $573.10 (+19%) 2026-03-31
TMUS T-Mobile US, Inc. 0.7% 3.9M $817M ▲ 229% (+2.7M) $218.20 $172.71 (−21%) 2026-03-31
LMT Lockheed Martin Corp. 0.7% 1.3M $815M ▲ 177% (+863K) $555.84 $582.74 (+5%) 2026-03-31
BRK.B BERKSHIRE HATHAWAY Class B 0.7% 1.7M $810M ▲ 91% (+807K) $491.13 $511.54 (+4%) 2026-03-31
MU Micron Technology, Inc. 0.6% 2.3M $783M ▲ 115% (+1.2M) $251.96 $823.03 (+227%) 2026-03-31
ADBE Adobe Inc. 0.6% 3.1M $764M ▲ 324% (+2.4M) $289.23 $250.41 (−13%) 2026-03-31
AVGO Broadcom Inc. Common Stock 0.6% 2.3M $720M ▲ 7403% (+2.3M) $309.73 $389.28 (+26%) 2026-03-31
BMY Bristol-Myers Squibb Co. 0.6% 11.6M $703M ▲ 149% (+6.9M) $54.76 $65.31 (+19%) 2026-03-31
PGR Progressive Corporation 0.6% 3.5M $699M ▲ 273% (+2.6M) $212.89 $211.42 (−1%) 2026-03-31
RBLX Roblox Corporation 0.6% 12.2M $687M ▲ 304% (+9.1M) $57.93 $35.60 (−39%) 2026-03-31
ABT Abbott Laboratories 0.5% 6.4M $661M NEW (+6.4M) $102.72 $105.70 (+3%) 2026-03-31
ALNY Alnylam Pharmaceuticals, Inc. 0.5% 2.0M $659M ▲ 223% (+1.4M) $338.36 $205.52 (−39%) 2026-03-31
ISRG Intuitive Surgical Inc. 0.5% 1.4M $652M ▲ 207% (+954K) $468.85 $353.33 (−25%) 2026-03-31
WDC 3 11/15/28 Western Digital Corp 0.5% 89.2M $639M ▲ 43% (+26.6M) $1.32 (+440%) 2026-03-31
REGN Regeneron Pharmaceuticals Inc 0.5% 812K $628M ▲ 189% (+531K) $721.43 $762.63 (+6%) 2026-03-31
MS Morgan Stanley 0.5% 3.8M $618M ▲ 233% (+2.6M) $160.60 $210.42 (+31%) 2026-03-31
ROST Ross Stores Inc 0.5% 2.8M $609M ▲ 341% (+2.2M) $208.28 $251.07 (+21%) 2026-03-31
BSX Boston Scientific Corp. 0.5% 9.4M $591M ▲ 280% (+6.9M) $70.82 $46.73 (−34%) 2026-03-31
NET Cloudflare, Inc. Class A common stock, par value $0.001 per share 0.5% 2.8M $586M ▲ 125% (+1.6M) $160.79 $278.98 (+74%) 2026-03-31
IBKR Interactive Brokers Group, Inc. Class A Common Stock 0.5% 8.4M $563M ▲ 135% (+4.8M) $58.34 $87.99 (+51%) 2026-03-31
WCN Waste Connections, Inc. 0.5% 3.4M $559M ▲ 219% (+2.4M) $167.15 $167.38 (+0%) 2026-03-31
META Meta Platforms, Inc. Class A Common Stock 0.5% 975K $558M ▲ 306% (+735K) $576.90 $556.71 (−3%) 2026-03-31
MSFT MICROSOFT CORP 0.4% 1.5M $549M ▲ 160% (+913K) $369.74 $464.72 (+26%) 2026-03-31
SPY State Str Spdr S&p 500 Etf T 0.4% 817K $531M ▲ 48% (+264K) $568.62 $747.03 (+31%) 2026-03-31
ASML Asml Hldg Nv 0.4% 390K $515M ▲ 495% (+324K) $1,274.11 $1,629.00 (+28%) 2026-03-31
SNDK Sandisk Corporation Common Stock 0.4% 802K $509M ▲ 12% (+87K) $239.71 $1,214.83 (+407%) 2026-03-31
SCHW The Charles Schwab Corporation 0.4% 5.4M $509M ▲ 106% (+2.8M) $87.32 $105.24 (+21%) 2026-03-31
DELL Dell Technologies Inc. 0.4% 3.1M $506M ▲ 103% (+1.6M) $144.22 $405.37 (+181%) 2026-03-31
C Citigroup Inc. 0.4% 4.5M $505M ▲ 138% (+2.6M) $107.27 $132.45 (+23%) 2026-03-31
KMB Kimberly-Clark Corp. 0.4% 5.2M $501M ▲ 146% (+3.1M) $98.78 $109.31 (+11%) 2026-03-31
NOW SERVICENOW, INC. 0.4% 4.7M $492M ▲ 191% (+3.1M) $121.28 $111.23 (−8%) 2026-03-31
BE Bloom Energy Corporation 0.4% 3.6M $489M ▲ 85% (+1.7M) $76.59 $205.81 (+169%) 2026-03-31
AER Aercap Holdings N.V. 0.4% 3.5M $485M ▲ 130% (+2.0M) $125.25 $150.90 (+20%) 2026-03-31
ANET Arista Networks 0.4% 3.9M $485M ▲ 132% (+2.2M) $110.13 $180.35 (+64%) 2026-03-31
WM Waste Management, Inc. 0.4% 2.1M $471M ▲ 126% (+1.1M) $222.24 $226.55 (+2%) 2026-03-31
MRNA Moderna, Inc. Common Stock 0.4% 9.2M $468M ▲ 25% (+1.8M) $35.22 $54.82 (+56%) 2026-03-31
UNH UNITEDHEALTH GROUP INCORPORATED (Delaware) 0.4% 1.7M $465M ▲ 1042% (+1.6M) $275.63 $414.40 (+50%) 2026-03-31
GM General Motors Company 0.4% 6.1M $452M ▲ 83% (+2.8M) $65.36 $88.86 (+36%) 2026-03-31
EQIX Equinix, Inc. Common Stock REIT 0.4% 452K $443M ▲ 66% (+179K) $855.02 $1,019.28 (+19%) 2026-03-31
IONS Ionis Pharmaceuticals, Inc. Common Stock 0.3% 5.9M $440M ▲ 120% (+3.2M) $66.00 $51.77 (−22%) 2026-03-31
ABNB Airbnb, Inc. Class A Common Stock 0.3% 3.5M $437M ▲ 81% (+1.5M) $127.90 $151.52 (+18%) 2026-03-31

Showing top 50 of 3054 holdings by value.

Related
NVDA stockAAPL stockGOOGL stockAMZN stockAll hedge funds
FAQ

What are John Overdeck's largest holdings?

As of the latest 13F: NVIDIA CORP 1.7%, Apple Inc. 1.2%, Alphabet Inc. Class A Common Stock 1.1%, Amazon.Com Inc 1.1%, Tesla, Inc. 0.9%.

How big is TWO SIGMA INVESTMENTS, LP's 13F portfolio?

$120.5B across 3054 disclosed U.S.-equity positions.

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.