StockScan > Holders > Millennium Management

Millennium Management's Portfolio and 13F Filing

Value: $133.27B
Website:
CIK: 0001273087
Phone: 212-841-4100
Address: 666 Fifth Avenue, New York, NY (10103-0899)
Latest 13F Filing:
Millennium Management's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
21 Tesla, Inc. TSLA $170.18 369,222

4,839,124

up arrow 4,469,902

$823,522,122 0.62%
22 SPDR Select Sector Fund - Finan XLF $40.88 12,336,312

18,556,341

up arrow 6,220,029

$758,583,220 0.57%
23 Bank of America Corporation BAC $37.91 11,762,098

19,984,241

up arrow 8,222,143

$757,602,576 0.57%
24 The Procter Gamble Company PG $162.54 2,445,484

4,513,338

up arrow 2,067,854

$733,597,959 0.55%
25 Visa Inc. V $275.16 1,372,508

2,448,310

up arrow 1,075,802

$673,676,980 0.51%
26 Marathon Petroleum Corporation MPC $199.51 2,189,335

3,130,321

up arrow 940,986

$624,530,343 0.47%
27 Dupont De Nemours Inc DD $73.50 1,848,783

8,193,776

up arrow 6,344,993

$602,242,536 0.45%
28 Berkshire Hathaway Inc BRK.B $404.91 1,414,895

1,477,580

up arrow 62,685

$598,286,918 0.45%
29 Exxon Mobil Corporation XOM $121.33 439,369

4,909,673

up arrow 4,470,304

$595,690,625 0.45%
30 Morgan Stanley MS $92.56 3,443,477

6,323,341

up arrow 2,879,864

$585,288,443 0.44%
31 Wells Fargo & Company WFC $59.93 2,702,953

9,501,442

up arrow 6,798,489

$569,421,419 0.43%
32 Cisco Systems, Inc. CSCO $48.10 4,041,984

11,635,897

up arrow 7,593,913

$559,686,646 0.42%
33 Lockheed Martin Corporation LMT $464.78 278,211

1,154,589

up arrow 876,378

$536,629,875 0.40%
34 The Home Depot Inc HD $331.98 1,811,510

1,597,384

up arrow -214,126

$530,299,540 0.40%
35 Mastercard Incorporated MA $462.11 1,224,842

1,139,417

up arrow -85,425

$526,535,990 0.40%
36 Oasis Petroleum Inc OAS $142.94 N/A 3,668,585 $524,387,540 0.39%
37 Walt Disney Company (The) DIS $112.77 1,628,435

4,226,204

up arrow 2,597,769

$476,589,025 0.36%
38 Applied Materials, Inc. AMAT $197.50 1,862,686

2,340,273

up arrow 477,587

$462,203,918 0.35%
39 SPDR Select Sector Fund - Consu XLY $174.34 719,172

2,648,213

up arrow 1,929,041

$461,689,454 0.35%
40 Caterpillar, Inc. CAT $338.00 844,619

1,346,885

up arrow 502,266

$455,247,130 0.34%