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Home/Hedge Funds/Millennium Management/Q3 2020

Millennium Management

Period: Q3 2020 Β· Filed: 2020-11-16
View on SEC EDGAR β†—
AUM
$4.22B
Total portfolio value
Positions
329
Reported securities
Top Holding
AAPL
4.0% $168.2M
QoQ Changes
+8 / -8
new Β· exited
⚠️13F Filing Disclosure

AUM figures shown are calculated by summing the reported market value of all positions in SEC 13F-HR filings β€” not the fund's actual assets under management.

  • Excludes cash, bonds, private equity, short positions, and foreign-listed stocks not required to be reported.
  • For PUT and CALL options, the reported Value is the notional value of the underlying shares β€” not the option premium paid. This significantly overstates the actual capital at risk.
  • Actual fund AUM is typically higher and includes strategies, instruments, and positions that never appear in a 13F.
  • 13F filings cover institutional managers with β‰₯$100M in 13F securities. Positions reflect end-of-quarter holdings, disclosed up to 45 days after the period ends.

Data sourced from SEC EDGAR. This tracker is for informational purposes only and does not constitute investment advice.

Portfolio Holdings

Top 30 positions

⚠️ Performance % calculated from filing date ( 2020-11-16) shown is the underlying stock price movement β€” not the derivative's P&L.
TickerIssuerNotionalPort %@ FilingNow (EOD)Since FilingAllocation
AAPLAPPLE INC$168.2M3.99%$112.33$308.63+174.8%
4.0%
AMZNAMAZON COM INC$146.6M3.47%$157.44$242.67+54.1%
3.5%
MSFTMICROSOFT CORP$134.6M3.19%$200.40$390.49+94.9%
3.2%
METAFACEBOOK INC$75.4M1.79%$259.62$582.90+124.5%
1.8%
VVISA INC$63.8M1.51%$191.76$362.13+88.8%
1.5%
INTCINTEL CORP$61.1M1.45%$46.47$120.35+159.0%
1.4%
PYPLPAYPAL HLDGS INC$55.2M1.31%$195.34$45.47-76.7%
1.3%
EBAYEBAY INC.$51.9M1.23%$47.31$114.84+142.7%
1.2%
SPGIS&P GLOBAL INC$51.1M1.21%$325.10$439.89+35.3%
1.2%
ADBEADOBE SYSTEMS INCORPORATED$50.2M1.19%$490.43$219.72-55.2%
1.2%
LOWLOWES COS INC$48.5M1.15%$149.37$227.50+52.3%
1.1%
ATVIACTIVISION BLIZZARD INC$48.3M1.14%β€”β€”
1.1%
AMDADVANCED MICRO DEVICES INC$46.5M1.10%$81.99$517.82+531.6%
1.1%
MRKMERCK & CO. INC$46.3M1.10%$66.04$129.56+96.2%
1.1%
FDXFEDEX CORP$44.5M1.05%$182.27$313.00+71.7%
1.1%
PFEPFIZER INC$43.3M1.03%$26.13$24.32-6.9%
1.0%
CSXCSX CORP$38.6M0.92%$23.99$48.89+103.8%
0.9%
WMTWALMART INC$37.1M0.88%$43.24$111.84+158.7%
0.9%
WDAYWORKDAY INC$36.4M0.86%$215.13$135.40-37.1%
0.9%
BMYBRISTOL-MYERS SQUIBB CO$34.7M0.82%$47.65$58.13+22.0%
0.8%
GOOGLALPHABET INC$33.5M0.79%$72.64$359.91+395.5%
0.8%
JNJJOHNSON & JOHNSON$32.7M0.77%$126.87$263.04+107.3%
0.8%
MASMASCO CORP$32.6M0.77%$49.79$82.77+66.2%
0.8%
DXCMDEXCOM INC$31.9M0.76%$103.06$71.25-30.9%
0.8%
CRMSALESFORCE COM INC$31.9M0.76%$247.05$166.11-32.8%
0.8%
EQIXEQUINIX INC$31.4M0.74%$680.83$1002.02+47.2%
0.7%
ICEINTERCONTINENTAL EXCHANGE IN$30.0M0.71%$92.93$132.99+43.1%
0.7%
HOLXHOLOGIC INC$29.4M0.70%β€”β€”
0.7%
AMATAPPLIED MATLS INC$29.4M0.70%$56.62$603.04+965.1%
0.7%
KSUKANSAS CITY SOUTHERN$28.5M0.68%β€”β€”
0.7%

Quarter-on-Quarter Activity

Q3 2020 vs. Q2 2020

New Positions (8)

TickerIssuerNotional
LRCXXXXXLAM RESEARCH CORP$22.6M
XLNXXILINX INC$20.6M
MELIMERCADOLIBRE INC$15.5M
OPTUALTICE USA INC$14.6M
LMTLOCKHEED MARTIN CORP$14.0M
EXASEXACT SCIENCES CORP$13.9M
ADIANALOG DEVICES INC$13.8M
CLXCLOROX CO DEL$13.2M

Exited Positions (8)

TickerIssuerNotional
MXIMMAXIM INTEGRATED PRODS INC$29.5M
NVDANVIDIA CORPORATION$29.4M
MCDMCDONALDS CORP$25.5M
OXYOCCIDENTAL PETE CORP$21.4M
VARVARIAN MED SYS INC$16.5M
GMGENERAL MTRS CO$16.1M
ABBVABBVIE INC$15.9M
MIDDMIDDLEBY CORP$13.8M

Increased (8)

TickerIssuerNotionalShares Ξ”
BABOEING CO$11.4M+4600.1%
COSTCOSTCO WHSL CORP NEW$17.9M+2062.2%
AFLAFLAC INC$2.1M+775.6%
MARMARRIOTT INTL INC NEW$12.3M+758.4%
CCLCARNIVAL CORP$19.7M+556.5%
OKEONEOK INC NEW$17.6M+382.9%
MOSMOSAIC CO NEW$6.6M+358.0%
TSLATESLA INC$9.1M+343.9%

Trimmed (8)

TickerIssuerNotionalShares Ξ”
MROMARATHON OIL CORP$-4.8M-98.2%
DVNDEVON ENERGY CORP NEW$-11.1M-97.4%
UAAUNDER ARMOUR INC$-7.2M-97.3%
XYZSQUARE INC$-19.0M-97.2%
UNMUNUM GROUP$-8.7M-96.9%
STTSTATE STR CORP$-12.1M-94.5%
CMCSACOMCAST CORP NEW$-24.2M-90.3%
FTITECHNIPFMC PLC$-1.8M-89.7%
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