13F holder portfolio

George Soros Portfolio

What does George Soros (Soros Fund Management) own?

This public teaser shows the top reported holdings by portfolio weight, plus summary information from Soros Fund Management's latest available 13F filing as of Mar 31, 2026.

This public page shows a limited holdings teaser from the latest available 13F snapshot. A 13F is filed quarterly about 45 days after quarter-end and does not show shorts, cash, bonds, many foreign holdings, or positions below reporting thresholds.

Source: SEC 13F filings. Published Jun 18, 2026. Filing snapshot Mar 31, 2026.

Investor
George Soros
13F manager
Soros Fund Management
Manager CIK
0001029160

Investing approach

George Soros's most recent 13F (Mar 31, 2026) reports 248 positions worth $8.5B, with 63 new and 0 closed. The largest holdings by weight are STATE STR SPDR S&P 500 ETF T (9.08%), AMAZON COM INC (4.75%), SELECT SECTOR SPDR TR (3.55%). 13F filings disclose long U.S. equity positions only and are filed up to 45 days after quarter-end.

Portfolio summary

As ofMar 31, 2026
Portfolio value
$8.5B
Positions
248
New positions
63
Sold positions
0

Reported holdings

Holdings are sorted by reported weight. Market value, shares, and issuer names are rendered only when the 13F holder endpoint returns them.

TickerIssuerMarket valueWeightShares
SPYSTATE STR SPDR S&P 500 ETF T$772,864,0569.08%1,188,400
AMZNAMAZON COM INC$405,249,4754.75%1,945,789
XLESELECT SECTOR SPDR TR$303,138,9843.55%4,948,400
CRWVCOREWEAVE INC$220,022,5472.58%2,840,100
GPNGLOBAL PMTS INC$218,206,7552.56%0

Largest reported 13F holdings from the latest filing snapshot.

Methodology and caveats

QuantLink fetches this holder profile from the verified FastAPI 13F holder endpoint and renders a limited public teaser from the returned portfolio fields. We sort holdings by returned portfolio weight and do not fabricate missing issuers, market values, shares, weights, or performance.

A Form 13F is a quarterly snapshot that institutional investment managers generally file about 45 days after quarter-end. The data can lag the manager's current portfolio.

13F filings cover US-listed long equity positions only. They do not show shorts, cash, bonds, many foreign securities, private investments, derivatives outside required reporting, or smaller positions below reporting thresholds.

Position changes can reflect buys, sells, corporate actions, price movement, portfolio rebalancing, manager reporting changes, or security identifier changes between quarterly filings.

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QuantLink is a research tool, not investment advice. This page reports public 13F filing data and does not claim to show a manager's full current portfolio, intent, private holdings, cash, shorts, bonds, or investment performance.