Imc-Chicago, LLC Top Holdings and 13F Report (2024) About Imc-Chicago, LLCInvestment ActivityImc-Chicago, LLC has $164.04 billion in total holdings as of June 30, 2024.Imc-Chicago, LLC owns shares of 2,762 different stocks, but just 107 companies or ETFs make up 80% of its holdings.Approximately 26.31% of the portfolio was purchased this quarter.About 12.44% of the portfolio was sold this quarter.This quarter, Imc-Chicago, LLC has purchased 2,495 new stocks and bought additional shares in 1,589 stocks.Imc-Chicago, LLC sold shares of 624 stocks and completely divested from 279 stocks this quarter.Largest Holdings SPDR S&P 500 ETF TR $26,120,383,120NVIDIA CORPORATION $11,616,972,714NVIDIA CORPORATION $10,142,930,496SPDR S&P 500 ETF TR $9,029,317,286INVESCO QQQ TR $5,730,826,354 Largest New Holdings this Quarter SPDR S&P 500 ETF Trust $582,259,890 HoldingTesla $249,209,083 HoldingJPMorgan Chase & Co. $91,308,659 HoldingChipotle Mexican Grill $43,598,699 HoldingiShares 7-10 Year Treasury Bond ETF $32,998,139 Holding Largest Purchases this Quarter NVIDIA CORPORATION 82,411,400 shares (about $10.18B)NVIDIA CORPORATION 70,622,000 shares (about $8.72B)ISHARES TR 9,310,900 shares (about $1.89B)BROADCOM INC 687,900 shares (about $1.10B)ISHARES TR 4,914,100 shares (about $997.02M) Largest Sales this Quarter SPDR S&P 500 ETF TR 16,673,000 shares (about $9.07B)SPDR S&P 500 ETF TR 4,766,300 shares (about $2.59B)INVESCO QQQ TR 4,329,900 shares (about $2.07B)INVESCO QQQ TR 2,875,900 shares (about $1.38B)SUPER MICRO COMPUTER INC 387,400 shares (about $317.42M) Sector Allocation Over TimeMap of 500 Largest Holdings ofImc-Chicago, LLC Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorSPDR S&P 500 ETF TR$26,120,383,120$9,073,780,060 ▼-25.8%47,996,00015.9%TR UNITNVIDIA CORPORATION$11,616,972,714$10,181,104,356 ▲709.1%94,034,1007.1%COMNVIDIA CORPORATION$10,142,930,496$8,724,641,880 ▲615.2%82,102,4006.2%COMSPDR S&P 500 ETF TR$9,029,317,286$2,593,915,786 ▼-22.3%16,591,3005.5%TR UNITINVESCO QQQ TR$5,730,826,354$1,377,872,449 ▼-19.4%11,961,4003.5%UNIT SER 1INVESCO QQQ TR$3,314,051,781$2,074,498,389 ▼-38.5%6,917,1002.0%UNIT SER 1TESLA INC$3,060,689,112$94,764,732 ▼-3.0%15,467,4001.9%COMMETA PLATFORMS INC$2,806,135,566$159,232,676 ▲6.0%5,565,3001.7%CL AAPPLE INC$2,669,292,570$778,662,140 ▲41.2%12,673,5001.6%COMTESLA INC$2,445,697,860$113,563,332 ▲4.9%12,359,5001.5%COMMETA PLATFORMS INC$2,288,553,736$38,774,518 ▲1.7%4,538,8001.4%CL ABROADCOM INC$2,206,961,538$1,104,444,087 ▲100.2%1,374,6001.3%COMBROADCOM INC$2,108,703,102$863,132,928 ▲69.3%1,313,4001.3%COMISHARES TR$1,902,702,420$1,889,088,501 ▲13,876.2%9,378,0001.2%RUSSELL 2000 ETFAPPLE INC$1,871,611,444$445,714,044 ▲31.3%8,886,2001.1%COMMICROSOFT CORP$1,849,881,355$353,805,620 ▲23.6%4,138,9001.1%COMAMAZON COM INC$1,808,452,825$705,922,925 ▲64.0%9,358,1001.1%COMMICROSOFT CORP$1,761,742,815$107,983,120 ▲6.5%3,941,7001.1%COMMICROSTRATEGY INC$1,659,587,904$26,998,608 ▲1.7%1,204,8001.0%CL A NEWSUPER MICRO COMPUTER INC$1,464,096,515$138,306,280 ▲10.4%1,786,9000.9%COMMICROSTRATEGY INC$1,361,501,232$184,306,824 ▼-11.9%988,4000.8%CL A NEWSUPER MICRO COMPUTER INC$1,266,387,360$317,416,190 ▼-20.0%1,545,6000.8%COMAMAZON COM INC$1,245,322,325$104,567,575 ▼-7.7%6,444,1000.8%COMNETFLIX INC$1,162,143,360$58,512,096 ▲5.3%1,722,0000.7%COMNETFLIX INC$1,016,234,304$35,093,760 ▼-3.3%1,505,8000.6%COMISHARES TR$1,011,345,783$997,021,749 ▲6,960.5%4,984,7000.6%RUSSELL 2000 ETFADVANCED MICRO DEVICES INC$970,794,408$240,735,861 ▲33.0%5,984,8000.6%COMADVANCED MICRO DEVICES INC$882,357,516$121,998,141 ▲16.0%5,439,6000.5%COMCHIPOTLE MEXICAN GRILL INC$855,203,825$842,373,105 ▲6,565.3%13,650,5000.5%COMELI LILLY & CO$772,379,678$132,004,404 ▲20.6%853,1000.5%COMALPHABET INC$759,510,855$152,641,700 ▼-16.7%4,169,7000.5%CAP STK CL ABOOKING HOLDINGS INC$689,697,150$128,352,600 ▲22.9%174,1000.4%COMCHIPOTLE MEXICAN GRILL INC$659,873,655$652,612,520 ▲8,987.7%10,532,7000.4%COMCOSTCO WHSL CORP NEW$601,707,921$44,369,478 ▲8.0%707,9000.4%COMSPYSPDR S&P 500 ETF Trust$582,259,890$582,259,890 ▲New Holding1,069,8980.4%FinanceELI LILLY & CO$544,404,994$16,658,992 ▲3.2%601,3000.3%COMJPMORGAN CHASE & CO.$534,128,208$257,355,624 ▲93.0%2,640,8000.3%COMCOINBASE GLOBAL INC$529,329,637$18,489,536 ▼-3.4%2,381,9000.3%COM CL AADOBE INC$513,485,622$128,996,388 ▲33.6%924,3000.3%COMADOBE INC$501,485,958$86,053,146 ▲20.7%902,7000.3%COMALPHABET INC$491,677,495$186,867,685 ▼-27.5%2,699,3000.3%CAP STK CL ASPDR DOW JONES INDL AVERAGE$490,750,811$93,167,166 ▲23.4%1,254,7000.3%UT SER 1COSTCO WHSL CORP NEW$487,639,263$58,989,306 ▼-10.8%573,7000.3%COMALPHABET INC$482,101,128$13,719,816 ▼-2.8%2,628,4000.3%CAP STK CL CASML HOLDING N V$446,421,645$161,079,975 ▲56.5%436,5000.3%N Y REGISTRY SHSVANECK ETF TRUST$435,890,400$68,876,940 ▲18.8%1,672,0000.3%SEMICONDUCTR ETFCOINBASE GLOBAL INC$422,992,582$40,045,846 ▼-8.6%1,903,4000.3%COM CL AJPMORGAN CHASE & CO.$418,030,968$144,170,928 ▲52.6%2,066,8000.3%COMSPDR GOLD TR$417,742,929$122,211,684 ▼-22.6%1,942,9000.3%GOLD SHSALIBABA GROUP HLDG LTD$410,443,200$105,321,600 ▲34.5%5,700,6000.3%SPONSORED ADSSPDR GOLD TR$410,153,076$240,467,184 ▼-37.0%1,907,6000.3%GOLD SHSBOOKING HOLDINGS INC$398,923,050$6,338,400 ▲1.6%100,7000.2%COMALPHABET INC$379,019,088$7,355,142 ▼-1.9%2,066,4000.2%CAP STK CL CLAM RESEARCH CORP$362,794,395$58,779,720 ▲19.3%340,7000.2%COMISHARES TR$362,439,220$361,163,478 ▲28,310.1%3,949,0000.2%20 YR TR BD ETFCROWDSTRIKE HLDGS INC$360,850,023$27,321,447 ▲8.2%941,7000.2%CL ATAIWAN SEMICONDUCTOR MFG LTD$358,483,125$120,537,235 ▲50.7%2,062,5000.2%SPONSORED ADSBOEING CO$357,777,057$22,987,863 ▼-6.0%1,965,7000.2%COMSALESFORCE INC$352,509,810$187,425,900 ▲113.5%1,371,1000.2%COMPDD HOLDINGS INC$344,287,320$128,828,550 ▲59.8%2,589,6000.2%SPONSORED ADSMICRON TECHNOLOGY INC$329,403,732$10,995,908 ▲3.5%2,504,4000.2%COMMICRON TECHNOLOGY INC$319,262,769$5,734,708 ▲1.8%2,427,3000.2%COMPDD HOLDINGS INC$317,444,715$134,625,170 ▲73.6%2,387,7000.2%SPONSORED ADSASML HOLDING N V$311,216,739$18,306,867 ▲6.3%304,3000.2%N Y REGISTRY SHSARM HOLDINGS PLC$308,603,682$18,112,734 ▼-5.5%1,886,1000.2%SPONSORED ADSBOEING CO$304,775,745$18,801,633 ▼-5.8%1,674,5000.2%COMSALESFORCE INC$302,118,210$103,688,430 ▲52.3%1,175,1000.2%COMPROSHARES TR$292,356,728$4,901,648 ▼-1.6%3,960,4000.2%ULTRAPRO QQQSPDR DOW JONES INDL AVERAGE$289,045,070$13,141,968 ▲4.8%739,0000.2%UT SER 1GOLDMAN SACHS GROUP INC$287,087,504$57,896,960 ▲25.3%634,7000.2%COMSERVICENOW INC$287,055,883$113,359,147 ▲65.3%364,9000.2%COMTAIWAN SEMICONDUCTOR MFG LTD$272,933,843$38,429,391 ▲16.4%1,570,3000.2%SPONSORED ADSPALO ALTO NETWORKS INC$271,648,713$12,984,083 ▼-4.6%801,3000.2%COMPALO ALTO NETWORKS INC$264,359,998$41,630,428 ▲18.7%779,8000.2%COMGOLDMAN SACHS GROUP INC$264,019,184$949,872 ▲0.4%583,7000.2%COMISHARES TR$258,590,150$256,855,508 ▲14,807.4%2,817,5000.2%20 YR TR BD ETFPROSHARES TR$258,141,158$27,461,040 ▲11.9%3,496,9000.2%ULTRAPRO QQQCROWDSTRIKE HLDGS INC$255,664,368$24,294,246 ▼-8.7%667,2000.2%CL ATSLATesla$249,209,083$249,209,083 ▲New Holding1,259,3950.2%Auto/Tires/TrucksFEDEX CORP$247,368,000$77,568,608 ▲45.7%825,0000.2%COMQQQInvesco QQQ$228,202,968$112,317,278 ▲96.9%476,3060.1%FinanceARM HOLDINGS PLC$228,151,728$21,254,238 ▼-8.5%1,394,4000.1%SPONSORED ADSALIBABA GROUP HLDG LTD$224,280,000$34,927,200 ▲18.4%3,115,0000.1%SPONSORED ADSFIRST SOLAR INC$218,560,924$85,764,984 ▲64.6%969,4000.1%COMARISTA NETWORKS INC$215,930,728$133,953,456 ▲163.4%616,1000.1%COMSERVICENOW INC$208,860,885$81,184,344 ▲63.6%265,5000.1%COMQUALCOMM INC$207,187,036$37,326,332 ▲22.0%1,040,2000.1%COMQUALCOMM INC$206,171,218$50,990,080 ▲32.9%1,035,1000.1%COMMERCADOLIBRE INC$202,959,900$33,854,040 ▲20.0%123,5000.1%COMVANECK ETF TRUST$202,746,390$196,646,010 ▼-49.2%777,7000.1%SEMICONDUCTR ETFUNITEDHEALTH GROUP INC$201,208,626$52,657,484 ▲35.4%395,1000.1%COMSNOWFLAKE INC$197,339,472$54,468,288 ▲38.1%1,460,8000.1%CL AUNITEDHEALTH GROUP INC$197,032,694$57,240,824 ▲40.9%386,9000.1%COMLAM RESEARCH CORP$196,464,825$106,485 ▼-0.1%184,5000.1%COMDISNEY WALT CO$191,848,138$32,795,487 ▲20.6%1,932,2000.1%COMCATERPILLAR INC$182,938,520$51,797,050 ▼-22.1%549,2000.1%COMINTUIT$181,718,565$70,387,191 ▲63.2%276,5000.1%COMCATERPILLAR INC$164,351,540$32,777,040 ▲24.9%493,4000.1%COMSPOTIFY TECHNOLOGY S A$162,857,010$14,120,550 ▲9.5%519,0000.1%SHSFEDEX CORP$162,573,248$26,146,048 ▲19.2%542,2000.1%COMShowing largest 100 holdings. View all holdings. More Institutional Buying and Selling Information SEC Filings and Trading Data: SEC Filings 13F Filings Top 13F Buys Top 13F Sells Get 30 Days of MarketBeat All Access for Free Sign up for MarketBeat All Access to gain access to MarketBeat's full suite of research tools. Start Your 30-Day Trial MarketBeat All Access Features Best-in-Class Portfolio Monitoring Get personalized stock ideas. Compare portfolio to indices. Check stock news, ratings, SEC filings, and more. Stock Ideas and Recommendations See daily stock ideas from top analysts. Receive short-term trading ideas from MarketBeat. Identify trending stocks on social media. Advanced Stock Screeners and Research Tools Use our seven stock screeners to find suitable stocks. Stay informed with MarketBeat's real-time news. Export data to Excel for personal analysis. Sign in to your free account to enjoy these benefits In-depth profiles and analysis for 20,000 public companies. 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