Institution
Optiver Holding B.V.
CIK 0001859606 - 2026Q1 report dated 2026-03-31
Shown positions
100
Shown market value
$101,759,704,840
Net value change
+$1,659,392,534
71 changed positions shown
Latest filing
0001859606-26-000004Largest reported increase
EXXON MOBIL CORP
EXXON MOBIL CORP
+$417,934,000
Largest reported decrease
META PLATFORMS INC
META PLATFORMS INC
-$638,000,736
Latest 13F holdings
Top reported positions by market value. 13F filings are delayed and may not reflect current holdings.
| Ticker | Issuer | Value | Shares | Change | Value change | Report |
|---|---|---|---|---|---|---|
| Unmapped | INVESCO QQQ TR 46090E903 | $23,158,481,730 | 40,123,500 | CURRENT | Unknown | 2026-03-31SEC filing |
| Unmapped | INVESCO QQQ TR 46090E953 | $20,871,636,852 | 36,161,400 | CURRENT | Unknown | 2026-03-31SEC filing |
| Unmapped | ISHARES TR 464287955 | $11,413,332,000 | 46,021,500 | CURRENT | Unknown | 2026-03-31SEC filing |
| Unmapped | ISHARES TR 464287905 | $6,573,339,200 | 26,505,400 | CURRENT | Unknown | 2026-03-31SEC filing |
| Unmapped | ISHARES SILVER TR 46428Q909 | $2,621,911,362 | 38,478,300 | CURRENT | Unknown | 2026-03-31SEC filing |
| Unmapped | ISHARES SILVER TR 46428Q959 | $1,922,317,982 | 28,211,300 | CURRENT | Unknown | 2026-03-31SEC filing |
| Unmapped | META PLATFORMS INC 30303M902 | $1,835,164,188 | 3,207,600 | REDUCED -4.5% | -$382,540,185 | 2026-03-31SEC filing |
| Unmapped | META PLATFORMS INC 30303M952 | $1,626,966,081 | 2,843,700 | REDUCED -17.1% | -$638,000,736 | 2026-03-31SEC filing |
| Unmapped | APPLE INC 037833900 | $1,542,535,620 | 6,078,000 | REDUCED -12.0% | -$335,337,330 | 2026-03-31SEC filing |
| Unmapped | ALPHABET INC 02079K955 | $1,443,752,492 | 5,020,700 | INCREASED +0.8% | -$115,644,808 | 2026-03-31SEC filing |
| Unmapped | GOLDMAN SACHS GROUP INC 38141G904 | $1,356,460,366 | 1,603,400 | INCREASED +48.1% | +$405,030,766 | 2026-03-31SEC filing |
| Unmapped | AMAZON COM INC 023135956 | $1,321,848,036 | 6,346,800 | REDUCED -9.5% | -$296,523,312 | 2026-03-31SEC filing |
| Unmapped | BROADCOM INC 11135F951 | $1,268,588,637 | 4,098,700 | INCREASED +12.9% | +$11,726,487 | 2026-03-31SEC filing |
| Unmapped | AMAZON COM INC 023135906 | $1,249,974,059 | 6,001,700 | INCREASED +61.8% | +$393,631,859 | 2026-03-31SEC filing |
| Unmapped | ISHARES TR 464287902 | $1,245,440,554 | 14,366,600 | CURRENT | Unknown | 2026-03-31SEC filing |
| Unmapped | ADVANCED MICRO DEVICES INC 007903957 | $1,205,485,494 | 5,925,800 | REDUCED -22.0% | -$421,145,370 | 2026-03-31SEC filing |
| Unmapped | GOLDMAN SACHS GROUP INC 38141G954 | $1,186,077,980 | 1,402,000 | INCREASED +11.8% | +$83,636,180 | 2026-03-31SEC filing |
| Unmapped | ALPHABET INC 02079K907 | $1,114,393,728 | 3,884,800 | INCREASED +31.3% | +$186,204,708 | 2026-03-31SEC filing |
| Unmapped | ALPHABET INC 02079K905 | $1,100,060,780 | 3,825,500 | REDUCED -11.8% | -$257,075,920 | 2026-03-31SEC filing |
| Unmapped | ISHARES TR 464287952 | $1,013,856,888 | 11,695,200 | CURRENT | Unknown | 2026-03-31SEC filing |
| Unmapped | ADVANCED MICRO DEVICES INC 007903907 | $945,786,756 | 4,649,200 | REDUCED -13.0% | -$198,298,796 | 2026-03-31SEC filing |
| Unmapped | APPLE INC 037833950 | $880,524,405 | 3,469,500 | REDUCED -24.7% | -$371,499,639 | 2026-03-31SEC filing |
| Unmapped | ISHARES INC 464286900 | $869,560,373 | 22,650,700 | CURRENT | Unknown | 2026-03-31SEC filing |
| Unmapped | ALPHABET INC 02079K957 | $797,642,916 | 2,780,600 | INCREASED +53.3% | +$228,535,236 | 2026-03-31SEC filing |
| Unmapped | ISHARES INC 464286950 | $744,750,644 | 19,399,600 | CURRENT | Unknown | 2026-03-31SEC filing |