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Q2 2026 58/68 funds filed
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Some record dates are in the future and are excluded from the latest observation date.

Investor portfolio

ARK Investment Management

InnovationGrowth

ARK Investment Management is Cathie Wood's investment management firm, widely known for innovation-focused investing.

Linked investors: Cathie Wood

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US 13F portfolio

Quarter
Q2 2026
Filed
2026-08-14
Portfolio value
$15,402,788,184
Positions
191
history Ticker Type Change % of portfolio
≡ IWB Direct SOLD —
≡ PINS Direct SOLD —
≡ CRM Direct SOLD —
≡ PANW Direct SOLD —
≡ ICE Direct SOLD —
≡ BREA Direct SOLD —
≡ SPY Direct −100% 0.0%
≡ IAI Direct Newly reported 0.0%
≡ FCOM Direct Newly reported 0.0%
≡ XAR Direct Newly reported 0.0%
≡ XHE Direct Newly reported 0.0%
≡ KCE Direct Newly reported 0.0%
≡ IGV Direct Newly reported 0.0%
≡ XBI Direct Newly reported 0.0%
≡ DCH Direct +7% 0.0%
≡ ETH Direct −4% 0.0%
≡ VUG Direct +726% 0.0%
≡ KMT Direct −20% 0.0%
≡ ARKG Direct −76% 0.0%
≡ IWF Direct +164% 0.0%
≡ AVNT Direct −15% 0.0%
≡ MMM Direct −5% 0.0%
≡ JBL Direct −27% 0.0%
≡ ATI Direct −28% 0.0%
≡ CRS Direct −30% 0.0%
≡ MTRN Direct −20% 0.0%
≡ OCTV Direct Newly reported 0.0%
— ARKK Call −1% 0.0%
≡ ALGN Direct −17% 0.01%
≡ NNOX Direct +10% 0.01%
≡ AME Direct −18% 0.01%
≡ LECO Direct −9% 0.01%
≡ ENLV Direct +279% 0.01%
≡ GE Direct −3% 0.01%
≡ MOG.A Direct −17% 0.01%
≡ WIX Direct +21% 0.01%
≡ KALU Direct −20% 0.01%
≡ GILT Direct −7% 0.01%
≡ CGEN Direct −25% 0.01%
≡ NNDM Direct −12% 0.01%
≡ MDWD Direct −3% 0.01%
≡ NICE Direct +9% 0.01%
≡ KMDA Direct −2% 0.01%
≡ CGNT Direct −6% 0.01%
≡ CAMT Direct −21% 0.01%
≡ PERI Direct −9% 0.01%
≡ FVRR Direct +58% 0.01%
≡ CHKP Direct +37% 0.01%
≡ NYAX Direct −11% 0.01%
≡ BWAY Direct −26% 0.01%
≡ ODD Direct +124% 0.01%
≡ INMD Direct −3% 0.01%
≡ PLTK Direct 0.01%
≡ NVMI Direct −17% 0.01%
≡ MSFT Direct −4% 0.01%
≡ TEVA Direct +1% 0.02%
≡ ADSK Direct −2% 0.02%
≡ AUDC Direct −3% 0.02%
≡ PTC Direct +8% 0.02%
≡ MNDY Direct +95% 0.02%
≡ ITRN Direct −21% 0.02%
≡ RDCM Direct +1% 0.02%
≡ RSKD Direct +3% 0.02%
≡ CLBT Direct +36% 0.02%
≡ HPQ Direct −7% 0.02%
≡ XRAY Direct −12% 0.02%
≡ TATT Direct +23% 0.02%
≡ ALLT Direct +47% 0.02%
≡ TSEM Direct −44% 0.02%
≡ RDWR Direct −6% 0.02%
≡ PGY Direct +49% 0.02%
≡ MBLY Direct +39% 0.02%
≡ PRLB Direct −23% 0.02%
≡ TBLA Direct +15% 0.02%
≡ MTLS Direct −6% 0.02%
≡ DDD Direct +13% 0.02%
≡ VLN Direct +35% 0.02%
≡ VELO Direct +65% 0.02%
≡ DRTS Direct −5% 0.02%
≡ PAYP Direct −9% 0.02%
≡ KSPI Direct −34% 0.02%
≡ URGN Direct −12% 0.02%
≡ SSYS Direct +23% 0.03%
≡ XMTR Direct +14% 0.03%
≡ FROG Direct +28% 0.03%
≡ Z Direct −9% 0.03%
≡ SMWB Direct +137% 0.03%
≡ HONA Direct Newly reported 0.03%
≡ HON Direct Newly reported 0.03%
≡ QSI Direct +4% 0.04%
≡ ARKK Direct −5% 0.05%
≡ LMT Direct +12% 0.05%
≡ CNTN Direct −1% 0.07%
≡ BABA Direct −85% 0.07%
≡ BNTX Direct +4% 0.08%
≡ ETOR Direct −10% 0.08%
≡ NU Direct −9% 0.09%
≡ SRTA Direct −63% 0.09%
≡ KLAR Direct −9% 0.09%
≡ GRMN Direct +15% 0.1%

13F filings show reportable long securities and certain exchange-traded call/put positions; they do not disclose shorts, written options, cash, private assets, or vehicle-level allocation — methodology & caveats.

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