Files
edgartools/cache/5d1c48f99c2c043e96bf2006f590e278.json
2025-12-09 12:13:01 +01:00

80 lines
4.0 KiB
JSON

[
{
"report_period": "2024-06-30",
"company_name": "BlackRock Finance, Inc.",
"top_holdings": [
"Long: MICROSOFT CORP: $87251.1M (195214459 shares, Shares)",
"Long: NVIDIA CORPORATION: $81016.4M (655790813 shares, Shares)",
"Long: APPLE INC: $78699.5M (373656459 shares, Shares)",
"Long: MICROSOFT CORP: $72268.9M (161693475 shares, Shares)",
"Long: APPLE INC: $66430.0M (315401996 shares, Shares)",
"Long: NVIDIA CORPORATION: $65806.5M (532673726 shares, Shares)",
"Long: AMAZON COM INC: $40370.4M (208902342 shares, Shares)",
"Long: AMAZON COM INC: $39023.9M (201934858 shares, Shares)",
"Long: META PLATFORMS INC: $29031.1M (57576247 shares, Shares)",
"Long: ALPHABET INC: $26620.2M (146144398 shares, Shares)",
"Short: ISHARES TR: $736.5M (9547900 shares)",
"Short: ISHARES TR: $116.6M (213100 shares)",
"Short: NVIDIA CORPORATION: $113.8M (921000 shares)",
"Short: ISHARES TR: $84.4M (416200 shares)",
"Short: NVIDIA CORPORATION: $66.0M (534000 shares)",
"Short: INVESCO QQQ TR: $60.6M (126400 shares)",
"Short: ISHARES TR: $54.9M (711600 shares)",
"Short: MERCK & CO INC: $42.2M (340800 shares)",
"Short: MERCK & CO INC: $24.6M (198400 shares)",
"Short: NVIDIA CORPORATION: $20.1M (163000 shares)"
]
},
{
"report_period": "2024-03-31",
"company_name": "BlackRock Finance, Inc.",
"top_holdings": [
"Long: MICROSOFT CORP: $80132.8M (190465867 shares, Shares)",
"Long: MICROSOFT CORP: $68370.9M (162509177 shares, Shares)",
"Long: APPLE INC: $62568.0M (364870774 shares, Shares)",
"Long: NVIDIA CORPORATION: $58661.7M (64922913 shares, Shares)",
"Long: APPLE INC: $54596.5M (318384257 shares, Shares)",
"Long: NVIDIA CORPORATION: $48540.8M (53721715 shares, Shares)",
"Long: AMAZON COM INC: $37386.3M (207264146 shares, Shares)",
"Long: AMAZON COM INC: $36208.6M (200734971 shares, Shares)",
"Long: META PLATFORMS INC: $27196.3M (56007806 shares, Shares)",
"Long: META PLATFORMS INC: $23563.0M (48525441 shares, Shares)",
"Short: SPDR S&P 500 ETF TR: $2028.1M (3877300 shares)",
"Short: SPDR S&P 500 ETF TR: $795.3M (1520400 shares)",
"Short: SPDR S&P 500 ETF TR: $201.3M (384900 shares)",
"Short: INVESCO QQQ TR: $190.9M (430000 shares)",
"Short: ISHARES TR: $124.6M (592600 shares)",
"Short: ISHARES TR: $123.6M (1590000 shares)",
"Short: TAIWAN SEMICONDUCTOR MFG LTD: $106.9M (785500 shares)",
"Short: SPDR S&P 500 ETF TR: $104.6M (200000 shares)",
"Short: TESLA INC: $95.8M (544800 shares)",
"Short: SPDR S&P 500 ETF TR: $95.5M (182600 shares)"
]
},
{
"report_period": "2023-12-31",
"company_name": "BlackRock Finance, Inc.",
"top_holdings": [
"Long: MICROSOFT CORP: $70005.9M (186166108 shares, Shares)",
"Long: APPLE INC: $68877.5M (357749275 shares, Shares)",
"Long: APPLE INC: $62067.5M (322378274 shares, Shares)",
"Long: MICROSOFT CORP: $61148.3M (162611241 shares, Shares)",
"Long: NVIDIA CORPORATION: $30861.8M (62319318 shares, Shares)",
"Long: AMAZON COM INC: $30629.2M (201587355 shares, Shares)",
"Long: AMAZON COM INC: $30399.2M (200073850 shares, Shares)",
"Long: NVIDIA CORPORATION: $26682.8M (53880647 shares, Shares)",
"Long: ALPHABET INC: $19880.3M (142317072 shares, Shares)",
"Long: META PLATFORMS INC: $19513.3M (55128682 shares, Shares)",
"Short: SPDR S&P 500 ETF TR: $794.1M (1670600 shares)",
"Short: ISHARES TR: $673.1M (6082700 shares)",
"Short: ISHARES TR: $498.1M (6436300 shares)",
"Short: SPDR S&P 500 ETF TR: $105.0M (221000 shares)",
"Short: TAIWAN SEMICONDUCTOR MFG LTD: $81.7M (785500 shares)",
"Short: ISHARES TR: $77.4M (1000000 shares)",
"Short: ISHARES TR: $74.6M (673800 shares)",
"Short: ISHARES TR: $72.5M (361200 shares)",
"Short: SPDR S&P 500 ETF TR: $48.6M (102300 shares)",
"Short: ISHARES TR: $42.8M (552600 shares)"
]
}
]