Aerarium

SEC EDGAR Form 13F

ARK Investment Management

ARK Investment Management is an institutional investment manager identified in SEC EDGAR Form 13F data.

Latest Form 13F: 181 long U.S. equity positions, $12.9B reported value for the period ended Mar 31, 2026, led by Tesla Inc, Advanced Micro Devices Inc, and CRISPR Therapeutics AG.

CIK: 1697748 · Filed: May 12, 2026 · Period: Mar 31, 2026

Reported value
$12.9B
Positions
181
Key person
13F reporting manager
Style
Institutional 13F
Top holding
TSLA · Tesla Inc
Period
Mar 31, 2026
Filed
May 12, 2026
CIK
1697748

What a 13F does not show

Form 13F covers many reportable long U.S. equity positions at quarter end. It does not show every asset type, short positions, hedges, intraperiod trades, or current holdings after the report date. Use it as ownership context, not investment advice.

Read the 13F guide →
TSLA
Tesla Inc
Portfolio weight
8.19%
AMD
Advanced Micro Devices Inc
Portfolio weight
4.29%
CRSP
CRISPR Therapeutics AG
Portfolio weight
4.19%
SHOP
Shopify Inc
Portfolio weight
3.85%
PLTR
Palantir Technologies Inc
Portfolio weight
3.54%

Top reported holdings

Showing the top 50 positions by reported value. Source: SEC EDGAR Form 13F; period 2026-03-31; filed 2026-05-12.

#TickerCompanySharesValuePortfolio %QoQ change
1TSLATesla Inc2.8M$1.1B8.19%-2.9%
2AMDAdvanced Micro Devices Inc2.7M$552M4.29%+5.4%
3CRSPCRISPR Therapeutics AG11.3M$538M4.19%+7.5%
4SHOPShopify Inc4.2M$496M3.85%+5.0%
5PLTRPalantir Technologies Inc3.1M$455M3.54%-3.8%
6TEMTempus AI Inc9.6M$434M3.38%+27.1%
7CRCLCircle Internet Group Inc4.5M$430M3.35%+8.9%
8HOODRobinhood Markets Inc6.0M$416M3.24%+24.9%
9COINCoinbase Global Inc2.4M$414M3.22%-6.7%
10TERTeradyne Inc1.2M$369M2.87%-47.2%
11ROKURoku Inc3.8M$361M2.81%-35.0%
12RBLXROBLOX Corp5.9M$333M2.59%+22.0%
13TWSTTwist Bioscience Corp6.3M$301M2.34%-16.1%
14BEAMBeam Therapeutics Inc12.1M$289M2.25%-2.7%
15AMZNAmazon.com Inc1.4M$282M2.19%+11.8%
16TXG10X Genomics Inc11.7M$249M1.93%-7.5%
17KTOSKratos Defense & Security Solutions Inc.3.5M$246M1.91%+1.1%
18BLSHBullish6.6M$234M1.82%+36.1%
19DEDeere & Co399.1K$225M1.75%-5.4%
20TSMTaiwan Semiconductor Manufacturing Company Ltd627.7K$212M1.65%-16.1%
21GOOGAlphabet Inc720.4K$207M1.61%+32.0%
22CRWVCoreWeave Inc2.5M$197M1.53%+31.9%
23ACHRArcher Aviation Inc37.4M$194M1.51%+6.4%
24BMNRBitMine Immersion Technologies9.7M$192M1.49%+2.6%
25XYZBlock Inc3.1M$186M1.45%-8.2%
26NTLAIntellia Therapeutics Inc14.5M$186M1.45%+2.1%
27NVDANVIDIA Corp1.0M$181M1.40%-17.5%
28ARKBARK 21Shares Bitcoin ETF6.7M$151M1.17%-2.5%
29RKLBRocket Lab Corp2.2M$144M1.12%+0.4%
30ILMNIllumina Inc1.1M$139M1.08%-26.7%
31NTRANatera Inc684.3K$137M1.06%-6.4%
32LHXL3Harris Technologies Inc389.7K$135M1.05%+25.8%
33BWXTBWX Technologies Inc622.5K$127M0.99%-6.7%
34AVGOBroadcom Inc407.8K$126M0.98%--
35BIDUBaidu Inc1.1M$125M0.97%-3.2%
36RXRXRecursion Pharmaceuticals Inc40.2M$123M0.96%+7.8%
37AVAVAeroVironment Inc559.3K$102M0.80%+29.1%
38VCYTVeracyte Inc3.1M$98M0.76%-21.4%
39BABAAlibaba Group Holding Ltd783.2K$98M0.76%+22.8%
40METAMeta Platforms Inc154.0K$88M0.69%-48.4%
41WGSGeneDx Holdings Corp1.3M$85M0.66%+119.1%
42TRMBTrimble Inc1.2M$81M0.63%+22.2%
43FIGFigma Inc3.4M$72M0.56%+483.3%
44SOFISoFi Technologies Inc3.8M$61M0.47%-6.6%
45DASHDoorDash Inc346.1K$52M0.40%+13.0%
46ESLTElbit Systems Ltd60.3K$51M0.40%+5.7%
47JOBYJoby Aviation Inc6.2M$51M0.40%+83.9%
48PSNLPersonalis Inc7.9M$51M0.39%+0.8%
49LUNRIntuitive Machines Inc2.7M$49M0.38%+15.4%
50TOSTToast Inc1.8M$48M0.37%-7.9%

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