Firma de inversión · Formulario 13F
ARK Invest
A fecha de 30 jun. 2026 · presentado el 14 ago. 2026, 45 días después · ARK Investment Management LLC · SEC EDGAR ↗
Valor declarado$15,4 mil Macciones cotizadas en EE. UU., sin opciones
Posiciones190repartidas como 39,5 iguales
Las diez mayores39 %del valor declarado
Desde el 31 mar. 202616 · 75 · 91 · 7nuevas · aumentadas · reducidas · ya no aparecen
Por sector
Tecnología
42,6 %
Salud
14,8 %
Finanzas
10,3 %
Consumo discrecional
10,1 %
Industria
8,7 %
Comunicación
1,2 %
Materiales
0,2 %
Servicios públicos
0,1 %
Otros
0,1 %
Sin clasificar
11,8 %
Los sectores salen del código de industria de la SEC de cada empresa, agrupados como en las páginas de sector. Las empresas que aún no están en el catálogo de este sitio salen sin clasificar.
Cada posición declarada
Las mayores primero, con su parte del valor declarado y cómo se compara el número de acciones con el trimestre anterior. El número de acciones se ajusta por cualquier split entre las dos fechas.
| Empresa | Parte del total | Valor | Acciones | Desde el 31 mar. 2026 |
|---|---|---|---|---|
| TSLA Tesla, Inc. Common Stock | 7,5 % | $1,2 mil M | 2,8 M | Reducida |
| AMD Advanced Micro Devices Inc Common Stock | 5,3 % | $822,8 M | 1,4 M | Reducida |
| SPCX Space Exploration Technologies Corp Common Stock | 5,0 % | $765,1 M | 4,5 M | Nueva |
| TEM Tempus AI, Inc. Common Stock | 3,8 % | $580,6 M | 10,0 M | Aumentada |
| HOOD Robinhood Markets, Inc. Common Stock | 3,4 % | $525,1 M | 5,2 M | Reducida |
| CRSP Crispr Therapeutics AG Common Stock | 3,4 % | $516,0 M | 9,5 M | Reducida |
| SHOP Shopify Inc. Common Stock | 3,1 % | $474,5 M | 4,2 M | Sin cambios |
| TWST Twist Bioscience Corp Common Stock | 3,0 % | $468,1 M | 4,5 M | Reducida |
| TXG 10x Genomics, Inc. Common Stock | 2,5 % | $383,5 M | 10,0 M | Reducida |
| AMZN Amazon Com Inc Common Stock | 2,5 % | $379,2 M | 1,6 M | Aumentada |
| PLTR Palantir Technologies Inc. Common Stock | 2,4 % | $374,8 M | 3,2 M | Aumentada |
| GOOG Alphabet Inc. Common Stock | 2,4 % | $368,6 M | 1,0 M | Aumentada |
| COIN Coinbase Global, Inc. Common Stock | 2,4 % | $367,1 M | 2,5 M | Aumentada |
| RBLX Roblox Corp Common Stock | 2,3 % | $351,6 M | 6,5 M | Aumentada |
| BEAM Beam Therapeutics Inc. Common Stock | 2,3 % | $351,3 M | 10,2 M | Reducida |
| TER Teradyne, Inc Common Stock | 2,0 % | $312,0 M | 644.782 | Reducida |
| NTLA Intellia Therapeutics, Inc. Common Stock | 1,9 % | $285,5 M | 16,9 M | Aumentada |
| CRCL Circle Internet Group, Inc. Common Stock | 1,9 % | $285,5 M | 4,6 M | Aumentada |
| NVDA Nvidia Corp Common Stock | 1,8 % | $276,4 M | 1,4 M | Aumentada |
| CRWV CoreWeave, Inc. Common Stock | 1,7 % | $264,5 M | 2,7 M | Aumentada |
| DE Deere & Co Common Stock | 1,6 % | $249,3 M | 393.025 | Reducida |
| XYZ Block, Inc. Common Stock | 1,5 % | $235,4 M | 3,1 M | Sin cambios |
| KTOS Kratos Defense & Security Solutions, Inc. Common Stock | 1,5 % | $233,0 M | 4,7 M | Aumentada |
| TSM Taiwan Semiconductor Manufacturing Co Ltd ADR | 1,5 % | $230,3 M | 482.286 | Reducida |
| NTRA Natera, Inc. Common Stock | 1,2 % | $187,0 M | 688.855 | Sin cambios |
| ILMN Illumina, Inc. Common Stock | 1,2 % | $183,7 M | 1,0 M | Reducida |
| CBRS Cerebras Systems Inc. Common Stock | 1,1 % | $169,0 M | 764.613 | Nueva |
| RKLB Rocket Lab Corp Common Stock | 1,1 % | $165,8 M | 1,6 M | Reducida |
| BLSH Bullish Common Stock | 1,0 % | $158,1 M | 6,7 M | Aumentada |
| AVGO Broadcom Inc. Common Stock | 1,0 % | $153,8 M | 407.202 | Sin cambios |
| RXRX Recursion Pharmaceuticals, Inc. Common Stock | 1,0 % | $151,7 M | 41,3 M | Aumentada |
| ACHR Archer Aviation Inc. Common Stock | 1,0 % | $151,2 M | 32,0 M | Reducida |
| ABSI Absci Corp Common Stock | 1,0 % | $149,8 M | 12,9 M | Reducida |
| VCYT Veracyte, Inc. Common Stock | 0,9 % | $134,8 M | 2,3 M | Reducida |
| META Meta Platforms, Inc. Common Stock | 0,9 % | $134,6 M | 238.973 | Aumentada |
| ARKB Ark 21Shares Bitcoin ETF ETP | 0,8 % | $125,6 M | 6,5 M | Reducida |
| LHX L3HARRIS Technologies, Inc. Common Stock | 0,8 % | $125,3 M | 431.179 | Aumentada |
| BMNR Bitmine Immersion Technologies, Inc. Common Stock | 0,8 % | $117,3 M | 8,8 M | Reducida |
| PSNL Personalis, Inc. Common Stock | 0,7 % | $110,8 M | 8,3 M | Aumentada |
| WGS GeneDx Holdings Corp. Common Stock | 0,7 % | $110,5 M | 1,6 M | Aumentada |
| BWXT BWX Technologies, Inc. Common Stock | 0,7 % | $107,0 M | 549.881 | Reducida |
| AVAV AeroVironment Inc Common Stock | 0,7 % | $100,3 M | 607.502 | Aumentada |
| XE X-Energy, Inc. Common Stock | 0,6 % | $99,4 M | 5,4 M | Nueva |
| LLY ELI Lilly & Co Common Stock | 0,6 % | $92,7 M | 77.254 | Aumentada |
| ROKU Roku, Inc Common Stock | 0,5 % | $82,3 M | 595.880 | Reducida |
| GH Guardant Health, Inc. Common Stock | 0,5 % | $76,0 M | 506.416 | Aumentada |
| DASH DoorDash, Inc. Common Stock | 0,5 % | $70,1 M | 380.139 | Aumentada |
| SNOW Snowflake Inc. Common Stock | 0,4 % | $68,6 M | 269.539 | Nueva |
| TRMB Trimble Inc. Common Stock | 0,4 % | $68,2 M | 1,3 M | Aumentada |
| SOFI SoFi Technologies, Inc. Common Stock | 0,4 % | $67,1 M | 3,7 M | Reducida |
| IRDM Iridium Communications Inc. Common Stock | 0,4 % | $66,6 M | 1,2 M | Reducida |
| JOBY Joby Aviation, Inc. Common Stock | 0,4 % | $59,7 M | 6,7 M | Aumentada |
| CAT Caterpillar Inc Common Stock | 0,4 % | $59,6 M | 56.008 | Reducida |
| LUNR Intuitive Machines, Inc. Common Stock | 0,4 % | $57,7 M | 2,7 M | Aumentada |
| CDNA CareDx, Inc. Common Stock | 0,4 % | $55,7 M | 2,0 M | Reducida |
| FIG Figma, Inc. Common Stock | 0,4 % | $55,0 M | 3,0 M | Reducida |
| DDOG Datadog, Inc. Common Stock | 0,4 % | $54,7 M | 210.148 | Reducida |
| CERS Cerus Corp Common Stock | 0,3 % | $52,4 M | 17,9 M | Reducida |
| TOST Toast, Inc. Common Stock | 0,3 % | $51,7 M | 1,9 M | Aumentada |
| GOOGL Alphabet Inc. Common Stock | 0,3 % | $50,1 M | 140.122 | Nueva |
| PACB Pacific Biosciences OF California, Inc. Common Stock | 0,3 % | $50,0 M | 29,8 M | Reducida |
| CMPS Compass Pathways plc ADR | 0,3 % | $48,8 M | 3,5 M | Aumentada |
| ESLT Elbit Systems Ltd Common Stock | 0,3 % | $47,6 M | 62.709 | Aumentada |
| ADPT Adaptive Biotechnologies Corp Common Stock | 0,3 % | $44,8 M | 2,1 M | Sin cambios |
| NRIX Nurix Therapeutics, Inc. Common Stock | 0,3 % | $43,5 M | 1,8 M | Aumentada |
| NET Cloudflare, Inc. Common Stock | 0,3 % | $43,1 M | 175.723 | Reducida |
| BFLY Butterfly Network, Inc. Common Stock | 0,3 % | $42,8 M | 5,1 M | Reducida |
| AUR Aurora Innovation, Inc. Common Stock | 0,3 % | $41,8 M | 6,1 M | Reducida |
| MELI Mercadolibre Inc Common Stock | 0,2 % | $37,4 M | 22.044 | Reducida |
| ALMR Alamar Biosciences, Inc. Common Stock | 0,2 % | $37,2 M | 1,4 M | Nueva |
| CCJ Cameco Corp Common Stock | 0,2 % | $36,8 M | 361.570 | Reducida |
| TDY Teledyne Technologies Inc Common Stock | 0,2 % | $36,6 M | 54.873 | Aumentada |
| SNPS Synopsys Inc Common Stock | 0,2 % | $36,3 M | 81.283 | Aumentada |
| SYM Symbotic Inc. Common Stock | 0,2 % | $35,8 M | 796.749 | Aumentada |
| SDGR Schrodinger, Inc. Common Stock | 0,2 % | $35,0 M | 2,2 M | Aumentada |
| BIDU Baidu, Inc. ADR | 0,2 % | $34,5 M | 301.934 | Reducida |
| SPOT Spotify Technology S.A. Common Stock | 0,2 % | $34,5 M | 75.108 | Aumentada |
| P Everpure, Inc. Common Stock | 0,2 % | $31,4 M | 397.952 | Reducida |
| DKNG DraftKings Inc. Common Stock | 0,2 % | $31,0 M | 1,2 M | Reducida |
| PRME Prime Medicine, Inc. Common Stock | 0,2 % | $30,8 M | 8,3 M | Aumentada |
| RBRK Rubrik, Inc. Common Stock | 0,2 % | $29,3 M | 365.426 | Reducida |
| ISRG Intuitive Surgical Inc Common Stock | 0,2 % | $28,0 M | 70.375 | Aumentada |
| KDK Kodiak AI, Inc. Common Stock | 0,2 % | $26,2 M | 5,2 M | Aumentada |
| IONS Ionis Pharmaceuticals Inc Common Stock | 0,2 % | $23,8 M | 300.770 | Aumentada |
| GTLB Gitlab Inc. Common Stock | 0,2 % | $23,4 M | 767.998 | Reducida |
| WRD WeRide Inc. ADR | 0,1 % | $21,8 M | 3,7 M | Aumentada |
| GENB Generate Biomedicines, Inc. Common Stock | 0,1 % | $21,7 M | 1,3 M | Aumentada |
| ABNB Airbnb, Inc. Common Stock | 0,1 % | $21,2 M | 148.320 | Reducida |
| ARCT Arcturus Therapeutics Holdings Inc. Common Stock | 0,1 % | $19,5 M | 2,9 M | Aumentada |
| OKLO Oklo Inc. Common Stock | 0,1 % | $19,5 M | 372.257 | Aumentada |
| GENI Genius Sports Ltd Common Stock | 0,1 % | $18,6 M | 3,1 M | Reducida |
| CRWD CrowdStrike Holdings, Inc. Common Stock | 0,1 % | $18,0 M | 94.500 | Reducida |
| HEI Heico Corp Common Stock | 0,1 % | $17,8 M | 50.052 | Aumentada |
| MASS 908 Devices Inc. Common Stock | 0,1 % | $17,6 M | 2,0 M | Aumentada |
| NFLX Netflix Inc Common Stock | 0,1 % | $16,1 M | 224.871 | Aumentada |
| PONY Pony AI Inc. ADR | 0,1 % | $15,4 M | 2,2 M | Aumentada |
| SE Sea Ltd ADR | 0,1 % | $15,2 M | 158.412 | Reducida |
| GRMN Garmin Ltd Common Stock | 0,1 % | $14,7 M | 61.682 | Aumentada |
| KLAR Klarna Group plc Common Stock | 0,1 % | $14,4 M | 712.201 | Reducida |
| SRTA Strata Critical Medical, Inc. Common Stock | 0,1 % | $14,4 M | 2,7 M | Reducida |
| NU Nu Holdings Ltd. Common Stock | 0,1 % | $14,3 M | 1,1 M | Reducida |
| ETOR eToro Group Ltd. Common Stock | 0,1 % | $12,5 M | 315.645 | Reducida |
| BNTX BioNTech SE ADR | 0,1 % | $12,4 M | 133.333 | Aumentada |
| BABA Alibaba Group Holding Ltd ADR | 0,1 % | $11,5 M | 119.555 | Reducida |
| CNTN Canton Strategic Holdings, Inc. Common Stock | 0,1 % | $10,3 M | 3,7 M | Reducida |
| LMT Lockheed Martin Corp Common Stock | 0,0 % | $7,5 M | 14.806 | Aumentada |
| ARKK Ark Innovation Etf ETP | 0,0 % | $7,4 M | 91.105 | Reducida |
| QSI Quantum-Si Inc Common Stock | 0,0 % | $6,3 M | 7,2 M | Aumentada |
| HON Honeywell International Inc Common Stock | 0,0 % | $5,2 M | 23.262 | Nueva |
| HONA Honeywell Aerospace Inc. Common Stock | 0,0 % | $5,1 M | 23.262 | Nueva |
| SMWB Similarweb Ltd. Common Stock | 0,0 % | $5,1 M | 834.663 | Aumentada |
| Z Zillow Group, Inc. Common Stock | 0,0 % | $4,8 M | 152.575 | Reducida |
| FROG JFrog Ltd Common Stock | 0,0 % | $4,6 M | 50.621 | Aumentada |
| XMTR Xometry, Inc. Common Stock | 0,0 % | $4,4 M | 46.048 | Aumentada |
| SSYS Stratasys Ltd. Common Stock | 0,0 % | $4,4 M | 512.180 | Aumentada |
| URGN UroGen Pharma Ltd. Common Stock | 0,0 % | $3,7 M | 101.508 | Reducida |
| KSPI Joint Stock Co Kaspi.kz ADR | 0,0 % | $3,6 M | 41.525 | Reducida |
| PAYP PayPay Corp ADR | 0,0 % | $3,5 M | 244.985 | Reducida |
| DRTS Alpha Tau Medical Ltd. Common Stock | 0,0 % | $3,5 M | 277.086 | Reducida |
| VELO Velo3D, Inc. Common Stock | 0,0 % | $3,4 M | 194.753 | Aumentada |
| VLN Valens Semiconductor Ltd. Common Stock | 0,0 % | $3,2 M | 1,4 M | Aumentada |
| DDD 3D Systems Corp Common Stock | 0,0 % | $3,1 M | 1,0 M | Aumentada |
| MTLS Materialise N.V. ADR | 0,0 % | $3,1 M | 419.784 | Reducida |
| TBLA Taboola.com Ltd. Common Stock | 0,0 % | $3,0 M | 602.812 | Aumentada |
| PRLB Proto Labs Inc Common Stock | 0,0 % | $2,9 M | 35.418 | Reducida |
| MBLY Mobileye Global Inc. Common Stock | 0,0 % | $2,7 M | 281.104 | Aumentada |
| PGY Pagaya Technologies Ltd. Common Stock | 0,0 % | $2,7 M | 147.603 | Aumentada |
| RDWR Radware Ltd Common Stock | 0,0 % | $2,7 M | 86.280 | Reducida |
| TSEM Tower Semiconductor Ltd Common Stock | 0,0 % | $2,6 M | 10.126 | Reducida |
| ALLT Allot Ltd. Common Stock | 0,0 % | $2,6 M | 297.726 | Aumentada |
| TATT TAT Technologies Ltd Common Stock | 0,0 % | $2,5 M | 52.284 | Aumentada |
| XRAY Dentsply Sirona Inc. Common Stock | 0,0 % | $2,5 M | 235.538 | Reducida |
| HPQ HP Inc Common Stock | 0,0 % | $2,5 M | 113.869 | Reducida |
| CLBT Cellebrite DI Ltd. Common Stock | 0,0 % | $2,5 M | 170.923 | Aumentada |
| RSKD Riskified Ltd. Common Stock | 0,0 % | $2,5 M | 488.797 | Aumentada |
| RDCM Radcom Ltd Common Stock | 0,0 % | $2,5 M | 174.214 | Sin cambios |
| ITRN Ituran Location & Control Ltd. Common Stock | 0,0 % | $2,4 M | 40.137 | Reducida |
| MNDY monday.com Ltd. Common Stock | 0,0 % | $2,4 M | 33.167 | Aumentada |
| PTC PTC Inc. Common Stock | 0,0 % | $2,4 M | 21.049 | Aumentada |
| AUDC Audiocodes Ltd Common Stock | 0,0 % | $2,4 M | 246.438 | Reducida |
| ADSK Autodesk, Inc. Common Stock | 0,0 % | $2,4 M | 12.226 | Reducida |
| TEVA Teva Pharmaceutical Industries Ltd ADR | 0,0 % | $2,3 M | 68.653 | Sin cambios |
| MSFT Microsoft Corp Common Stock | 0,0 % | $2,3 M | 6.177 | Reducida |
| NVMI Nova Ltd. Common Stock | 0,0 % | $2,3 M | 4.220 | Reducida |
| PLTK Playtika Holding Corp. Common Stock | 0,0 % | $2,3 M | 614.004 | Sin cambios |
| INMD InMode Ltd. Common Stock | 0,0 % | $2,2 M | 153.224 | Reducida |
| ODD Oddity Tech Ltd Common Stock | 0,0 % | $2,2 M | 146.754 | Aumentada |
| BWAY Brainsway Ltd. ADR | 0,0 % | $2,2 M | 142.500 | Reducida |
| NYAX Nayax Ltd. Common Stock | 0,0 % | $2,2 M | 33.306 | Reducida |
| CHKP Check Point Software Technologies Ltd Common Stock | 0,0 % | $2,1 M | 16.112 | Aumentada |
| FVRR Fiverr International Ltd. Common Stock | 0,0 % | $2,1 M | 202.039 | Aumentada |
| PERI Perion Network Ltd. Common Stock | 0,0 % | $2,1 M | 211.984 | Reducida |
| CAMT Camtek Ltd Common Stock | 0,0 % | $2,0 M | 12.161 | Reducida |
| CGNT Cognyte Software Ltd. Common Stock | 0,0 % | $2,0 M | 225.795 | Reducida |
| KMDA Kamada Ltd Common Stock | 0,0 % | $1,9 M | 263.304 | Reducida |
| NICE Nice Ltd. ADR | 0,0 % | $1,9 M | 21.035 | Aumentada |
| MDWD MediWound Ltd. Common Stock | 0,0 % | $1,9 M | 126.576 | Reducida |
| NNDM Nano Dimension Ltd. ADR | 0,0 % | $1,8 M | 1,2 M | Reducida |
| CGEN Compugen Ltd Common Stock | 0,0 % | $1,7 M | 786.536 | Reducida |
| GILT Gilat Satellite Networks Ltd Common Stock | 0,0 % | $1,6 M | 118.601 | Reducida |
| KALU Kaiser Aluminum Corp Common Stock | 0,0 % | $1,5 M | 7.530 | Reducida |
| WIX Wix.com Ltd. Common Stock | 0,0 % | $1,5 M | 32.312 | Aumentada |
| MOGA Moog Inc Common Stock | 0,0 % | $1,5 M | 3.455 | Reducida |
| GE General Electric Co Common Stock | 0,0 % | $1,3 M | 3.610 | Reducida |
| ENLV Enlivex Ltd. Common Stock | 0,0 % | $1,3 M | 2,4 M | Aumentada |
| LECO Lincoln Electric Holdings Inc Common Stock | 0,0 % | $1,1 M | 4.193 | Reducida |
| AME Ametek INC/ Common Stock | 0,0 % | $1,0 M | 4.186 | Reducida |
| NNOX Nano-X Imaging Ltd. Common Stock | 0,0 % | $935.672 | 806.614 | Aumentada |
| ALGN Align Technology Inc Common Stock | 0,0 % | $887.826 | 5.264 | Reducida |
| OCTV Octave Intelligence plc Common Stock | 0,0 % | $145.021 | 8.897 | Nueva |
| MTRN Materion Corp Common Stock | 0,0 % | $135.312 | 455 | Reducida |
| CRS Carpenter Technology Corp Common Stock | 0,0 % | $109.798 | 178 | Reducida |
| ATI ATI Inc Common Stock | 0,0 % | $95.988 | 487 | Reducida |
| JBL Jabil Inc Common Stock | 0,0 % | $94.443 | 245 | Reducida |
| MMM 3M Co Common Stock | 0,0 % | $76.098 | 470 | Reducida |
| AVNT Avient Corp Common Stock | 0,0 % | $74.474 | 2.015 | Reducida |
| IWF Ishares Russell 1000 Growth Etf ETP | 0,0 % | $70.792 | 570 | Aumentada |
| ARKG Ark Genomic Revolution Etf ETP | 0,0 % | $69.794 | 1.659 | Reducida |
| KMT Kennametal Inc Common Stock | 0,0 % | $69.364 | 1.979 | Reducida |
| VUG Vanguard Growth Etf ETP | 0,0 % | $66.182 | 768 | Aumentada |
| ETH Grayscale Ethereum Staking Mini ETF ETP | 0,0 % | $64.328 | 4.280 | Reducida |
| DCH Dauch Corp Common Stock | 0,0 % | $34.612 | 6.386 | Aumentada |
| XBI State Street Spdr S&p Biotech Etf ETP | 0,0 % | $14.822 | 94 | Nueva |
| IGV Ishares Expanded Tech-Software Sector Etf ETP | 0,0 % | $5.109 | 56 | Nueva |
| KCE State Street Spdr S&p Capital Markets Etf ETP | 0,0 % | $2.775 | 19 | Nueva |
| XHE State Street Spdr S&p Health Care Equipment Etf ETP | 0,0 % | $1.805 | 21 | Nueva |
| XAR State Street Spdr S&p Aerospace & Defense Etf ETP | 0,0 % | $729 | 3 | Nueva |
| FCOM Fidelity Msci Communication Services Index Etf ETP | 0,0 % | $482 | 7 | Nueva |
| IAI Ishares U.s. Broker-Dealers & Securities Exchanges Etf ETP | 0,0 % | $424 | 2 | Nueva |
| SPY Spdr S&P 500 ETF Trust ETP | 0,0 % | $344 | 0 | Reducida |
El formulario incluye además 1 posiciones en opciones (puts y calls), con un valor subyacente de $719.298. Quedan fuera de la tabla y de los pesos: el valor de una línea de opciones es el de las acciones a las que se refiere, no lo que costó la opción.
Ya no aparece
En el formulario del 31 mar. 2026 y no en este. El formulario no dice por qué: la posición pudo venderse, pasar a otra entidad o quedar por debajo del umbral de declaración.
Lo que un 13F deja fuera. Se presenta hasta 45 días después del cierre del trimestre, así que enseña posiciones que quizá ya han cambiado. Solo recoge posiciones largas en acciones cotizadas en EE. UU. y algunas opciones: ni posiciones cortas, ni efectivo, ni bonos, ni acciones que coticen en otros mercados, y nada sobre cuándo o por qué se compró o se vendió algo. Describe una parte de un fondo en una fecha; no lo que el fondo está haciendo, ni una razón para hacer nada.