Institutions / SG Americas Securities, LLC / Activity
Activity — SG Americas Securities, LLC
2,199 moves.
| Date | Action | Company | Value | Shares Δ | Position after | Impact |
|---|---|---|---|---|---|---|
| Q2 2026 as of | Add | Microsoft Corp Common stock | $6.85M | +18.4M +338.70% | 23,784,314 5.10% of portfolio | medium |
| Q2 2026 as of | Add | Amazon.com Inc Common stock | $5.29M | +22.2M +367.48% | 28,254,904 3.87% of portfolio | medium |
| Q2 2026 as of | Add | Apple Inc. Common stock | $4.69M | +16.2M +232.52% | 23,158,850 3.85% of portfolio | low |
| Q2 2026 as of | Add | Tesla Inc Common stock | $4.00M | +9.5M +559.33% | 11,206,674 2.71% of portfolio | low |
| Q1 2026 as of | Add | Broadcom Inc. Common stock | $3.22M | +10.4M +95.33% | 21,342,800 3.79% of portfolio | low |
| Q1 2026 as of | Add | Alphabet Inc. Common stock | $2.82M | +9.8M +126.47% | 17,582,917 2.90% of portfolio | low |
| Q1 2026 as of | Add | JPMorgan Chase & Co Common stock | $2.76M | +9.4M +150.88% | 15,599,956 2.64% of portfolio | low |
| Q1 2026 as of | Add | Meta Platforms Inc Common stock | $2.17M | +3.8M +173.28% | 5,991,150 1.97% of portfolio | low |
| Q1 2026 as of | Add | Micron Technology Inc Common stock | $2.13M | +6.3M +147.10% | 10,582,752 2.05% of portfolio | low |
| Q2 2026 as of | Add | Marvell Technology, Inc. Common stock | $2.10M | +7.1M +958.24% | 7,803,650 1.34% of portfolio | low |
| Q2 2026 as of | Add | Advanced Micro Devices Inc Common stock | $1.88M | +3.2M +340.51% | 4,196,886 1.40% of portfolio | low |
| Q2 2026 as of | Add | Applied Materials Inc /De Common stock | $1.62M | +2.2M +418.87% | 2,767,054 1.15% of portfolio | low |
| Q2 2026 as of | Add | ELI LILLY & Co Common stock | $1.60M | +1.3M +204.12% | 1,983,708 1.37% of portfolio | low |
| Q1 2026 as of | Add | Alphabet Inc. Common stock | $1.37M | +4.8M +78.72% | 10,824,846 1.78% of portfolio | low |
| Q2 2026 as of | Add | Oracle Corp Common stock | $1.31M | +8.9M +637.89% | 10,306,777 0.87% of portfolio | low |
| Q2 2026 as of | Add | Intel Corp Common stock | $1.21M | +8.7M +176.46% | 13,559,338 1.09% of portfolio | low |
| Q2 2026 as of | Add | Walmart Inc. Common stock | $1.07M | +9.5M +296.57% | 12,674,228 0.82% of portfolio | low |
| Q1 2026 as of | Add | 78462F103 Common stock | $1.06M | +1.6M +291.75% | 2,179,433 0.81% of portfolio | low |
| Q2 2026 as of | Add | Home Depot, Inc. Common stock | $1.05M | +3.0M +880.39% | 3,299,614 0.67% of portfolio | low |
| Q2 2026 as of | Add | Unitedhealth Group Inc Common stock | $933.8K | +2.2M +114.61% | 4,207,158 1.00% of portfolio | low |
| Q2 2026 as of | Add | Alphabet Inc. Common stock | $927.4K | +2.6M +24.25% | 13,449,662 2.73% of portfolio | low |
| Q2 2026 as of | Add | Costco Wholesale Corp /New Common stock | $894.2K | +956K +116.94% | 1,773,372 0.95% of portfolio | low |
| Q2 2026 as of | Add | Lam Research Corp Common stock | $874.8K | +2.0M +185.83% | 3,105,123 0.77% of portfolio | low |
| Q2 2026 as of | Add | PROCTER & GAMBLE Co Common stock | $756.3K | +5.2M +573.55% | 6,056,724 0.51% of portfolio | low |
| Q2 2026 as of | Add | Qualcomm INC/DE Common stock | $732.1K | +4.0M +572.15% | 4,654,496 0.49% of portfolio | low |
| Q2 2026 as of | Add | Palantir Technologies Inc Common stock | $718.1K | +6.2M +567.91% | 7,238,956 0.49% of portfolio | low |
| Q2 2026 as of | Add | AbbVie Inc. Common stock | $717.1K | +2.8M +251.01% | 3,984,924 0.58% of portfolio | low |
| Q2 2026 as of | Add | Booking Holdings Inc Common stock | $675.4K | +3.8M +3869.89% | 3,886,959 0.40% of portfolio | low |
| Q2 2026 as of | Add | Kla Corp Common stock | $580.1K | +1.9M +6697.27% | 1,951,359 0.34% of portfolio | low |
| Q2 2026 as of | Add | Sandisk Corp Common stock | $557.1K | +245K +25.94% | 1,189,503 1.55% of portfolio | low |
| Q2 2026 as of | Add | Analog Devices Inc Common stock | $547.1K | +1.4M +305.35% | 1,828,719 0.42% of portfolio | low |
| Q1 2026 as of | Add | Johnson & Johnson Common stock | $546.4K | +2.2M +125.90% | 4,010,908 0.56% of portfolio | low |
| Q2 2026 as of | Add | RTX Corp Common stock | $531.2K | +2.8M +491.14% | 3,370,133 0.37% of portfolio | low |
| Q2 2026 as of | Add | Pepsico Inc Common stock | $527.5K | +3.9M +251.45% | 5,444,829 0.42% of portfolio | low |
| Q2 2026 as of | Add | ServiceNow Inc Common stock | $502.6K | +5.1M +744.82% | 5,742,255 0.33% of portfolio | low |
| Q2 2026 as of | Add | The Goldman Sachs Group, Inc. Common stock | $492.1K | +487K +304.99% | 646,067 0.38% of portfolio | low |
| Q2 2026 as of | Add | Gilead Sciences, Inc. Common stock | $481.7K | +3.8M +393.83% | 4,780,493 0.35% of portfolio | low |
| Q2 2026 as of | Add | Trane Technologies plc Common stock | $430.5K | +877K +452.64% | 1,070,222 0.30% of portfolio | low |
| Q2 2026 as of | Add | Abbott Laboratories Common stock | $429.8K | +4.7M +229.48% | 6,801,005 0.35% of portfolio | low |
| Q2 2026 as of | Add | Thermo Fisher Scientific Inc. Common stock | $397.7K | +793K +551.18% | 937,270 0.27% of portfolio | low |
| Q1 2026 as of | Add | Amphenol Corp /De Common stock | $392.2K | +3.1M +294.30% | 4,159,165 0.30% of portfolio | low |
| Q2 2026 as of | Add | Kenvue Inc. Common stock | $387.2K | +20.3M +822.99% | 22,723,981 0.25% of portfolio | low |
| Q1 2026 as of | Add | Bristol Myers Squibb Co Common stock | $381.2K | +6.3M +239.56% | 8,910,032 0.31% of portfolio | low |
| Q1 2026 as of | Add | Booking Holdings Inc Common stock | $379.1K | +90K +1145.21% | 97,911 0.24% of portfolio | low |
| Q2 2026 as of | Add | 78467X109 Common stock | $376.5K | +721K +480.42% | 870,693 0.26% of portfolio | low |
| Q2 2026 as of | Add | Netflix Inc Common stock | $373.9K | +5.2M +140.86% | 8,953,967 0.37% of portfolio | low |
| Q2 2026 as of | Add | Microchip Technology Inc Common stock | $369.2K | +4.0M +1015.46% | 4,447,284 0.23% of portfolio | low |
| Q2 2026 as of | Add | Warren E. Buffett Common stock | $365.6K | +731K +143.46% | 1,240,026 0.36% of portfolio | low |
| Q1 2026 as of | Add | ELI LILLY & Co Common stock | $364.6K | +396K +154.87% | 652,281 0.34% of portfolio | low |
| Q2 2026 as of | Add | Citigroup Inc Common stock | $355.3K | +2.5M +124.66% | 4,574,710 0.37% of portfolio | low |