AQR CAPITAL MANAGEMENT LLC

CIK
1167557
City
Greenwich
State / Country
CT

Top Portfolio Positions

3,070 positions · $213,090,582,885 total · as of Mar 31, 2026
Ticker Company Shares Value (USD) % of Portfolio
NVDA
Nvidia Corp
Technology
32,117,705 $5,601,327,747 2.63%
MSFT
Microsoft Corp
Technology
10,035,598 $3,714,877,306 1.74%
AAPL
Apple Inc.
Technology
14,593,957 $3,703,800,340 1.74%
AMZN
Amazon Com Inc
Consumer Cyclical
9,468,768 $1,972,060,307 0.93%
AVGO
Broadcom Inc.
Technology
6,185,820 $1,914,573,142 0.90%
BMY
Bristol Myers Squibb Co
Healthcare
29,631,105 $1,797,126,513 0.84%
GOOGL
Alphabet Inc.
Communication Services
5,769,814 $1,659,167,708 0.78%
FIX
Comfort Systems USA Inc
Industrials
1,116,230 $1,539,270,000 0.72%
MU
Micron Technology Inc
Technology
4,523,415 $1,528,190,518 0.72%
EIX
Edison International
Utilities
20,839,328 $1,525,022,016 0.72%

Portfolio Trend

53 quarters · across all stocks

Holdings in SXT

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Shares Held

Position Value (USD)

21 of 21 shown
Report Date Value (USD) Shares
2026-03-31 $1,981,289 22,921
2025-12-31 $3,679,362 39,163
2025-09-30 $1,453,453 15,487
2025-06-30 $1,374,057 13,947
2025-03-31 $658,852 8,852
2024-12-31 $310,407 4,356
2023-09-30 $326,902 5,590
2023-06-30 $1,190,146 16,732
2023-03-31 $40,270 526
2022-12-31 $2,053,426 28,160
2022-09-30 $3,859,186 55,656
2022-06-30 $6,066,409 75,303
2022-03-31 $7,137,008 85,015
2021-12-31 $7,353,509 73,491
2021-09-30 $7,513,280 82,491
2021-06-30 $8,268,730 95,526
2021-03-31 $13,061,100 167,450
2020-12-31 $13,171,928 178,554
2020-09-30 $12,637,149 218,863
2020-06-30 $6,616,235 126,845
2020-03-31 $318,580 7,322