HoldingsChannel.com
ARK Investment Management LLC Top Holdings
As of  06/30/2023, below is a summary of the ARK Investment Management LLC top holdings by largest position size, as per the latest 13f filing made by ARK Investment Management LLC. In the ARK Investment Management LLC-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by ARK Investment Management LLC in that top holding, then the share count change between reporting periods, and finally the ARK Investment Management LLC top holding position size for that row.

   EntityAmountChange
 03/31/2023 to 06/30/2023
Position Size
($ in 1000's)
Tesla Inc 4,843,621 -596,014 $1,267,915
     TSLA4,843,621-596,014$1,267,915
Coinbase Global Inc 12,121,881 +345,866 $867,321
     COIN12,121,881+345,866$867,321
UiPath Inc 48,280,787 +3,388,821 $800,013
     PATH48,280,787+3,388,821$800,013
Roku Inc 11,958,292 -525,139 $764,852
     ROKU11,958,292-525,139$764,852
Block Inc 10,726,935 +256,004 $714,092
     SQ10,726,935+256,004$714,092
Zoom Video Communications Inc 10,462,306 -404,727 $710,181
     ZM10,462,306-404,727$710,181
Exact Sciences Corp 7,155,098 -4,224,089 $671,864
     EXAS7,155,098-4,224,089$671,864
Shopify Inc 8,874,796 -5,110,995 $573,312
     SHOP8,874,796-5,110,995$573,312
Unity Software Inc 11,935,740 -371,920 $518,250
     U11,935,740-371,920$518,250
Teladoc Health Inc 20,344,101 -240,079 $515,113
     TDOC20,344,101-240,079$515,113
DraftKings Inc 18,060,463 -5,870,792 $479,866
     DKNG18,060,463-5,870,792$479,866
Twilio Inc 7,038,184 +788,183 $447,769
     TWLO7,038,184+788,183$447,769
CRISPR Therapeutics AG 7,338,447 -651,741 $411,980
     CRSP7,338,447-651,741$411,980
Intellia Therapeutics Inc 9,525,931 -311,235 $388,467
     NTLA9,525,931-311,235$388,467
ROBLOX Corp 9,318,548 +292,068 $375,537
     RBLX9,318,548+292,068$375,537
Pacific Biosciences of Califor 26,634,620 -1,119,059 $354,240
     PACB26,634,620-1,119,059$354,240
Robinhood Markets Inc 31,919,788 +185,475 $318,559
     HOOD31,919,788+185,475$318,559
Ginkgo Bioworks Holdings Inc 169,749,527 +4,992,542 $315,734
     DNA169,749,527+4,992,542$315,734
Beam Therapeutics Inc 8,382,595 -190,834 $267,656
     BEAM8,382,595-190,834$267,656
PagerDuty Inc 10,379,689 +549,680 $233,335
     PD10,379,689+549,680$233,335
Veracyte Inc 7,828,292 -580,814 $199,387
     VCYT7,828,292-580,814$199,387
Schrodinger Inc United States 3,517,355 -389,354 $175,586
     SDGR3,517,355-389,354$175,586
10X Genomics Inc 3,113,549 -1,041,774 $173,861
     TXG3,113,549-1,041,774$173,861
Twist Bioscience Corp 6,959,240 -219,872 $142,386
     TWST6,959,240-219,872$142,386
Teradyne Inc 1,172,220 +563,791 $130,503
     TER1,172,220+563,791$130,503
NVIDIA Corp 295,732 -118,587 $125,101
     NVDA295,732-118,587$125,101
Grayscale Bitcoin Trust BTC      $111,697
     Open End Fund5,820,591-315,237$111,697
Palantir Technologies Inc 6,842,989 +6,842,989 $104,903
     PLTR6,842,989+6,842,989$104,903
Kratos Defense & Security Solu 7,278,529 +166,018 $104,374
     KTOS7,278,529+166,018$104,374
Trimble Inc 1,954,457 +52,775 $103,469
     TRMB1,954,457+52,775$103,469
Ionis Pharmaceuticals Inc 2,422,631 -214,561 $99,401
     IONS2,422,631-214,561$99,401
Verve Therapeutics Inc 5,150,851 +668,760 $96,578
     VERV5,150,851+668,760$96,578
Iridium Communications Inc 1,548,046 +95,394 $96,165
     IRDM1,548,046+95,394$96,165
Accolade Inc 5,683,906 -54,806 $76,562
     ACCD5,683,906-54,806$76,562
Adaptive Biotechnologies Corp 10,453,752 +1,248,627 $70,145
     ADPT10,453,752+1,248,627$70,145
AeroVironment Inc 600,314 +7,691 $61,400
     AVAV600,314+7,691$61,400
Meta Platforms Inc 199,745 +199,745 $57,323
     META199,745+199,745$57,323
CareDx Inc 6,638,350 -161,089 $56,426
     CDNA6,638,350-161,089$56,426
Komatsu Ltd      $54,898
     ADR1,559,264-2,011$42,225
     Common Stock471,288-59,900$12,673
Arcturus Therapeutics Holdings 1,906,996 -78,425 $54,693
     ARCT1,906,996-78,425$54,693
MercadoLibre Inc 43,594 -15,857 $51,641
     MELI43,594-15,857$51,641
Cerus Corp 20,657,391 -1,442,728 $50,817
     CERS20,657,391-1,442,728$50,817
Adyen NV      $50,612
     Common Stock21,551-24$37,313
     ADR769,156-3,165$13,299
Deere & Co 117,018 -6,504 $47,415
     DE117,018-6,504$47,415
Global e Online Ltd 1,081,123 -96,640 $44,261
     GLBE1,081,123-96,640$44,261
Vertex Pharmaceuticals Inc 115,671 -4,838 $40,706
     VRTX115,671-4,838$40,706
Veeva Systems Inc 200,394 -8,219 $39,624
     VEEV200,394-8,219$39,624
Archer Aviation Inc 9,164,717 +361,597 $37,759
     ACHR9,164,717+361,597$37,759
3D Systems Corp 3,765,703 +139,036 $37,393
     DDD3,765,703+139,036$37,393
Invitae Corp 32,262,934 +931,593 $36,457
     NVTA32,262,934+931,593$36,457

See Full List: All Stocks Held By ARK Investment Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By ARK Investment Management LLC

Size ($ in 1000's)
At 06/30/2023: $15,104,761
At 03/31/2023: $14,550,630

ARK Investment Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from ARK Investment Management LLC 13F filings. Link to 13F filings: SEC filings

ARK Investment Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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