HoldingsChannel.com
ARK Investment Management LLC Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
Tesla Inc 712,348 +115,699 $769,200
     TSLA712,348+115,699$769,200
Invitae Corp 23,820,712 +7,725,962 $721,529
     NVTA23,820,712+7,725,962$721,529
Square Inc 6,035,756 +1,256,887 $633,392
     SQ6,035,756+1,256,887$633,392
CRISPR Therapeutics AG 6,483,251 +2,197,619 $476,454
     CRSP6,483,251+2,197,619$476,454
Roku Inc 3,322,980 +1,636,130 $387,227
     ROKU3,322,980+1,636,130$387,227
2U Inc 9,624,014 +2,865,194 $365,328
     TWOU9,624,014+2,865,194$365,328
Illumina Inc 928,537 -75,489 $343,884
     ILMN928,537-75,489$343,884
Zillow Group Inc 5,033,059 +1,684,211 $289,300
     ZG5,033,059+1,684,211$289,300
LendingTree Inc 940,694 +465,009 $272,359
     TREE940,694+465,009$272,359
Proto Labs Inc 2,216,406 +613,730 $249,279
     PRLB2,216,406+613,730$249,279
Intellia Therapeutics Inc 11,403,379 +1,164,093 $239,699
     NTLA11,403,379+1,164,093$239,699
Editas Medicine Inc 7,546,146 +2,210,205 $223,215
     EDIT7,546,146+2,210,205$223,215
Compugen Ltd 14,098,423 +3,772,063 $211,758
     CGEN14,098,423+3,772,063$211,758
Xilinx Inc 2,089,426 +537,360 $205,579
     XLNX2,089,426+537,360$205,579
Splunk Inc 980,624 +225,757 $194,850
     SPLK980,624+225,757$194,850
Pure Storage Inc 11,113,032 +6,794,985 $192,589
     PSTG11,113,032+6,794,985$192,589
Stratasys Ltd 11,290,045 +1,494,908 $179,060
     SSYS11,290,045+1,494,908$179,060
Pinterest Inc 7,562,955 +1,954,033 $167,671
     PINS7,562,955+1,954,033$167,671
PagerDuty Inc 5,198,461 +2,590,936 $148,780
     PD5,198,461+2,590,936$148,780
Teradyne Inc 1,753,395 +1,031,373 $148,179
     TER1,753,395+1,031,373$148,179
Slack Technologies Inc 4,728,097 +4,728,097 $146,997
     WORK4,728,097+4,728,097$146,997
Cerus Corp 21,758,435 +7,753,379 $143,606
     CERS21,758,435+7,753,379$143,606
Veracyte Inc 5,063,793 +1,797,934 $131,152
     VCYT5,063,793+1,797,934$131,152
Iovance Biotherapeutics Inc 4,235,273 +3,348,094 $116,258
     IOVA4,235,273+3,348,094$116,258
Materialise NV 4,760,879 +1,381,715 $107,405
     MTLS4,760,879+1,381,715$107,405
Spotify Technology SA 405,152 +349,457 $104,606
     SPOT405,152+349,457$104,606
NanoString Technologies Inc 3,484,811 +433,151 $102,279
     NSTG3,484,811+433,151$102,279
Syros Pharmaceuticals Inc 8,513,133 +2,613,735 $90,750
     SYRS8,513,133+2,613,735$90,750
Arcturus Therapeutics Holdings 1,918,835 +354,378 $89,686
     ARCT1,918,835+354,378$89,686
Zscaler Inc 781,139 +672,055 $85,535
     ZS781,139+672,055$85,535
Iridium Communications Inc 3,271,191 +1,633,240 $83,219
     IRDM3,271,191+1,633,240$83,219
Autodesk Inc 339,868 -98,050 $81,293
     ADSK339,868-98,050$81,293
Twist Bioscience Corp 1,643,490 +999,397 $74,450
     TWST1,643,490+999,397$74,450
Seres Therapeutics Inc 12,478,934 +3,831,623 $59,400
     MCRB12,478,934+3,831,623$59,400
Tencent Holdings Ltd      $56,025
     ADR875,394+410,723$56,025
Cellectis SA 2,779,327 +1,231,281 $49,472
     CLLS2,779,327+1,231,281$49,472
Amazon.com Inc 17,762 +3,480 $49,002
     AMZN17,762+3,480$49,002
MercadoLibre Inc 49,323 +1,498 $48,621
     MELI49,323+1,498$48,621
CareDx Inc 1,275,502 +487,358 $45,191
     CDNA1,275,502+487,358$45,191
Snap Inc 1,909,364 +844,036 $44,851
     SNAP1,909,364+844,036$44,851
Facebook Inc 170,411 +164,345 $38,695
     FB170,411+164,345$38,695
Apple Inc 103,630 +16,328 $37,804
     AAPL103,630+16,328$37,804
Guardant Health Inc 458,552 +210,901 $37,202
     GH458,552+210,901$37,202
Grayscale Bitcoin Trust BTC      $35,467
     Open End Fund3,692,595+851,920$35,467
Fate Therapeutics Inc 1,019,830 +464,748 $34,990
     FATE1,019,830+464,748$34,990
Incyte Corp 332,778 +128,494 $34,599
     INCY332,778+128,494$34,599
HUYA Inc 1,805,554 +1,251,941 $33,710
     HUYA1,805,554+1,251,941$33,710
Alibaba Group Holding Ltd 153,558 +48,588 $33,122
     BABA153,558+48,588$33,122
10X Genomics Inc 336,553 +336,553 $30,058
     TXG336,553+336,553$30,058
PayPal Holdings Inc 164,229 +55,347 $28,614
     PYPL164,229+55,347$28,614

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 06/30/2020: $9,297,482
At 03/31/2020: $4,012,308

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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