
Cathie WoodARK Invest
Public holdings are valued at about $12.9B. Estimated 1Y return on the disclosed holdings is 34.17%. Largest positions include $TSLA, $AMD, and $CRSP, plus 177 more.
Browse tracked investor profiles and explore their holdings, latest portfolio moves, performance, and source-backed data.
11 investors shown.

Public holdings are valued at about $12.9B. Estimated 1Y return on the disclosed holdings is 34.17%. Largest positions include $TSLA, $AMD, and $CRSP, plus 177 more.
The tracked public portfolio covers roughly $13.7B. Estimated 1Y return through the latest disclosure stands at 110.74%. Leading positions include $NVDA, $SNDK, and $ORCL, with 26 more.
About $127B is represented in the tracked public portfolio. The disclosed holdings show an estimated 1Y return of 29.20%. Notable positions include $LLY, $MU, and $GOOGL, alongside 317 more.
Public holdings are valued at about $97.9B. Estimated 1Y return on the disclosed holdings is 2.10%. Largest positions include $NVDA, $AMZN, and $MELI, plus 268 more.
The tracked public portfolio covers roughly $33.1B. Estimated 1Y return through the latest disclosure stands at 0.06%. Leading positions include $TSLA, $ACGL, and $MSCI, with 323 more.
The tracked public portfolio covers roughly $25.5B. Estimated 1Y return through the latest disclosure stands at 10.91%. Leading positions include $NVDA, $TSM, and $GOOGL, with 64 more.
The tracked public portfolio covers roughly $22.8B. Estimated 1Y return through the latest disclosure stands at 9.86%. Leading positions include $GOOGL, $NVDA, and $AMZN, with 51 more.
The tracked public portfolio covers roughly $29.1B. Estimated 1Y return through the latest disclosure stands at 35.89%. Leading positions include $TSM, $GEV, and $LRCX, with 59 more.
Public holdings are valued at about $5.1B. Estimated 1Y return on the disclosed holdings is -10.77%. Largest positions include $ALC, $AMZN, and $V.BA, plus 24 more.
About $14.5B is represented in the tracked public portfolio. The disclosed holdings show an estimated 1Y return of -7.03%. Notable positions include $MSFT, $GOOG, and $LLY, alongside 218 more.
Public portfolio value is approximately $12.5B. Based on quarterly disclosed holdings, estimated 1Y return reached 17.83%. Its largest positions include $VST, $ASML, and $CRS, and 33 more.