| # | Fund | Position value | Shares | Last move | As of |
|---|---|---|---|---|---|
| 1 | VANGUARD CAPITAL MANAGEMENT LLC | $535.0M | 5.27M | New | Q1 2026 |
| 2 | STATE STREET CORP | $301.7M | 2.97M | Reduced | Q1 2026 |
| 3 | CITADEL ADVISORS LLC | $116.2M | 1.14M | Added | Q1 2026 |
| 4 | Appaloosa LP | $26.7M | 320.0K | Reduced | Q1 2025 |
| 5 | Bridgewater Associates, LP | $11.5M | 119.7K | Added | Q3 2024 |
| 6 | Gotham Asset Management, LLC | $9.1M | 89.3K | Reduced | Q1 2026 |
| 7 | Point72 Asset Management, L.P. | $1.2M | 11.8K | Reduced | Q1 2026 |
No Form 4 insider transactions on file yet.
| Company | Co-held by | Combined value |
|---|---|---|
| Meta Platforms Inc.META | 70 funds | $54.7B |
| Amazon.com IncAMZN | 69 funds | $88.7B |
| Broadcom LtdAVGO | 69 funds | $63.8B |
| Chevron CorpCVX | 69 funds | $33.3B |
| Visa Inc.V | 69 funds | $26.8B |
| Walmart Inc.WMT | 69 funds | $24.8B |
| Costco Wholesale CorpCOST | 69 funds | $20.3B |
| NVIDIA ORDNVDA | 68 funds | $187.1B |
| Microsoft CorpMSFT | 68 funds | $120.7B |
| GOOGLE INCGOOGL | 68 funds | $69.7B |
| Lilly Eli and CoLLY | 68 funds | $34.5B |
| The Home Depot IncHD | 68 funds | $17.3B |
Ranked by how many of WYNN's institutional holders also hold each name — a cross-fund conviction signal. Via the MCP server (ticker.co_held).
No filings captured for this ticker in the live stream yet.
13F holdings + Form 4 insider transactions + end-of-day price history + the live filing stream, joined for WYNN. Filings are public domain, sourced to SEC EDGAR; price series derived from end-of-day closes. Every panel above is one call to the Arkolith API & MCP server.