CIK 886982
GOLDMAN SACHS GROUP INC
Institutional 13F holdings & portfolio
Holdings
5,368
Portfolio Value
$41.87B
Latest Report
Dec 31, 2025
Report Periods
3
Holdings
13F filings as of Dec 31, 2025 · Showing 2551–2600 of 5,368
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| TSOL | 21SHARES SOLANA ETF | 103K | $1.28M | SH |
| MTG | MGIC INVT CORP WIS | 44K | $1.28M | SH |
| DAKT | DAKTRONICS INC | 65K | $1.28M | SH |
| FBRT | FRANKLIN BSP RLTY TR INC | 127K | $1.28M | SH |
| ITRG | INTEGRA RES CORP | 318K | $1.28M | SH |
| HUBB | HUBBELL INC | 3K | $1.28M | SH |
| DOO | BRP INC | 18K | $1.27M | SH |
| GCAL | GOLDMAN SACHS ETF TR | 25K | $1.27M | SH |
| WF | WOORI FINL GROUP INC | 22K | $1.27M | SH |
| BBSC | J P MORGAN EXCHANGE TRADED F | 17K | $1.27M | SH |
| TQQQ | PROSHARES TR | 24K | $1.27M | SH |
| KHC | KRAFT HEINZ CO | 52K | $1.27M | SH |
| EXG | EATON VANCE TAX-MANAGED GLOB | 133K | $1.26M | SH |
| PYZ | INVESCO EXCHANGE TRADED FD T | 11K | $1.26M | SH |
| CW | CURTISS WRIGHT CORP | 2K | $1.26M | SH |
| VSTM | VERASTEM INC | 163K | $1.26M | SH |
| FBIZ | FIRST BUSINESS FINL SVCS INC | 23K | $1.26M | SH |
| IBN | ICICI BANK LIMITED | 42K | $1.26M | SH |
| KVUE | KENVUE INC | 73K | $1.26M | SH |
| LIT | GLOBAL X FDS | 19K | $1.26M | SH |
| IBIG | ISHARES TR | 48K | $1.26M | SH |
| SCYX | SCYNEXIS INC | 2.0M | $1.26M | SH |
| IPEX | INFLECTION POINT ACQU CORP V | 122K | $1.26M | SH |
| PTRN | PATTERN GROUP INC | 109K | $1.25M | SH |
| SJNK | SPDR SERIES TRUST | 49K | $1.25M | SH |
| TTWO | TAKE-TWO INTERACTIVE SOFTWAR | 5K | $1.25M | SH |
| REZ | ISHARES TR | 15K | $1.25M | SH |
| DMAA | DRUGS MADE IN AMER ACQUTN CO | 120K | $1.24M | SH |
| EXEL | EXELIXIS INC | 28K | $1.24M | SH |
| PRKS | UNITED PARKS & RESORTS INC | 34K | $1.24M | SH |
| KINS | KINGSTONE COS INC | 74K | $1.24M | SH |
| PPL | PPL CORP | 35K | $1.24M | SH |
| VBK | VANGUARD INDEX FDS | 4K | $1.24M | SH |
| HSY | HERSHEY CO | 7K | $1.24M | SH |
| QGEN | QIAGEN NV | 27K | $1.24M | SH |
| BLND | BLEND LABS INC | 406K | $1.23M | SH |
| THRY | THRYV HLDGS INC | 204K | $1.23M | SH |
| RMR | RMR GROUP INC | 83K | $1.23M | SH |
| CMS | CMS ENERGY CORP | 18K | $1.23M | SH |
| SCHV | SCHWAB STRATEGIC TR | 42K | $1.23M | SH |
| UTHR | UNITED THERAPEUTICS CORP DEL | 3K | $1.23M | SH |
| QSEA | QUARTZSEA ACQUISITION CORP | 120K | $1.22M | SH |
| AD | ARRAY DIGITAL INFRASTRUCTURE | 23K | $1.22M | SH |
| ONDS | ONDAS HLDGS INC | 125K | $1.22M | SH |
| AMCR | AMCOR PLC | 146K | $1.22M | SH |
| AVBP | ARRIVENT BIOPHARMA INC | 61K | $1.22M | SH |
| EVSB | MORGAN STANLEY ETF TRUST | 24K | $1.22M | SH |
| PAYS | PAYSIGN INC | 237K | $1.22M | SH |
| CAPN | CAYSON ACQUISITION CORP | 114K | $1.22M | SH |
| BRTR | BLACKROCK ETF TRUST II | 24K | $1.22M | SH |