FIS GROUP, INC.

Institutional InvestorSimilar funds →SEC EDGAR: CIK 1637541
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13F Reported Value

$16.3B

Holdings

1,841

Latest Filing

2026-06-30

Filing Quarter

Q2 2026

Portfolio Overview

FIS GROUP, INC. disclosed 1,841 positions worth $16.3B in its Form 13F-HR for Q2 2026, led by $NVDA (NVIDIA CORP) at 8.2% of the equity portfolio, followed by $AAPL and $MSFT. During the quarter the fund opened 197 new positions and exited 42 — including a new stake in $SPCX and a full exit from $CTRA. The portfolio is most concentrated in Technology (50.4% of disclosed assets). All figures are sourced directly from FIS GROUP, INC.’s Form 13F-HR filing with the SEC under CIK 1637541.

Sector Allocation

TechnologyFinancialsIndustrialsConsumer DiscretionaryHealthcareConsumer Staples

AUM History

Top Equity Holdings by Value

Quarterly Activity — Q2 2026

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Top Holdings

AI Quality Scored

Unlock AI quality scores for every holding

32-signal composite ranking on each of FIS GROUP, INC.'s 1,841 positions.

Showing top 10 of 1,841 holdings.

Sector Allocation

Technology

$8.2B

Financials

$1.7B

Industrials

$1.6B

Consumer Discretionary

$1.3B

Healthcare

$1.2B

Consumer Staples

$440.8M

Energy

$405.2M

Materials

$365.7M

Top HoldingsFIS GROUP, INC. (Q2 2026)

Top 150 of 1,841 disclosed positions (by reported value) from the latest Form 13F-HR, with quarter-over-quarter share changes and 13F Pro quality scores. Sourced from SEC EDGAR.

TickerCompanyValue
NVDA$NVDANVIDIA CORP$1.3B
AAPL$AAPLApple Inc.$1.0B
MSFT$MSFTMICROSOFT CORP$657.7M
GOOG$GOOGAlphabet Inc.$597.9M
AVGO$AVGOBroadcom Inc.$499.7M
GOOGL$GOOGLAlphabet Inc.$478.4M
AMZN$AMZNAMAZON COM INC$462.0M
MU$MUMICRON TECHNOLOGY INC$365.0M
TSLA$TSLATesla, Inc.$338.6M
META$METAMeta Platforms, Inc.$331.1M
AMD$AMDADVANCED MICRO DEVICES INC$268.1M
LLY$LLYELI LILLY & Co$266.9M
AMAT$AMATAPPLIED MATERIALS INC /DE$165.8M
JPM$JPMJPMORGAN CHASE & CO$162.4M
V$VVISA INC.$160.2M
LRCX$LRCXLAM RESEARCH CORP$157.8M
BRK.B$BRK.BBERKSHIRE HATHAWAY INC$144.8M
CAT$CATCATERPILLAR INC$130.0M
JNJ$JNJJOHNSON & JOHNSON$118.6M
INTC$INTCINTEL CORP$118.2M
MA$MAMastercard Inc$118.0M
KLAC$KLACKLA CORP$112.5M
GE$GEGENERAL ELECTRIC CO$105.6M
COST$COSTCOSTCO WHOLESALE CORP /NEW$99.0M
CSCO$CSCOCISCO SYSTEMS, INC.$92.8M
XOM.R34088$XOM.R34088EXXON MOBIL CORP$92.4M
WMT$WMTWalmart Inc.$91.2M
HD$HDHOME DEPOT, INC.$89.0M
ABBV$ABBVAbbVie Inc.$88.3M
GEV$GEVGE Vernova Inc.$86.5M
NFLX$NFLXNETFLIX INC$85.8M
PANW$PANWPalo Alto Networks Inc$77.5M
TXN$TXNTEXAS INSTRUMENTS INC$76.8M
BAC$BACBANK OF AMERICA CORP /DE/$76.4M
SNDK$SNDKSandisk Corp$71.9M
UNH$UNHUNITEDHEALTH GROUP INC$70.6M
ORCL$ORCLORACLE CORP$70.5M
MRVL$MRVLMarvell Technology, Inc.$70.2M
PLTR$PLTRPalantir Technologies Inc.$70.0M
KO$KOCOCA COLA CO$64.2M
WDC$WDCWESTERN DIGITAL CORP$63.5M
MRK$MRKMerck & Co., Inc.$60.8M
PG$PGPROCTER & GAMBLE Co$60.8M
APH$APHAMPHENOL CORP /DE/$58.6M
CVX$CVXCHEVRON CORP$56.5M
CRWD$CRWDCrowdStrike Holdings, Inc.$55.8M
GLW$GLWCORNING INC /NY$55.2M
GS$GSGOLDMAN SACHS GROUP INC$53.5M
ANET$ANETArista Networks, Inc.$51.1M
IBM$IBMINTERNATIONAL BUSINESS MACHINES CORP$48.7M
AMGN$AMGNAMGEN INC$48.5M
C$CCITIGROUP INC$47.4M
WFC$WFCWELLS FARGO & COMPANY/MN$46.5M
LIN$LINLINDE PLC$46.2M
PM$PMPhilip Morris International Inc.$46.1M
MS$MSMORGAN STANLEY$45.8M
RTX$RTXRTX Corp$42.1M
BKNG$BKNGBooking Holdings Inc.$41.3M
ADI$ADIANALOG DEVICES INC$40.6M
ISRG$ISRGINTUITIVE SURGICAL INC$38.9M
TJX$TJXTJX COMPANIES INC /DE/$37.9M
AXP$AXPAMERICAN EXPRESS CO$37.8M
BA$BABOEING CO$36.6M
VRT$VRTVertiv Holdings Co$36.5M
PEP$PEPPEPSICO INC$35.8M
APP$APPAppLovin Corp$35.3M
QCOM$QCOMQUALCOMM INC/DE$35.1M
MCD$MCDMCDONALDS CORP$35.0M
TMO$TMOTHERMO FISHER SCIENTIFIC INC.$34.5M
ETN$ETNEaton Corp plc$33.0M
SCHW$SCHWSCHWAB CHARLES CORP$32.8M
VZ$VZVERIZON COMMUNICATIONS INC$32.4M
DIS$DISWalt Disney Co$32.3M
NEE$NEENEXTERA ENERGY INC$32.0M
HWM$HWMHowmet Aerospace Inc.$31.8M
TT$TTTrane Technologies plc$31.4M
WELL$WELLWELLTOWER INC.$30.5M
GILD$GILDGILEAD SCIENCES, INC.$30.1M
UNP$UNPUNION PACIFIC CORP$30.0M
PWR$PWRQUANTA SERVICES, INC.$29.4M
DE$DEDEERE & CO$29.4M
MCK$MCKMCKESSON CORP$29.4M
CDNS$CDNSCADENCE DESIGN SYSTEMS INC$28.8M
ABT$ABTABBOTT LABORATORIES$28.5M
NOW$NOWServiceNow, Inc.$28.0M
T$TAT&T INC.$27.7M
PGR$PGRPROGRESSIVE CORP/OH/$27.4M
CVS$CVSCVS HEALTH Corp$27.2M
DELL$DELLDell Technologies Inc.$27.0M
SBUX$SBUXSTARBUCKS CORP$26.9M
UBER$UBERUber Technologies, Inc$26.7M
PFE$PFEPFIZER INC$26.7M
LMT$LMTLOCKHEED MARTIN CORP$26.4M
BLK$BLKBlackRock, Inc.$26.2M
FTNT$FTNTFortinet, Inc.$26.1M
BMY$BMYBRISTOL MYERS SQUIBB CO$25.6M
SPG$SPGSIMON PROPERTY GROUP INC.$25.6M
CRM$CRMSalesforce, Inc.$25.6M
MO$MOALTRIA GROUP, INC.$25.2M
DDOG$DDOGDatadog, Inc.$24.6M
STX$STXSeagate Technology Holdings plc$24.6M
SPGI$SPGIS&P Global Inc.$23.9M
AMT$AMTAMERICAN TOWER CORP /MA/$23.8M
PH$PHParker-Hannifin Corp$23.6M
PLD$PLDPrologis, Inc.$23.4M
USB$USBUS BANCORP \DE\$23.0M
CMI$CMICUMMINS INC$23.0M
LOW$LOWLOWES COMPANIES INC$22.9M
VRTX$VRTXVERTEX PHARMACEUTICALS INC / MA$22.8M
DHR$DHRDANAHER CORP /DE/$22.3M
CB$CBChubb Ltd$22.2M
COF$COFCAPITAL ONE FINANCIAL CORP$22.0M
BX$BXBlackstone Inc.$22.0M
ADP$ADPAUTOMATIC DATA PROCESSING INC$21.6M
HLT$HLTHilton Worldwide Holdings Inc.$21.0M
NEM$NEMNEWMONT Corp /DE/$20.9M
ADBE$ADBEADOBE INC.$20.7M
TER$TERTERADYNE, INC$20.7M
COP$COPCONOCOPHILLIPS$20.5M
SYK$SYKSTRYKER CORP$20.2M
CAH$CAHCARDINAL HEALTH INC$19.9M
BNY$BNYBank of New York Mellon Corp$19.8M
FIX$FIXCOMFORT SYSTEMS USA INC$19.7M
DASH$DASHDoorDash, Inc.$19.6M
MAR$MARMARRIOTT INTERNATIONAL INC /MD/$19.5M
SPCX$SPCXSPACE EXPLORATION TECHNOLOGIES CORP$19.5M
SO$SOSOUTHERN CO$19.4M
SNOW$SNOWSnowflake Inc.$19.4M
HOOD$HOODRobinhood Markets, Inc.$19.3M
TDG$TDGTransDigm Group INC$19.2M
CIEN$CIENCIENA CORP$18.9M
JCI$JCIJohnson Controls International plc$18.8M
MDT$MDTMedtronic plc$18.8M
TRGP$TRGPTarga Resources Corp.$18.7M
EQIX$EQIXEQUINIX INC$18.5M
BE$BEBloom Energy Corp$18.4M
MET$METMETLIFE INC$18.3M
URI$URIUNITED RENTALS, INC.$18.2M
RCL$RCLROYAL CARIBBEAN CRUISES LTD$18.1M
DUK$DUKDuke Energy CORP$18.1M
WM$WMWASTE MANAGEMENT INC$18.1M
CL$CLCOLGATE PALMOLIVE CO$17.9M
MPWR$MPWRMONOLITHIC POWER SYSTEMS, INC.$17.7M
ROST$ROSTROSS STORES, INC.$17.6M
MNST$MNSTMonster Beverage Corp$17.6M
PNC$PNCPNC FINANCIAL SERVICES GROUP, INC.$17.5M
WMB$WMBWILLIAMS COMPANIES, INC.$17.5M
NET$NETCloudflare, Inc.$17.4M
FDX$FDXFEDEX CORP$17.3M
CTAS$CTASCINTAS CORP$16.9M

New Positions (197)

SPCX$SPCX SPACE EXPLORATION TECHNOLOGIES CORP$19.5M
HONA$HONA Honeywell Aerospace Inc.$11.7M
FDXF$FDXF FedEx Freight Holding Company, Inc.$3.0M
ISHARES INC - MSCI STH KOR ETF$2.9M
SUNB$SUNB Sunbelt Rentals Holdings, Inc.$2.1M
ASND$ASND Ascendis Pharma A/S$2.1M
FPS$FPS Forgent Power Solutions, Inc.$1.2M
MXL$MXL MAXLINEAR, INC$1.1M
FROG$FROG JFrog Ltd$948,242
GFL$GFL GFL Environmental Inc.$706,626
ACMR$ACMR ACM Research, Inc.$670,233
DFTX$DFTX Definium Therapeutics, Inc.$598,161
ALM$ALM Almonty Industries Inc.$573,009
BITMINE IMMERSION TECHS INC - COM NEW$529,831
FIGR$FIGR Figure Technology Solutions, Inc.$494,615

Exited Positions (42)

CTRA$CTRA Coterra Energy Inc.
HOLX$HOLX HOLOGIC INC
MASI$MASI MASIMO CORP
JHG$JHG Janus Henderson Group Ltd.
APLS$APLS Apellis Pharmaceuticals, Inc.
AL$AL AIR LEASE CORP
CWAN$CWAN Clearwater Analytics Holdings, Inc.
SDA$SDA SunCar Technology Group Inc.
TERN$TERN Terns Pharmaceuticals, Inc.
FOLD$FOLD AMICUS THERAPEUTICS, INC.
ACLX$ACLX Arcellx, Inc.
TPH$TPH Tri Pointe Homes, Inc.
YELP$YELP YELP INC
ISHARES TR
SNAP$SNAP Snap Inc

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