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See Which Recent 13F Filers Hold NVDA But HBK Investments, SummitTX Capital and Discovery Capital Management Exited

At Holdings Channel, we have reviewed the latest batch of the 101 most recent 13F filings for the 06/30/2026 reporting period, and noticed that NVIDIA Corp (Symbol: NVDA) was held by 52 of these funds. When hedge fund managers appear to be thinking alike, we find it is a good idea to take a closer look.

Before we proceed, it is important to point out that 13F filings do not tell the whole story, because these funds are only required to disclose their long positions with the SEC, but are not required to disclose their short positions. A fund making a bearish bet against a stock by shorting calls, for example, might also be long some amount of stock as they trade around their overall bearish position. This long component could show up in a 13F filing and everyone might assume the fund is bullish, but this tells only part of the story because the bearish/short side of the position is not seen.

Having given that caveat, we believe that looking at groups of 13F filings can be revealing, especially when comparing one holding period to another. Below, let’s take a look at the change in NVDA positions, for this latest batch of 13F filers:

FundNew Position?Change In Share CountChange In Market Value ($ in 1000’s)
Turner Financial Group Inc.NEW+7,673+$1,535
HBK Investments L PExisting+2,362,583+$385,589
Imprint Wealth LLCExisting+42+$134
LuminArx Capital Management LPExisting+145,000$21
Chevy Chase Trust Holdings LLCExisting317,913+$318,912
Stansberry Asset Management LLCExisting+15,334+$5,453
GTS Securities LLCExisting+122,310+$36,320
AlphaGrep UK LtdExisting8,259$1,224
Kingdon Capital Management L.L.C.Existing+40,000+$13,142
Regal Investment Advisors LLCExisting+3,835+$4,185
Tradewinds LLC.Existing111,732+$147
Per Stirling Capital Management LLC.Existing+330+$330
Bridgefront Capital LLCExisting+4,947+$1,070
Alpine Global Management LLCExisting16,723$2,614
Ingalls & Snyder LLCExisting+437+$5,944
Artemis Wealth Advisors LLCExisting12,639$1,358
CSM Advisors LLCExisting+52,613+$28,585
Sora Investors LLCNEW+89,310+$17,870
MAI Capital ManagementExisting+483,235+$139,856
Stance Capital LLCExisting+8,569+$1,737
Caxton Associates LLPExisting1,552,630$244,554
J Hagan Capital Inc.Existing229+$1,440
Beck Mack & Oliver LLCExisting+400+$389
Prestige Wealth Management Group LLCExisting+460+$882
GAM Holding AGExisting16,670+$6,126
Aquatic Capital Management LLCNEW+95,831+$19,175
Hudson Bay Capital Management LPExisting+34,106$5,654
Meadow Creek Wealth Advisors LLCExisting6,774$417
Pennington Partners & CO. LLCExisting+4,290+$1,268
Marshall Investment Management LLCExisting+1,103+$908
Coastline Trust CoExisting17,192+$8,685
Barclays PLCExisting18,081,092$1,574,274
Genesis Financial Group LLCExisting2,588$229
Foundations Investment Advisors LLCExisting+58,630+$33,362
Cape Cod Five Cents Savings BankNEW+115,868+$23,184
Resources Management Corp CT ADVExisting4,646+$926
DF Dent & Co. Inc.Existing+1,907+$538
MIRAE ASSET GLOBAL ETFS HOLDINGS Ltd.Existing563,532+$195,163
DZ BANK AG Deutsche Zentral Genossenschafts Bank Frankfurt am MainExisting3,330,531+$550,764
Norinchukin Bank TheExisting+10,944+$48,975
Xcelsior Advisor Partners LLCExisting+61,731+$13,520
Vertex Planning Partners LLCExisting+1,380+$383
KADENSA CAPITAL LtdExisting248,351$36,990
Arjuna CapitalExisting4,751+$2,903
Strategic Family Wealth Counselors L.L.C.Existing30+$1,156
Macquarie Group Ltd.Existing+1,495,017+$410,388
Boothbay Fund Management LLCExisting+20,689+$9,648
Spear Advisors LLCExisting377+$1,120
Tiger Global Management LLCExisting812,979+$145,912
Quadrant Capital Group LLCExisting1,164+$17,503
NZS Capital LLCExisting+466,793+$102,244
Kensington Investment Counsel LLCExisting+1,945+$1,214
Aggregate Change:19,403,490+$691,250

In terms of shares owned, we count 27 of the above funds having increased existing NVDA positions from 03/31/2026 to 06/30/2026, with 21 having decreased their positions and 4 new positions. Worth noting is that HBK Investments L P, SummitTX Capital L.P., and Discovery Capital Management LLC CT, included in this recent batch of 13F filers, exited NVDA common stock as of 06/30/2026.

Looking beyond these particular funds in this one batch of most recent filers, we tallied up the NVDA share count in the aggregate among all of the funds which held NVDA at the 06/30/2026 reporting period (out of the 6,891 we looked at in total). We then compared that number to the sum total of NVDA shares those same funds held back at the 03/31/2026 period, to see how the aggregate share count held by hedge funds has moved for NVDA. We found that between these two periods, funds increased their holdings by 38,743,336 shares in the aggregate, from 12,856,644,928 up to 12,895,388,264 for a share count increase of approximately 0.30%. The overall top three funds holding NVDA on 06/30/2026 were:

We’ll keep following the latest 13F filings by hedge fund managers and bring you interesting stories derived from a look at the aggregate information across groups of managers between filing periods. While looking at individual 13F filings can sometimes be misleading due to the long-only nature of the information, the sum total across groups of funds from one reporting period to another can be a lot more revealing and relevant, providing interesting stock ideas that merit further research, like NVIDIA Corp (Symbol: NVDA).

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