Amazon Com Inc

Holdings as of Jun 30, 2026 · filed Aug 6, 2026

$4423057466
Portfolio value
6
Positions
Source: SEC 13-F ↗
Original filing
# Holding Value % Port. Δ Shares Change (QoQ)
1 Rivian Automotive Inc $2747612520 62.12% Held
2 X-Energy Inc $1208766365 27.33% NEW BUY
3 Beta Technologies Inc $196877758 4.45% Held
4 Astera Labs Inc $134171847 3.03% Held
5 Marvell Technology Inc $118069297 2.67% Held
6 Allegiant Travel Co $17559679 0.40% NEW BUY

Closed last quarter

Nautilus Biotechnology Inc

Holdings disclosed quarterly to the SEC on Form 13-F and may be up to 45 days old. Values as reported. For research only — not investment advice.