Walleye Capital LLC
The positions Walleye Capital LLC reported on its Form 13F for Q2 2026, the quarter ending 30 Jun 2026, filed on 3 Aug 2026. Every figure below is the filing’s own: US-listed long equity, valued at the quarter end, with the change measured against the same manager’s previous filing.
Opened this quarter
A new position is the clearest thing a filing says. Somebody argued for it recently, and it is the easiest question to be ready for.
- SPDR Series Trust$1.8bn · 6.4%
- Carnival Corp LTD (CCL)$108m · 0.4%
- Walmart Inc (WMT)$70m · 0.3%
- Super Micro Computer Inc$69m · 0.2%
- Texas Instrs Inc$49m · 0.2%
- Fifth Third Bancorp$47m · 0.2%
- Bank of Amer Corp$41m · 0.1%
- Alphabet Inc$40m · 0.1%
- Intel Corp (INTC)$39m · 0.1%
- Microchip Technology Inc.$39m · 0.1%
- Space Exploration Techn Corp$36m · 0.1%
- Ascendis Pharma A/s (ASND)$34m · 0.1%
- and 8 more, in the table below.
Sold out of this quarter
Exits are valued at what the position was worth in the previous filing, because by this one it is gone.
- Duke Energy Corp New$82m held before
- Axalta Coating Sys LTD$30m held before
- Snowflake Inc (SNOW)$29m held before
- Piper Sandler Companies (PIPR)$25m held before
- Watts Water Technologies Inc (WTS)$21m held before
- National Energy Services Reu$19m held before
- Jazz Pharmaceuticals PLC (JAZZ)$17m held before
- Nexstar Media Group Inc (NXST)$15m held before
- JBT Marel Corporation (JBTM)$15m held before
- Livanova PLC (LIVN)$14m held before
- Honeywell Intl Inc$13m held before
- Carnival Corp (CCL)$13m held before
- and 88 more.
Every reported position, Q2 2026
200 positions, sorted by weight · page 2 of 2
| Position | Weight ↑ | Value | Shares | Change on the quarter | Action |
|---|---|---|---|---|---|
Progressive Corp COM · CUSIP 743315103 | 0.1% | $36m | 165,343 | +$33m +149,121 shares | Added |
Expeditors Intl Wash Inc COM · CUSIP 302130109 | 0.1% | $37m | 224,304 | +$36m +223,066 shares | Added |
Paccar Inc (PCAR) COM · CUSIP 693718108 | 0.1% | $37m | 305,000 | +$14m +112,636 shares | Added |
Dell Technologies Inc (DELL) CL C · CUSIP 24703L202 | 0.1% | $37m | 85,692 | +$28m +30,947 shares | Added |
Lumentum HLDGS Inc COM · CUSIP 55024U109 | 0.1% | $38m | 44,026 | -$10m -24,339 shares | Trimmed |
Five Below Inc (FIVE) COM · CUSIP 33829M101 | 0.1% | $38m | 212,382 | +$10m +90,767 shares | Added |
Microchip Technology Inc. DEP SHS REPSTG · CUSIP 595017302 | 0.1% | $39m | 500,000 | No earlier filing | New |
Cloudflare Inc (NET) NOTE 8/1 · CUSIP 18915MAC1 | 0.1% | $39m | 30,000,000 | -$11m -12,500,000 shares | Trimmed |
Intel Corp (INTC) COM · CUSIP 458140100 | 0.1% | $39m | 277,826 | No earlier filing | New |
Lockheed Martin Corp (LMT) COM · CUSIP 539830109 | 0.1% | $39m | 76,600 | +$19m +43,605 shares | Added |
Zions Bancorporation Natl AS COM · CUSIP 989701107 | 0.1% | $40m | 581,257 | +$40m +580,856 shares | Added |
Alphabet Inc DEP SHS RP1/20 B · CUSIP 02079K602 | 0.1% | $40m | 800,000 | No earlier filing | New |
Bank of Amer Corp 7.25%CNV PFD L · CUSIP 060505682 | 0.1% | $41m | 32,281 | No earlier filing | New |
Nvidia Corporation (NVDA) COM · CUSIP 67066G104 | 0.1% | $41m | 205,767 | -$90m -543,713 shares | Trimmed |
Liberty Media Corp Del NOTE 3.750% 3/1 · CUSIP 531229AP7 | 0.1% | $41m | 36,000,000 | +$7.5m +3,500,000 shares | Added |
Nvidia Corporation (NVDA) COM CALL · CUSIP 67066G104 | 0.1% | $42m | 207,800 | +$9.5m +23,700 shares | Added |
Starwood Ppty TR Inc NOTE 6.750% 7/1 · CUSIP 85571BBA2 | 0.1% | $42m | 41,020,000 | +$800k +1,020,000 shares | Added |
Pg&e Corp NOTE 4.250%12/0 · CUSIP 69331CAL2 | 0.2% | $43m | 41,500,000 | -$5.7m -5,000,000 shares | Trimmed |
Box Inc NOTE 1.500% 9/1 · CUSIP 10316TAD6 | 0.2% | $43m | 43,973,000 | +$11m +8,973,000 shares | Added |
Ametek Inc (AME) COM · CUSIP 031100100 | 0.2% | $43m | 178,419 | +$11m +25,904 shares | Added |
Hunt J B Trans SVCS Inc COM · CUSIP 445658107 | 0.2% | $43m | 150,103 | +$41m +138,546 shares | Added |
Ciena Corp (CIEN) COM NEW · CUSIP 171779309 | 0.2% | $44m | 89,241 | +$21m +31,406 shares | Added |
Carlyle Group Inc COM · CUSIP 14316J108 | 0.2% | $45m | 1,060,746 | +$27m +688,791 shares | Added |
Microsoft Corp (MSFT) COM PUT · CUSIP 594918104 | 0.2% | $45m | 121,600 | -$17m -45,900 shares | Trimmed |
United Rentals Inc (URI) COM · CUSIP 911363109 | 0.2% | $46m | 40,483 | +$43m +37,137 shares | Added |
Fifth Third Bancorp COM · CUSIP 316773100 | 0.2% | $47m | 835,806 | No earlier filing | New |
Stmicroelectronics N V NY REGISTRY · CUSIP 861012102 | 0.2% | $47m | 633,205 | +$34m +252,529 shares | Added |
Welltower Inc (WELL) COM · CUSIP 95040Q104 | 0.2% | $48m | 211,681 | +$40m +172,398 shares | Added |
Johnson & Johnson (JNJ) COM CALL · CUSIP 478160104 | 0.2% | $48m | 189,700 | +$14m +49,700 shares | Added |
Texas Instrs Inc COM · CUSIP 882508104 | 0.2% | $49m | 162,712 | No earlier filing | New |
Mercadolibre Inc (MELI) COM · CUSIP 58733R102 | 0.2% | $49m | 28,672 | -$2.8m -1,100 shares | Trimmed |
Eaton Corp PLC (ETN) SHS · CUSIP G29183103 | 0.2% | $49m | 114,225 | +$47m +108,441 shares | Added |
Emerson Elec Co COM · CUSIP 291011104 | 0.2% | $49m | 341,280 | +$48m +334,226 shares | Added |
iShares TR 20 YR TR BD ETF CALL · CUSIP 464287432 | 0.2% | $49m | 570,000 | +$39m +450,700 shares | Added |
Nvidia Corporation (NVDA) COM PUT · CUSIP 67066G104 | 0.2% | $51m | 257,000 | -$43m -282,500 shares | Trimmed |
Marriott Vacations Worldwide (VAC) NOTE 3.250%12/1 · CUSIP 57164YAF4 | 0.2% | $52m | 53,209,000 | +$22m +21,750,000 shares | Added |
Hewlett Packard Enterprise C 7.625 MAND CONV · CUSIP 42824C208 | 0.2% | $53m | 450,000 | +$49m +400,000 shares | Added |
Phillips 66 (PSX) COM · CUSIP 718546104 | 0.2% | $53m | 312,437 | +$49m +289,387 shares | Added |
Credo Technology Group Holdi ORDINARY SHARES · CUSIP G25457105 | 0.2% | $53m | 194,736 | +$51m +175,781 shares | Added |
Equinix Inc (EQIX) COM · CUSIP 29444U700 | 0.2% | $53m | 51,236 | -$4.7m -8,026 shares | Trimmed |
Trip Com Group LTD NOTE 0.750% 6/1 · CUSIP 89677QAB3 | 0.2% | $54m | 55,000,000 | -$6.4m -3,500,000 shares | Trimmed |
Analog Devices Inc (ADI) COM · CUSIP 032654105 | 0.2% | $55m | 137,616 | +$27m +51,604 shares | Added |
Toll Brothers Inc (TOL) COM · CUSIP 889478103 | 0.2% | $55m | 334,325 | +$1.7m -56,677 shares | Trimmed |
WW Grainger Inc COM · CUSIP 384802104 | 0.2% | $55m | 40,683 | +$55m +40,672 shares | Added |
SLM Corp COM · CUSIP 78442P106 | 0.2% | $57m | 2,180,990 | +$56m +2,168,039 shares | Added |
Northrop Grumman Corp COM · CUSIP 666807102 | 0.2% | $57m | 111,569 | +$55m +109,490 shares | Added |
Ss&c Tech HLDGS COM · CUSIP 78467J100 | 0.2% | $58m | 933,976 | +$55m +894,906 shares | Added |
Pfizer Inc (PFE) COM · CUSIP 717081103 | 0.2% | $58m | 2,417,136 | +$28m +1,346,650 shares | Added |
Advanced Micro Devices Inc (AMD) COM CALL · CUSIP 007903107 | 0.2% | $59m | 101,600 | +$34m -22,000 shares | Trimmed |
Goldman Sachs Group Inc COM · CUSIP 38141G104 | 0.2% | $59m | 58,344 | +$35m +29,416 shares | Added |
American Airlines Group Inc (AAL) COM · CUSIP 02376R102 | 0.2% | $59m | 3,276,588 | +$57m +3,079,362 shares | Added |
Lam Research Corp (LRCX) COM NEW · CUSIP 512807306 | 0.2% | $61m | 139,713 | +$60m +137,669 shares | Added |
Ge Aerospace COM NEW · CUSIP 369604301 | 0.2% | $61m | 162,908 | +$25m +37,262 shares | Added |
Interactive Brokers Group In COM CL A · CUSIP 45841N107 | 0.2% | $63m | 721,389 | +$62m +711,121 shares | Added |
Marvell Technology Inc (MRVL) COM · CUSIP 573874104 | 0.2% | $64m | 214,732 | +$57m +139,381 shares | Added |
Boston Scientific Corp (BSX) COM · CUSIP 101137107 | 0.2% | $67m | 1,578,172 | +$15m +742,220 shares | Added |
Super Micro Computer Inc 7 DEP CM SR A WI · CUSIP 86800U500 | 0.2% | $69m | 1,350,000 | No earlier filing | New |
Procter & Gamble Co (PG) COM · CUSIP 742718109 | 0.2% | $70m | 476,208 | +$70m +475,195 shares | Added |
Huntington Bancshares Inc COM · CUSIP 446150104 | 0.3% | $70m | 3,964,336 | +$4.0m -273,896 shares | Trimmed |
Walmart Inc (WMT) COM · CUSIP 931142103 | 0.3% | $70m | 621,705 | No earlier filing | New |
Strategy Inc NOTE 3/0 · CUSIP 594972AU5 | 0.3% | $71m | 79,947,000 | +$20m +21,947,000 shares | Added |
PNC Finl SVCS Group Inc COM · CUSIP 693475105 | 0.3% | $73m | 297,470 | +$72m +292,847 shares | Added |
Robinhood MKTS Inc COM CL A · CUSIP 770700102 | 0.3% | $73m | 731,759 | +$55m +462,460 shares | Added |
Howmet Aerospace Inc (HWM) COM · CUSIP 443201108 | 0.3% | $78m | 291,467 | +$35m +101,540 shares | Added |
Boeing Co COM · CUSIP 097023105 | 0.3% | $79m | 364,100 | +$50m +216,596 shares | Added |
Allstate Corp COM · CUSIP 020002101 | 0.3% | $81m | 339,616 | +$81m +339,552 shares | Added |
Capital One Finl Corp COM · CUSIP 14040H105 | 0.3% | $84m | 416,599 | +$67m +325,958 shares | Added |
CVS Health Corp (CVS) COM · CUSIP 126650100 | 0.3% | $84m | 813,936 | +$84m +813,025 shares | Added |
International Business Machs COM · CUSIP 459200101 | 0.3% | $84m | 300,154 | +$59m +194,377 shares | Added |
Novanta Inc UNIT 11/01/2028 · CUSIP 67000B203 | 0.3% | $85m | 1,240,000 | +$43m +465,000 shares | Added |
Amgen Inc (AMGN) COM · CUSIP 031162100 | 0.3% | $87m | 240,318 | +$87m +240,293 shares | Added |
Meta Platforms Inc (META) CL A · CUSIP 30303M102 | 0.3% | $87m | 154,977 | -$52m -87,789 shares | Trimmed |
McDonald's Corp (MCD) COM · CUSIP 580135101 | 0.3% | $88m | 325,190 | +$14m +86,553 shares | Added |
Take-two Interactive Softwar COM · CUSIP 874054109 | 0.3% | $89m | 355,932 | +$34m +78,974 shares | Added |
Caterpillar Inc (CAT) COM · CUSIP 149123101 | 0.3% | $91m | 85,858 | +$84m +75,870 shares | Added |
Invesco QQQ TR UNIT SER 1 · CUSIP 46090E103 | 0.3% | $93m | 125,557 | +$15m -9,173 shares | Trimmed |
Tesla Inc (TSLA) COM PUT · CUSIP 88160R101 | 0.3% | $97m | 229,900 | +$23m +31,700 shares | Added |
Cencora Inc (COR) COM · CUSIP 03073E105 | 0.4% | $98m | 347,797 | +$47m +185,397 shares | Added |
Hinge Health Inc (HNGE) CL A · CUSIP 433313103 | 0.4% | $105m | 1,267,650 | +$101m +1,160,801 shares | Added |
Advanced Micro Devices Inc (AMD) COM · CUSIP 007903107 | 0.4% | $106m | 183,136 | +$61m -38,004 shares | Trimmed |
SanDisk Corp (SNDK) COM · CUSIP 80004C200 | 0.4% | $107m | 47,008 | +$55m -34,995 shares | Trimmed |
Carnival Corp LTD (CCL) COMMON SHARES · CUSIP G2004J103 | 0.4% | $108m | 3,763,741 | No earlier filing | New |
Qnity Electronics Inc (Q) COMMON STOCK · CUSIP 74743L100 | 0.4% | $108m | 662,396 | +$83m +446,249 shares | Added |
Cisco Sys Inc COM · CUSIP 17275R102 | 0.4% | $112m | 949,309 | +$112m +949,291 shares | Added |
Applied Matls Inc COM · CUSIP 038222105 | 0.4% | $121m | 167,815 | +$27m -107,771 shares | Trimmed |
Micron Technology Inc (MU) COM · CUSIP 595112103 | 0.4% | $123m | 106,659 | +$104m +51,334 shares | Added |
Alibaba Group HLDG LTD NOTE 0.500% 6/0 · CUSIP 01609WBG6 | 0.4% | $124m | 105,103,000 | -$3.8m +13,000,000 shares | Added |
Tesla Inc (TSLA) COM · CUSIP 88160R101 | 0.5% | $140m | 332,911 | +$85m +185,803 shares | Added |
State STR SPDR S&P 500 ETF T TR UNIT · CUSIP 78462F103 | 0.5% | $141m | 188,548 | -$923m -1,447,604 shares | Trimmed |
Kla Corp (KLAC) COM NEW · CUSIP 482480100 | 0.5% | $141m | 468,562 | +$79m +426,330 shares | Added |
Apple Inc (AAPL) COM · CUSIP 037833100 | 0.5% | $146m | 505,052 | -$12m -117,448 shares | Trimmed |
Invesco QQQ TR UNIT SER 1 PUT · CUSIP 46090E103 | 0.7% | $189m | 256,000 | -$1.7bn -3,000,000 shares | Trimmed |
Echostar Corp (ECHO) NOTE 3.875%11/3 · CUSIP 278768AB2 | 0.7% | $200m | 64,016,000 | +$102m +36,516,000 shares | Added |
iShares Bitcoin Trust ETF (IBIT) SHS BEN INT · CUSIP 46438F101 | 0.8% | $214m | 6,428,551 | +$48m +2,110,996 shares | Added |
JPMorgan Chase & Co COM · CUSIP 46625H100 | 0.8% | $217m | 663,632 | +$215m +656,541 shares | Added |
Microsoft Corp (MSFT) COM · CUSIP 594918104 | 0.8% | $218m | 584,698 | +$152m +406,835 shares | Added |
State STR SPDR S&P 500 ETF T TR UNIT PUT · CUSIP 78462F103 | 0.9% | $265m | 354,900 | +$198m +251,000 shares | Added |
Amazon Com Inc (AMZN) COM · CUSIP 023135106 | 1.6% | $447m | 1,874,326 | -$85m -677,924 shares | Trimmed |
SPDR Series Trust ST STR P500ETF · CUSIP 78464A854 | 6.4% | $1.8bn | 20,509,091 | No earlier filing | New |
iShares TR CORE S&P500 ETF · CUSIP 464287200 | 17% | $4.8bn | 6,358,980 | +$1.2bn +881,565 shares | Added |
Every filing on file
| Quarter | Period end | Filed | Book | Positions | Top 10 | Filing |
|---|---|---|---|---|---|---|
| Q2 2026 | 30 Jun 2026 | 3 Aug 2026 | $28.0bn | 4,674 | 30% | 13F-HR |
| Q1 2026 | 31 Mar 2026 | 13 May 2026 | $24.0bn | 4,317 | 33% | 13F-HR |
| Q4 2025 | 31 Dec 2025 | 13 Feb 2026 | $32.6bn | 4,487 | 28% | 13F-HR |
| Q3 2025 | 30 Sept 2025 | 14 Nov 2025 | $26.7bn | 4,399 | 19% | 13F-HR |
| Q2 2025 | 30 Jun 2025 | 13 Aug 2025 | $25.7bn | 4,429 | 26% | 13F-HR |
| Q1 2025 | 31 Mar 2025 | 14 May 2025 | $22.2bn | 4,157 | 18% | 13F-HR |
| Q4 2024 | 31 Dec 2024 | 13 Feb 2025 | $40.9bn | 4,757 | 23% | 13F-HR |
| Q3 2024 | 30 Sept 2024 | 14 Nov 2024 | $48.1bn | 5,185 | 29% | 13F-HR |
Taking this into the room
Pick one name from the top of the book and one from the new positions, and know both properly: what the company earns, what it is priced at, and what has to be true for the position to work. That is a conversation. Reciting the whole table is not, and the interviewer wrote it.
A position sold out of is worth as much preparation as one opened. Ask what changed rather than asserting the fund was wrong, and be ready for the answer that the thesis played out and the money went somewhere better.
What this filing leaves out
A 13F covers US-listed long equity at one moment in time. Shorts, bonds, cash, private positions and non-US listings never appear, and options are reported in a form that will mislead you if you read them as a position. A long/short manager showing $8bn here may run a book several times that size.
The lag matters too. Positions are as at the quarter end and the filing arrives up to forty-five days later, so what you are reading is at least six weeks old and possibly four months. Phrase it as what the filing showed, not what the fund holds today.
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