CTC LLCCTC LLC

Institutional investor · Portfolio as of Q3 2025

Top Holdings162 positions

Checking export access…
Activity:
SPYSPY
PUT

State Street Spdr S&p 500 Etf Trust TR UNIT

660,808$44B22.1%———
Decreased
—
SPYSPY
CALL

State Street Spdr S&p 500 Etf Trust TR UNIT

382,055$25.5B12.8%———
Decreased
—
QQQQQQ
PUT

Invesco QQQ Trust, Series 1 UNIT SER 1

279,331$16.8B8.4%———
Decreased
—
QQQQQQ
CALL

Invesco QQQ Trust, Series 1 UNIT SER 1

233,923$14B7.0%———
Decreased
—
TSLATSLA
CALL

Tesla Inc

202,957$9B4.5%———
Decreased
—
HYGHYG
PUT

ISHARES TR

383,873$8.4B4.2%———
Decreased
—
TSLATSLA
PUT

Tesla Inc

144,063$6.4B3.2%———
Decreased
—
GLDGLD
CALL

SPDR GOLD SHARES

178,631$6.3B3.2%———
Decreased
—
NVDANVDA
CALL

NVIDIA Corp.

294,230$5.5B2.8%———
Decreased
—
GLDGLD
PUT

SPDR GOLD SHARES

148,175$5.3B2.6%———
Decreased
—
NVDANVDA
PUT

NVIDIA Corp.

258,565$4.8B2.4%———
Decreased
—
HYGHYG
CALL

ISHARES TR

193,419$4.5B2.3%———
Decreased
—
MSTRMSTR
PUT

STRATEGY INC CL A NEW

115,458$3.7B1.9%———
Decreased
—
MSTRMSTR
CALL

STRATEGY INC CL A NEW

111,426$3.6B1.8%———
Decreased
—
GOOGGOOG
CALL

Alphabet Inc.

108,489$2.6B1.3%———
Decreased
—
GOOGGOOG
PUT

Alphabet Inc.

104,494$2.5B1.3%———
Decreased
—
METAMETA
CALL

Meta Platforms Inc

33,046$2.4B1.2%———
Decreased
—
MSFTMSFT
PUT

Microsoft Corp.

43,115$2.2B1.1%———
Decreased
—
MSFTMSFT
CALL

Microsoft Corp.

41,500$2.1B1.1%———
Decreased
—
AAPLAAPL
CALL

Apple Inc.

83,877$2.1B1.1%———
Decreased
—
$199.6B
AUM
162
Positions
Q3 2025
Filing
HI score · 1.0/5
Quarterly 13F Value Change
-78%Q2'24$1.3B+63%Q3'24$2.2B-55%Q4'24$991.3M-37%Q1'25$622.9M+152%Q2'25$1.6B+57%Q3'25$2.5B
Activity profile
$ moved · Q3'25
New1%Increased2%Decreased76%Exited22%
Composition
Equity vs derivatives
Equity1%Puts54%Calls44%
Holding period
Avg 2.2 years
<1Q0%1-4Q2%1-2Y75%2Y+23%

CTC LLC manages $199.6B across 162 positions as of Q3 2025. Top holdings: SPY puts (22.1%), SPY calls (12.8%), QQQ puts (8.4%). Fund DNA: Momentum Trader. HoldingsIntel Score: 1/5.0.

Q3 2025 Summary

Active quarter - 7 new positions, 8 exits, 18 increased. No standout high-conviction moves this quarter. Portfolio: $199.6B across 162 positions.

Top holdings by portfolio weight

Total AUM$2B
SPY0.45%
MSFT0.10%
TSLA0.09%
NFLX0.08%
META0.07%
AMD0.06%
PLTR0.05%
IWM0.04%
GOOGL0.04%
AVGO0.04%
Other0.03%

Portfolio allocation by GICS sector

Sectors9
Unknown39.91%
Technology29.42%
Communication Services15.12%
Consumer Cyclical11.67%
Financial Services2.99%
Industrials0.50%
Consumer Defensive0.28%
Energy0.10%
Healthcare0.01%

Behavioral investing profile

Checking access…
Momentum Trader- primarily Unknown, Technology, Communication Services
Compare DNA across all funds
7-dimension, SEC 13F-derived research score
Weak(1.0 / 5.0)
Holdings P&L50
Conviction32
Concentration1
Checking access…

Position Outcomes

Best and worst performing positions by estimated return

Cost basis estimates based on full filing history using quarter-end prices. Actual transaction prices are not disclosed in 13F filings.

Similar Funds

Funds with similar investing DNA

Accumulation Streaks

Positions with 2+ consecutive quarters of increases - persistent directional conviction.

Security
4Q
MELIMELIMERCADOLIBRE INC
Q3 2025 → Q2 2026+38,974 shares+$66.1M
2Q
BABABABAALIBABA GROUP HLDG LTD
Q1 2026 → Q2 2026+557,396 shares+$50.5M
Checking access…

Data sourced from SEC EDGAR 13F filings. Not financial advice. Full disclaimer

Verify source filings on SEC EDGAR

Analytics tracking helps us improve the product. Essential functions stay on either way. How analytics data is used