Optiver Holding B.V.Optiver Holding B.V.

Institutional investor · Portfolio as of Q3 2024

SEC EDGAR SourceSEC Filings

Top Holdings938 positions

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Activity:
Stock
Shares
Value
Weight
Avg Buy
Est. P&L
Held
Conviction
104.5M$60B31.3%
Increased
63.1M$36.2B18.9%
Increased
32M$15.6B8.1%
Increased
??INVESCO QQQ TR
CALL
Delisted
21.3M$10.4B5.4%
Increased
??ISHARES TR
PUT
Delisted
46.4M$10.3B5.3%
Decreased
??ISHARES TR
CALL
Delisted
25.5M$5.6B2.9%
Increased
39.7M$4.8B2.5%
Increased
59.6M$4.3B2.3%
Decreased
??ON SEMICONDUCTOR CORP
CALL
Delisted
54M$3.9B2.0%
Decreased
27.1M$3.3B1.7%
Decreased
??SPDR GOLD TR
CALL
Delisted
9.9M$2.4B1.2%
Increased
??TESLA INC COM
PUT
Delisted
7.1M$1.9B1.0%
Decreased
??TESLA INC
CALL
Delisted
7.1M$1.9B1.0%
Decreased
??SPDR GOLD TR
PUT
Delisted
7.5M$1.8B1.0%
Increased
SPYSPY
Unit

STATE STREET SPDR S&P 500 ETF TRUST CL USD INC

2.9M$1.7B0.9%$534.46+5.33%
2 qtrssince 2024-Q2
Decreased
0
5.4M$1.3B0.7%
Increased
??APPLE INC
CALL
Delisted
5.1M$1.2B0.6%
Increased
9.9M$975.9M0.5%
Increased
31.8M$938.2M0.5%
Increased
??META PLATFORMS INC
CALL
Delisted
1.5M$845.5M0.4%
Decreased
$191.8B
AUM
938
Positions
Q3 2024
Filing
Rating · 1.0
Quarterly Portfolio Change
+3%Q2'23$140.5B+5%Q3'23$147.5B+11%Q4'23$163.7B+14%Q1'24$185.9B-0%Q2'24$185.4B+3%Q3'24$191.8B
Activity profile
$ moved · Q3'24
New1%Increased57%Decreased41%Exited1%
Composition
Equity vs derivatives
Equity2%Puts58%Calls40%
Holding period
Avg 1.6 years
<1Q13%1-4Q28%1-2Y20%2Y+38%

Optiver Holding B.V. manages $191.8B across 938 positions as of Q3 2024. Top holdings: STATE STREET SPDR S&P 500 ETF (31.3%), STATE STREET SPDR S&P 500 ETF (18.9%), INVESCO QQQ TRUST SERIES I (8.1%). Fund DNA: Diversified Scout. HoldingsIntel Rating: 1/5.0.

Q3 2024 Summary

Active quarter - 243 new positions, 170 exits, 124 increased. No standout high-conviction moves this quarter. Portfolio: $191.8B across 938 positions.

Top holdings by portfolio weight

Total AUM$4B
SPY0.87%
NVDA0.14%
DIA0.13%
QQQ0.07%
AMZN0.07%
AAPL0.05%
BP0.04%
MS50.03%
TSM0.03%
VOD0.03%
Other0.03%

Portfolio allocation by GICS sector

Sectors11
Unknown57.09%
Technology18.57%
Consumer Cyclical5.07%
Energy4.85%
Communication Services4.52%
Financial Services4.37%
Consumer Defensive1.83%
Healthcare1.76%
Basic Materials1.50%
Industrials0.17%
Other0.28%

Behavioral investing profile

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Diversified Scout- primarily Unknown, Technology
Compare DNA across all funds
7-dimension quality assessment
Weak(1.0 / 5.0)
Track Record42
Conviction28
Concentration2
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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.

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Accumulation Streaks

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

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