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SEC 13F monitor

Fund holdings over time.

Per-fund portfolio view plus cross-fund consensus map for Situational Awareness, Altimeter, Atreides, Bridgewater and Third Point. 13F puts and calls are shown as reported exposure clues, not full option strategy economics.

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Current fund: Situational Awareness
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Switch between per-fund holdings, cross-fund consensus, trend lines and SEC ownership filings.
Current: Summary. Latest common period: 2026-03-31.

Summary · Situational Awareness

Selected-fund overview plus SEC 13F sanity check.

Portfolio value
$13.7B
SEC 13F parse
Rows
42
Latest 13F rows
Report date
2026-03-31
Latest report period
CIK
0002045724
SEC filer id

Filer profile

Manager: Situational Awareness
CIK: 0002045724
Address: 77 Federal Street, San Francisco, CA 94107
Phone: (415) 916-1521

Data check vs SEC parse

Showing Situational Awareness's latest SEC 13F information table for 2026-03-31: 42 rows and $13.7B reported value. Top rows below are taken from the selected fund, not hard-coded to Situational Awareness.

Top holdingTypeWeightValue
Vaneck Etf TrustPUT14.9%$2.0B
Nvidia CorporationPUT11.5%$1.6B
Oracle CorpPUT7.8%$1.1B
Broadcom IncPUT7.4%$1.0B
Advanced Micro Devices IncPUT7.1%$969.2M
Bloom Energy CorpSHARES6.4%$878.7M
Sandisk CorpSHARES5.3%$724.4M
Micron Technology IncPUT4.3%$583.7M
Coreweave IncSHARES4.1%$556.1M
Taiwan Semiconductor ManufacPUT3.9%$535.1M
Asml Hldg Nv N Y RegistryPUT3.6%$494.1M
Micron Technology IncCALL3.1%$422.3M
Iren LimitedSHARES2.9%$401.0M
Core Scientific Inc NewSHARES2.8%$389.1M
Sandisk CorpCALL2.8%$388.8M
Taiwan Semiconductor ManufacCALL2.6%$354.8M
Applied Digital CorpSHARES2.3%$320.0M
Intel CorpPUT1.2%$159.1M
Riot Platforms IncSHARES1%$142.2M
Coreweave IncCALL1%$140.6M
Cleanspark IncSHARES0.8%$104.5M
Solaris Energy Infras IncSHARES0.5%$62.5M
Bloom Energy CorpCALL0.4%$55.3M
T1 Energy IncSHARES0.3%$43.9M
Bitfarms LtdSHARES0.3%$38.8M
Bitdeer Technologies GroupSHARES0.2%$29.8M
Power Solutions Intl IncSHARES0.2%$26.3M
Corning IncPUT0.2%$21.0M
Whitefiber IncSHARES0.2%$20.9M
Advanced Micro Devices IncSHARES0.2%$20.2M
Babcock & Wilcox EnterprisesSHARES0.2%$19.9M
Sharonai Holdings IncSHARES0.1%$18.1M
Propetro Hldg CorpSHARES0.1%$13.1M
Vaneck Etf TrustSHARES0.1%$10.3M
Intel CorpSHARES0.1%$8.9M
Taiwan Semiconductor ManufacSHARES0.1%$7.6M
Infosys LtdPUT0.1%$6.8M
Hive Digital Technologies LtSHARES0.1%$6.4M
Asml Hldg Nv N Y RegistrySHARES0%$6.1M
Micron Technology IncSHARES0%$5.9M
Corning IncSHARES0%$718.3K
Nvidia CorporationSHARES0%$497.9K

13F caveats

  • SEC XML value fields are kept as submitted; spot checks against shares × quarter-end prices show these recent filings are dollar market values, not $000-scaled values.
  • 13F option rows disclose the underlying security value and PUT/CALL label, not premium, strike, expiry, delta, or full strategy.
  • 13F data is delayed and long-only for reportable securities; use puts/calls as exposure clues, not full long/short truth.

Generated from SEC EDGAR 13F-HR information tables at 2026-06-06T02:24:23Z.