JANE STREET GROUP, LLC quarter change: USA Other Stocks, New
In shares no fund filing gives a ticker for, so this site has no page for them (listed in the US), from the quarter ended 2026-03-31 to 2026-06-30, JANE STREET GROUP, LLC opened 33 positions, added to 18, reduced 7, sold out of 66 and left 0 unchanged. The largest increase in value was TECNOGLASS INC (+$4,580,125); the largest decrease was DUPONT DE NEMOURS INC (-$81,508,474).
- TECNOGLASS INC: Country of operation —; Class ORD SHS; Shares 2026-03-31 0; Shares 2026-06-30 97,845.
- GATES INDL CORP PLC: Country of operation —; Class ORD SHS; Shares 2026-03-31 0; Shares 2026-06-30 27,180.
- SPORTS ENTMT GAMING GLOBAL: Country of operation United States; Class COM; Shares 2026-03-31 0; Shares 2026-06-30 500,207.
- PICARD MEDICAL INC: Country of operation United States; Class COM SHS; Shares 2026-03-31 0; Shares 2026-06-30 1,377,216.
Two Form 13F-HR filings compared (SEC CIK 1595888): 2026-03-31 (filed 2026-05-12) and 2026-06-30 (filed 2026-08-14). Rows for the same security, class and put/call are added together. Value change is the filed value at each quarter end, so it includes the price move; share change is the position change.
| Stock | Country of operation | Class | Shares 2026-03-31 | Shares 2026-06-30 | Share change | Value 2026-03-31 | Value 2026-06-30 | Value change |
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TECNOGLASS INC CUSIP G87264100 | | ORD SHS | 0 | 97,845 | +97,845 | $0 | $4,580,125 | +$4,580,125 |
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GATES INDL CORP PLC CUSIP G39108108 | | ORD SHS | 0 | 27,180 | +27,180 | $0 | $760,225 | +$760,225 |
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SPORTS ENTMT GAMING GLOBAL CUSIP 54570M306 | United States | COM | 0 | 500,207 | +500,207 | $0 | $465,192 | +$465,192 |
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PICARD MEDICAL INC CUSIP 71953R108 | United States | COM SHS | 0 | 1,377,216 | +1,377,216 | $0 | $225,175 | +$225,175 |
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ELONG POWER HOLDING LTD. CUSIP G3016G129 | | SHS CL A 2026 | 0 | 158,009 | +158,009 | $0 | $155,639 | +$155,639 |
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SMARTKEM INC CUSIP 83193D203 | | COM NEW | 0 | 524,023 | +524,023 | $0 | $128,386 | +$128,386 |
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JUPITER NEUROSCIENCES INC CUSIP 48208B203 | United States | COM NEW | 0 | 533,395 | +533,395 | $0 | $114,253 | +$114,253 |
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POP CULTURE GROUP CO LTD CUSIP G71700119 | | SHS NEW | 0 | 1,086,016 | +1,086,016 | $0 | $101,217 | +$101,217 |
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ANTELOPE ENTERPRISE HLDGS LT CUSIP G041JN148 | | SHS NEW CL A | 0 | 93,296 | +93,296 | $0 | $95,162 | +$95,162 |
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CREATIVE GLOBAL TECHNOLOGY H CUSIP G2563P102 | | SHS CL A | 0 | 225,735 | +225,735 | $0 | $83,545 | +$83,545 |
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TOP FINANCIAL GROUP LTD CUSIP G989A6102 | | SHS CL A | 0 | 33,948 | +33,948 | $0 | $62,125 | +$62,125 |
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SPLASH BEVERAGE GROUP INC CUSIP 84862C302 | United States | COM SHS | 0 | 348,418 | +348,418 | $0 | $54,004 | +$54,004 |
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FARADAY FUTURE INTLGT ELEC I CUSIP 307359885 | United States | COM NEW CL A | 0 | 222,238 | +222,238 | $0 | $51,226 | +$51,226 |
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VCI GLOBAL LTD CUSIP G98218400 | | ORD NEW | 0 | 18,391 | +18,391 | $0 | $49,655 | +$49,655 |
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MASONGLORY LTD CUSIP G6007A100 | | ORD SHS | 0 | 99,704 | +99,704 | $0 | $49,174 | +$49,174 |
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MAISON SOLUTIONS INC CUSIP 560667305 | | CL A COM | 0 | 51,615 | +51,615 | $0 | $35,594 | +$35,594 |
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CDT EQUITY INC CUSIP 20678X502 | | COM NEW | 0 | 61,190 | +61,190 | $0 | $34,266 | +$34,266 |
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AETHLON MED INC CUSIP 00808Y604 | United States | COM NEW | 0 | 38,880 | +38,880 | $0 | $32,014 | +$32,014 |
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HEALTHY CHOICE WELLNESS CORP CUSIP 42227T105 | United States | CL A | 0 | 140,548 | +140,548 | $0 | $27,266 | +$27,266 |
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BIOAFFINITY TECHNOLOGIES INC CUSIP 09076W307 | United States | COM NEW | 0 | 26,784 | +26,784 | $0 | $21,748 | +$21,748 |
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GENERATION INCOME PPTYS INC CUSIP 37149D204 | United States | COM NEW | 0 | 128,769 | +128,769 | $0 | $21,518 | +$21,518 |
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VIVAKOR INC CUSIP 92852R502 | | COM NEW | 0 | 64,059 | +64,059 | $0 | $21,140 | +$21,140 |
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CCH HLDGS LTD CUSIP G1993F106 | | CL A ORD SHS | 0 | 43,729 | +43,729 | $0 | $20,544 | +$20,544 |
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SOLARMAX TECHNOLOGY INC CUSIP 83419H103 | United States | COM SHS | 0 | 58,733 | +58,733 | $0 | $20,498 | +$20,498 |
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GREENLAND MINES LTD CUSIP 49876K103 | United States | COM | 0 | 70,658 | +70,658 | $0 | $18,372 | +$18,372 |
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K WAVE MEDIA LTD CUSIP G53151109 | | ORD SHS | 0 | 112,304 | +112,304 | $0 | $16,677 | +$16,677 |
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APIMEDS PHARMACEUTICALS US I CUSIP 03771D102 | United States | COM SHS | 0 | 15,993 | +15,993 | $0 | $14,393 | +$14,393 |
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NOCERA INC CUSIP 655186500 | United States | COM | 0 | 130,118 | +130,118 | $0 | $12,297 | +$12,297 |
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NUVVE HOLDING CORP CUSIP 67079Y407 | United States | COM SHS | 0 | 22,781 | +22,781 | $0 | $9,045 | +$9,045 |
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CURANEX PHARMACEUTICALS INC CUSIP 23126K106 | United States | COM | 0 | 31,215 | +31,215 | $0 | $8,278 | +$8,278 |
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INLIF LTD CUSIP G4808M118 | | CL A ORD SHS NEW | 0 | 131,223 | +131,223 | $0 | $7,545 | +$7,545 |
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GMEX ROBOTICS CORP CUSIP G3514S120 | | CL A ORD SHS | 0 | 17,654 | +17,654 | $0 | $6,800 | +$6,800 |
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CANGO INC CUSIP G1820C102 | | ORD CL A | 0 | 22,065 | +22,065 | $0 | $4,512 | +$4,512 |
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