Future Fund LLC
13F filer · CIK 1911970 · Chicago, IL
Summary
Future Fund LLC reported $348.75M across 118 positions in its 13F for 2026 Q2, filed Aug 12, 2026. The largest holdings are HALO (3.2%), GH (2.8%), NVDA (2.2%). Versus 2026 Q1, leaving options aside, it opened 10 new positions, added to 93, trimmed 15 and sold out of 19.
Reported value$348.75M
Positions118
Report period2026 Q2
FiledAug 12, 2026
New positions10
Added93
Trimmed15
Sold out19
Top 25 holdings
By reported value, options listed separately · change vs 2026 Q1
Weight 3.2%Value $11.11MPrice $112.89Shares 142K +49.29%Since Jun 30 +44.23%
Weight 2.8%Value $9.64MPrice $177.33Shares 64K +38.25%Since Jun 30 +18.20%
Weight 2.2%Value $7.81MPrice $228.86Shares 39K +41.11%Since Jun 30 +14.38%
Weight 2.2%Value $7.75MPrice $134.35Shares 40K +21.30%Since Jun 30 -30.98%
Weight 2.0%Value $7.14MPrice $344.19Shares 15KSince Jun 30 -29.84%
Weight 1.8%Value $6.28MPrice $80.12Shares 51K +5.55%Since Jun 30 -34.51%
Weight 1.8%Value $6.15MPrice $246.15Shares 26K +47.28%Since Jun 30 +3.28%
Weight 1.8%Value $6.12MPrice $429.21Shares 13KSince Jun 30 -5.74%
Weight 1.7%Value $5.78MPrice $129.40Shares 73K +29.89%Since Jun 30 +64.23%
Weight 1.6%Value $5.66MPrice $43.33Shares 114K -3.70%Since Jun 30 -12.57%
Weight 1.6%Value $5.66MPrice $45.57Shares 71K +21.50%Since Jun 30 -42.53%
Weight 1.6%Value $5.51MPrice $424.75Shares 9,826Since Jun 30 -24.23%
Weight 1.6%Value $5.47MPrice $327.14Shares 19K +59.01%Since Jun 30 +15.54%
Weight 1.6%Value $5.43MPrice $88.44Shares 60K +18.93%Since Jun 30 -2.08%
Weight 1.6%Value $5.42MPrice $385.30Shares 8,781 +6.40%Since Jun 30 -37.54%
Weight 1.4%Value $4.99MPrice $76.53Shares 78K +6.90%Since Jun 30 +19.95%
Weight 1.4%Value $4.93MPrice $174.65Shares 22K +69.15%Since Jun 30 -23.57%
Weight 1.4%Value $4.87MPrice $411.77Shares 18K +6.26%Since Jun 30 +51.69%
Weight 1.4%Value $4.81MPrice $21.16Shares 190K +16.13%Since Jun 30 -16.23%
Weight 1.4%Value $4.78MPrice $656.65Shares 6,412Since Jun 30 -11.93%
Weight 1.3%Value $4.70MPrice $266.04Shares 13K +43.61%Since Jun 30 -24.00%
Weight 1.3%Value $4.65MPrice $314.10Shares 15K +6.24%Since Jun 30 -0.63%
Weight 1.3%Value $4.64MPrice $342.75Shares 13K +1.63%Since Jun 30 -4.09%
Weight 1.3%Value $4.56MPrice $130.78Shares 29K +6.32%Since Jun 30 -16.68%
Weight 1.3%Value $4.38MPrice $74.78Shares 55K +6.35%Since Jun 30 -5.35%
| Stock | Weight | Value | Since Jun 30 | Shares change | Action |
|---|---|---|---|---|---|
| 3.2% | $11.11M | +44.23% | +49.29% | Add | |
| 2.8% | $9.64M | +18.20% | +38.25% | Add | |
| 2.2% | $7.81M | +14.38% | +41.11% | Add | |
| 2.2% | $7.75M | -30.98% | +21.30% | Add | |
| 2.0% | $7.14M | -29.84% | — | New | |
| 1.8% | $6.28M | -34.51% | +5.55% | Add | |
| 1.8% | $6.15M | +3.28% | +47.28% | Add | |
| 1.8% | $6.12M | -5.74% | — | New | |
| 1.7% | $5.78M | +64.23% | +29.89% | Add | |
| 1.6% | $5.66M | -12.57% | -3.70% | Trim | |
| 1.6% | $5.66M | -42.53% | +21.50% | Add | |
| 1.6% | $5.51M | -24.23% | — | New | |
| 1.6% | $5.47M | +15.54% | +59.01% | Add | |
| 1.6% | $5.43M | -2.08% | +18.93% | Add | |
| 1.6% | $5.42M | -37.54% | +6.40% | Add | |
| 1.4% | $4.99M | +19.95% | +6.90% | Add | |
| 1.4% | $4.93M | -23.57% | +69.15% | Add | |
| 1.4% | $4.87M | +51.69% | +6.26% | Add | |
| 1.4% | $4.81M | -16.23% | +16.13% | Add | |
| 1.4% | $4.78M | -11.93% | — | New | |
| 1.3% | $4.70M | -24.00% | +43.61% | Add | |
| 1.3% | $4.65M | -0.63% | +6.24% | Add | |
| 1.3% | $4.64M | -4.09% | +1.63% | Add | |
| 1.3% | $4.56M | -16.68% | +6.32% | Add | |
| 1.3% | $4.38M | -5.35% | +6.35% | Add |
Weight is the share of the reported 13F value, including options at notional value. “Since Jun 30” compares the latest close with the quarter-end price implied by the filing (value ÷ shares).
Largest buys in 2026 Q2
Largest sells in 2026 Q2
Source: SEC Form 13F, values as reported by the filer. Filings lag up to 45 days after quarter end and cover only certain long positions. Research only, not investment advice.