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Wolverine Trading, LLC

13F filer · CIK 0000927337
Last filed Nov 14, 2025
Inactive · not filing 13F
13F portfolio value$138.7BU.S. long equity reported on 13F
Positions1,404587 new · 227 closed
Net flow last quarter+$558MBuys minus sells
Top 10 positions weight1.0%Concentration

Holdings

13F · last 4 quarters free
Scroll for earlier quarters
CompanyValue% of portfolio% of companyPOSITION CHANGE qoq %First reported
Q3 2025Reported Nov 14, 20251,404 positions
SPYSPDR S&P 500 ETF Trust$608M0.44%Not reported-35.0%Q2 2016
NVDANvidia Corp$180M0.13%0.00%+28.9%Q2 2016
BRK.BBerkshire Hathaway Inc$114M0.08%Not reportedNot reportedQ3 2016
QQQInvesco QQQ Trust, Series 1$104M0.07%Not reportedNot reportedQ3 2018
GOOGAlphabet Inc.$87.2M0.06%Not reported+80.6%Q2 2016
MSFTMicrosoft Corp$82.5M0.06%0.00%-52.3%Q2 2016
TSLATesla, Inc.$77M0.06%0.01%-46.0%Q2 2016
CICigna Group$64.5M0.05%0.08%+96.4%Q4 2017
DIASPDR Dow Jones Industrial Average ETF Trust$64.3M0.05%Not reported-74.9%Q2 2016
WYNNWynn Resorts Ltd$51.2M0.04%0.37%+832.3%Q3 2016
METAMeta Platforms, Inc.$51M0.04%Not reported+467.0%Q2 2016
BKNGBooking Holdings Inc.$46M0.03%0.03%+590.8%Q3 2018
TSMTaiwan Semiconductor Manufacturing Co Ltd$44.9M0.03%0.00%+94.5%Q3 2016
INTCIntel Corp$43.6M0.03%0.03%+11.2%Q3 2016
NFLXNetflix Inc$40.1M0.03%0.01%+5328.4%Q2 2016
AMZNAmazon Com Inc$39.3M0.03%0.00%Not reportedQ3 2016
AMDAdvanced Micro Devices Inc$35.5M0.03%0.01%Not reportedQ3 2016
MUMicron Technology Inc$33.8M0.02%0.02%+423.0%Q2 2016
CRWDCrowdStrike Holdings, Inc.$32.5M0.02%0.03%+2.3%Q4 2019
AVGOBroadcom Inc.$30.3M0.02%0.00%+120.7%Q2 2016
MARMarriott International Inc$28.7M0.02%0.04%+1899.4%Q4 2016
COSTCostco Wholesale Corp$25.8M0.02%0.01%+331.5%Q2 2016
ASMLAsml Holding NV$24.5M0.02%0.01%+468.1%Q2 2016
MMM3m Co$23.2M0.02%0.03%+2273.8%Q3 2016
ORCLOracle Corp$21.7M0.02%0.00%+900.4%Q2 2016
BABAAlibaba Group Holding Ltd$21.6M0.02%0.00%-17.3%Q2 2016
APPAppLovin Corp$21.3M0.02%0.01%-4.4%Q2 2021
TTWOTake Two Interactive Software Inc$20.3M0.01%0.04%+9152.1%Q1 2017
GSGoldman Sachs Group Inc$19.9M0.01%0.01%+173.8%Q2 2016
DASHDoorDash, Inc.$19M0.01%Not reported+25.2%Q1 2021
GLDSPDR Gold Trust$18.5M0.01%0.02%-56.7%Q2 2016
AZOAutozone Inc$17.1M0.01%0.02%Not reportedQ3 2016
REGNRegeneron Pharmaceuticals, Inc.$16.9M0.01%0.03%+54.1%Q4 2016
COINCoinbase Global, Inc.$16.8M0.01%0.02%Not reportedQ2 2021
LVSLas Vegas Sands Corp$16.2M0.01%0.04%+180.2%Q2 2016
ANETArista Networks, Inc.$15.8M0.01%0.01%Not reportedQ1 2017
AAPLApple Inc.$15.2M0.01%0.00%Not reportedQ3 2016
UNHUnitedhealth Group Inc$14.9M0.01%0.00%+5.2%Q1 2017
GEGeneral Electric Co$14.7M0.01%0.00%+3039.9%Q3 2021
PMPhilip Morris International Inc.$14.7M0.01%0.01%+180.1%Q2 2016
FCXFreeport-Mcmoran Inc$14.7M0.01%0.03%+182.6%Q1 2017
LLYELI LILLY & Co$14.3M0.01%0.00%-50.9%Q2 2016
HUMHumana Inc$14.2M0.01%0.05%+34.8%Q2 2016
VLOValero Energy Corp$14.1M0.01%0.03%+237.1%Q2 2016
ADBEAdobe Inc.$13.1M0.01%0.01%+1.6%Q2 2016
CRWVCoreWeave, Inc.$13M0.01%Not reported+331.4%Q2 2025
JDJD.com, Inc.$12.5M0.01%0.02%+1059.1%Q3 2016
VRTVertiv Holdings Co$11.8M0.01%0.02%+102.0%Q3 2021
MCDMcdonalds Corp$10.8M0.01%0.01%+23.5%Q2 2016
STZConstellation Brands, Inc.$10.7M0.01%Not reported+1670.2%Q4 2016
Q2 2025Reported Aug 18, 20251,044 positions
SPYSPDR S&P 500 ETF Trust$866M0.87%Not reported+344.7%Q2 2016
DIASPDR Dow Jones Industrial Average ETF Trust$242M0.24%Not reported+119.7%Q2 2016
MSFTMicrosoft Corp$167M0.17%0.00%+339.0%Q2 2016
NVDANvidia Corp$121M0.12%0.00%+25.0%Q2 2016
TSLATesla, Inc.$104M0.10%0.01%+1208.3%Q2 2016
CICigna Group$37.4M0.04%0.04%+7151.4%Q4 2017
GLDSPDR Gold Trust$36.5M0.04%0.04%+266.2%Q2 2016
GOOGAlphabet Inc.$35.2M0.04%Not reported+218.6%Q2 2016
CRWDCrowdStrike Holdings, Inc.$32.5M0.03%0.03%Not reportedQ4 2019
MSTRStrategy Inc$31.8M0.03%Not reported+92.4%Q1 2017
LLYELI LILLY & Co$31M0.03%0.00%-27.2%Q2 2016
QCOMQualcomm Inc$27.9M0.03%0.02%-44.4%Q2 2016
CCitigroup Inc$27.7M0.03%0.02%+79.8%Q2 2016
INTCIntel Corp$25.8M0.03%0.03%+32.9%Q3 2016
NKENIKE, Inc.$24.7M0.02%0.02%+1581.5%Q2 2016
TSMTaiwan Semiconductor Manufacturing Co Ltd$19.3M0.02%0.00%+6.4%Q3 2016
PYPLPayPal Holdings, Inc.$18.6M0.02%0.03%+1253.6%Q2 2016
BABAAlibaba Group Holding Ltd$16.6M0.02%0.00%+816.9%Q2 2016
NOWServiceNow, Inc.$15.6M0.02%0.01%+69.7%Q2 2016
MRVLMarvell Technology, Inc.$15.2M0.02%0.02%+790.1%Q2 2016
ZSZscaler, Inc.$14.6M0.01%0.03%+152.7%Q4 2018
ADBEAdobe Inc.$13.9M0.01%0.01%+443.9%Q2 2016
DASHDoorDash, Inc.$13.5M0.01%Not reportedNot reportedQ1 2021
LMTLockheed Martin Corp$13.4M0.01%0.01%Not reportedQ2 2016
UNHUnitedhealth Group Inc$12.7M0.01%0.00%+685.6%Q1 2017
MAMastercard Inc$12.7M0.01%0.00%Not reportedQ2 2016
PLTRPalantir Technologies Inc.$12.7M0.01%0.00%+2862.5%Q1 2021
SCHWSchwab Charles Corp$12.6M0.01%0.01%+129.4%Q2 2016
BLKBlackRock, Inc.$12.2M0.01%0.01%+3629.9%Q3 2017
CATCaterpillar Inc$11.9M0.01%0.01%Not reportedQ2 2016
AVGOBroadcom Inc.$11.3M0.01%0.00%+813.5%Q2 2016
APPAppLovin Corp$10.4M0.01%0.01%Not reportedQ2 2021
REGNRegeneron Pharmaceuticals, Inc.$10.2M0.01%0.02%+30.6%Q4 2016
NEENextera Energy Inc$10M0.01%0.01%+2902.5%Q3 2017
HUMHumana Inc$9.98M0.01%0.03%+148.7%Q2 2016
MRKMerck & Co., Inc.$9.25M0.01%0.00%Not reportedQ1 2017
PDDPDD Holdings Inc.$9.16M0.01%0.00%Not reportedQ3 2019
GEVGE Vernova Inc.$9.08M0.01%0.01%-81.3%Q2 2024
METAMeta Platforms, Inc.$8.88M0.01%Not reported+19.6%Q2 2016
CRCLCircle Internet Group, Inc.$8.64M0.01%Not reportedNewQ2 2025
TWLOTwilio Inc$8.49M0.01%0.05%+53.6%Q3 2016
DELLDell Technologies Inc.$8.41M0.01%0.01%+27.4%Q3 2019
MCDMcdonalds Corp$8.41M0.01%0.00%-65.1%Q2 2016
DGDollar General Corp$8.39M0.01%0.03%-2.2%Q3 2016
LRCXLam Research Corp$8.07M0.01%0.01%+250.2%Q2 2016
NEMNEWMONT Corp$8.07M0.01%0.01%+415.2%Q3 2016
VRTXVertex Pharmaceuticals Inc / Ma$7.76M0.01%0.01%+1143.5%Q3 2017
ALABAstera Labs, Inc.$7.02M0.01%0.05%+136.3%Q2 2024
LRNStride, Inc.$6.95M0.01%0.11%+66.4%Q1 2021
BKNGBooking Holdings Inc.$6.95M0.01%0.00%+2441.7%Q3 2018
Q1 2025Reported May 15, 20251,126 positions
QQQInvesco QQQ Trust, Series 1$296M0.35%Not reported+211.6%Q3 2018
SPYSPDR S&P 500 ETF Trust$176M0.21%Not reported-5.6%Q2 2016
DIASPDR Dow Jones Industrial Average ETF Trust$105M0.12%Not reported-68.6%Q2 2016
NVDANvidia Corp$67.5M0.08%0.00%-29.8%Q2 2016
ASMLAsml Holding NV$58.1M0.07%0.02%+445.3%Q2 2016
AMZNAmazon Com Inc$53M0.06%0.00%-47.4%Q3 2016
BRK.BBerkshire Hathaway Inc$49.8M0.06%Not reported+411.9%Q3 2016
QCOMQualcomm Inc$48.3M0.06%0.03%+11.0%Q2 2016
COINCoinbase Global, Inc.$46.9M0.05%0.11%+776.9%Q2 2021
LLYELI LILLY & Co$45.2M0.05%0.01%-19.7%Q2 2016
MSFTMicrosoft Corp$29M0.03%0.00%-63.2%Q2 2016
GEVGE Vernova Inc.$28.3M0.03%0.03%+315.4%Q2 2024
MCDMcdonalds Corp$25.3M0.03%0.01%+105.6%Q2 2016
INTCIntel Corp$19.4M0.02%0.02%+3.8%Q3 2016
OXYOccidental Petroleum Corp$18M0.02%0.04%+236.9%Q2 2016
STZConstellation Brands, Inc.$15.3M0.02%Not reported+184.9%Q4 2016
TSMTaiwan Semiconductor Manufacturing Co Ltd$13.1M0.02%0.00%-76.8%Q3 2016
CCitigroup Inc$12.9M0.02%0.01%+927.7%Q2 2016
MSTRStrategy Inc$12.5M0.01%Not reported-49.0%Q1 2017
MUMicron Technology Inc$12.4M0.01%0.01%-24.3%Q2 2016
NICENICE Ltd.$11.1M0.01%0.11%+309.0%Q4 2019
HOODRobinhood Markets, Inc.$10.4M0.01%0.11%+222.8%Q3 2021
GOOGAlphabet Inc.$9.68M0.01%Not reported+166.8%Q2 2016
REGNRegeneron Pharmaceuticals, Inc.$9.55M0.01%0.02%+13.7%Q4 2016
GLDSPDR Gold Trust$9.41M0.01%0.01%Not reportedQ2 2016
ETEnergy Transfer LP$9.31M0.01%0.01%+214.3%Q2 2016
IBITiShares Bitcoin Trust ETF$9.11M0.01%0.02%+76.0%Q2 2024
BACBank of America Corp$8.87M0.01%0.00%+49.4%Q3 2016
CHTRCharter Communications, Inc.$8.82M0.01%0.01%+264.8%Q2 2016
GSGoldman Sachs Group Inc$8.69M0.01%0.01%-78.0%Q2 2016
LUVSouthwest Airlines Co$8.66M0.01%0.04%+1204.2%Q2 2016
RGLDRoyal Gold Inc$8.3M0.01%0.08%+134.2%Q2 2016
HDHome Depot, Inc.$8.27M0.01%0.00%-65.6%Q2 2016
GWWW.W. Grainger, Inc.$8.19M0.01%0.02%Not reportedQ2 2016
DEDeere & Co$8.01M0.01%0.01%+262.2%Q2 2016
MELIMercadolibre Inc$8M0.01%0.01%-50.3%Q3 2017
SPGSimon Property Group Inc.$7.95M0.01%605.01%+13.2%Q4 2016
FSLRFirst Solar, Inc.$7.94M0.01%0.06%+18.3%Q1 2017
ANETArista Networks, Inc.$7.87M0.01%0.01%+748.0%Q1 2017
OKTAOkta, Inc.$7.79M0.01%Not reported+12.2%Q4 2017
PMPhilip Morris International Inc.$7.46M0.01%0.00%+33.8%Q2 2016
FCXFreeport-Mcmoran Inc$7.29M0.01%0.01%+110.2%Q1 2017
BABoeing Co$7.24M0.01%0.01%-58.9%Q3 2016
NOWServiceNow, Inc.$7.17M0.01%0.00%+99.9%Q2 2016
VSTVistra Corp.$7.08M0.01%0.02%+8.5%Q3 2018
CRMSalesforce, Inc.$6.9M0.01%0.00%-46.7%Q2 2016
ESLTElbit Systems Ltd$6.81M0.01%0.04%+72.8%Q2 2023
CEGConstellation Energy Corp$6.54M0.01%0.01%+13.1%Q1 2022
DHRDanaher Corp$6.54M0.01%0.00%+56.5%Q3 2017
TSLATesla, Inc.$6.48M0.01%0.00%+60.3%Q2 2016
Q4 2024Reported Feb 14, 20251,296 positions
DIASPDR Dow Jones Industrial Average ETF Trust$341M0.32%Not reported-0.3%Q2 2016
SPYSPDR S&P 500 ETF Trust$197M0.19%Not reported-50.3%Q2 2016
NVDANvidia Corp$120M0.11%0.00%-15.8%Q2 2016
AMZNAmazon Com Inc$116M0.11%0.00%+9.5%Q3 2016
AMDAdvanced Micro Devices Inc$107M0.10%0.05%+43.2%Q3 2016
QQQInvesco QQQ Trust, Series 1$105M0.10%Not reported-50.2%Q3 2018
MSFTMicrosoft Corp$88.3M0.08%0.00%+73.3%Q2 2016
BKNGBooking Holdings Inc.$72.6M0.07%0.04%-15.1%Q3 2018
TSMTaiwan Semiconductor Manufacturing Co Ltd$68.7M0.06%0.00%+136.4%Q3 2016
LLYELI LILLY & Co$53M0.05%0.01%-43.0%Q2 2016
CICigna Group$52.5M0.05%0.07%+179.4%Q4 2017
QCOMQualcomm Inc$44M0.04%0.03%+13.0%Q2 2016
GSGoldman Sachs Group Inc$41.7M0.04%0.02%+873.4%Q2 2016
APPAppLovin Corp$36.2M0.03%0.03%Not reportedQ2 2021
LINLinde PLC$32.8M0.03%0.02%+6376.5%Q4 2019
BLKBlackRock, Inc.$31.8M0.03%0.02%Not reportedQ3 2017
JPMJPMorgan Chase & Co$27.9M0.03%0.00%+2018.3%Q2 2016
MDBMongoDB, Inc.$26.5M0.02%0.15%+724.0%Q4 2017
HDHome Depot, Inc.$26.1M0.02%0.01%-56.2%Q2 2016
MSTRStrategy Inc$25.6M0.02%Not reported+218.0%Q1 2017
ADBEAdobe Inc.$24M0.02%0.01%+597.8%Q2 2016
AAPLApple Inc.$23M0.02%0.00%+182.0%Q3 2016
WMTWalmart Inc.$21.7M0.02%0.00%+2789.1%Q2 2016
AXPAmerican Express Co$20.2M0.02%0.01%+4489.8%Q3 2016
SBUXStarbucks Corp$19.7M0.02%0.02%+105.9%Q2 2016
DELLDell Technologies Inc.$19.7M0.02%0.02%-8.4%Q3 2019
BABoeing Co$17.9M0.02%0.01%+288.8%Q3 2016
NKENIKE, Inc.$17.4M0.02%0.01%+436.3%Q2 2016
MAMastercard Inc$17.2M0.02%0.00%+201.7%Q2 2016
INTCIntel Corp$16.3M0.02%0.02%+142.9%Q3 2016
CRMSalesforce, Inc.$16.1M0.02%0.01%+1059.8%Q2 2016
MUMicron Technology Inc$15.9M0.01%0.02%+277.8%Q2 2016
BABAAlibaba Group Holding Ltd$15.3M0.01%0.00%Not reportedQ2 2016
RHRH$14.9M0.01%0.20%+70.4%Q4 2017
SMCISuper Micro Computer, Inc.$14.8M0.01%0.08%Not reportedQ1 2021
CVNACarvana Co.$14.1M0.01%Not reported+28.1%Q3 2019
UBERUber Technologies, Inc$13.9M0.01%0.01%+6688.0%Q4 2019
GEGeneral Electric Co$13.8M0.01%0.01%+4630.6%Q3 2021
MELIMercadolibre Inc$13.5M0.01%0.02%+58.7%Q3 2017
CVXChevron Corp$13.5M0.01%0.01%+122.6%Q2 2016
VVisa Inc.$13.4M0.01%0.00%+327.3%Q2 2016
LMTLockheed Martin Corp$13.2M0.01%0.01%+7802.0%Q2 2016
HONHoneywell International Inc$12.7M0.01%0.01%+3565.4%Q2 2016
AMGNAmgen Inc$12.2M0.01%0.01%+1009.0%Q3 2016
UNHUnitedhealth Group Inc$12.1M0.01%0.00%+769.7%Q1 2017
ABBVAbbVie Inc.$12M0.01%0.00%+442.2%Q2 2016
MCDMcdonalds Corp$11.6M0.01%0.01%-43.4%Q2 2016
COSTCostco Wholesale Corp$11.6M0.01%0.00%+1465.9%Q2 2016
NFLXNetflix Inc$11.5M0.01%0.00%+121.2%Q2 2016
TMUST-Mobile US, Inc.$11.1M0.01%0.00%+680.8%Q4 2016
Premium opens every quarter this fund has filed

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