Rokos Capital Management LLP

Q1 2026 13F-HR Detailed Holdings

Location
London, X0
Holdings as of
3/31/2026
Date filed
5/15/2026
Form type
13F-HR
Num holdings
221
Total value ($000)
$13,227,279
Net value change ($000)
-12,433,316 (-48.5%)
New positions
80
Sold out positions
41
Turnover %
60.2%
Sector allocation + QoQ delta (equities-only)

Holdings broken out by other managers reported in the original SEC filing. View aggregated holdings

You are on the SEC detailed breakdown page. Rows are shown as reported in the filing (including other manager, discretion, and voting authority fields), and are not merged like the standard holdings view. Switch to aggregated holdings.

Snapshot: Change Analysis

Compared to Q4 2025
Methodology: sector metrics are equities-only; instrument mix chart is ex-options; options exposure is shown separately. Why this matters.
Top Adds (Value $000, Stocks/ETFs)
AAPL 208,964 119.5%
RSP 134,688 NEW
NVDA 124,710 62.6%
RTX 107,265 NEW
HON 93,781 NEW
SATS 74,240 196.7%
GOLAR LNG LTD 63,293 NEW
LMT 62,429 NEW
XLY 60,822 NEW
LHX 59,611 NEW
Top Reduces (Value $000, Stocks/ETFs)
QQQ -418,922 -100.0%
GOOGL -341,630 -26.6%
AVGO -321,238 -81.4%
AMZN -318,817 -96.8%
MSFT -284,221 -99.6%
EWZ -200,705 -100.0%
XLV -104,700 -40.8%
MU -97,357 -59.9%
CLS -80,442 -95.3%
MS -72,014 -64.9%
Instrument mix + QoQ Δ (ex-options)
Derivatives reported exposure ($000): 7,602,221 (57.5% of total reported value)
How this table is calculated: SEC VALUE ($000) is used as reported. For derivatives (PUT/CALL/WARRANT/RIGHT), SEC value represents reported underlying exposure, not premium cash paid/received. Column % is bucket-based: non-options share is calculated inside non-option total, options share is calculated inside options total. Details.
Filter:
Instrument:
Issuer Name Ticker Sector Industry Class History Value ($000) % Shares Shares Δ Shares Δ% Value Δ ($000) Value Δ% Principal Option Type Discretion Other Manager Sole Shared None

Other Managers

Num Name File Number
1 Rokos Capital Management (US) LP 028-20930