13F Filing Watch

Goldman Sachs Group2026-Q1

2026-Q1 GOLDMAN SACHS GROUP INC 13F Filing: TSM and LQD saw largest dollar adds

By AlphaSMO Data TeamJuly 20, 2026⏱ 3 min read
TSLATSMLQDNVDASPYSNDK

Goldman Sachs initiated a new position in AZN worth $2.19B and added to TSM with a value increase of +$4.17B. The fund trimmed TSLA by -$5.58B and fully exited AZNN, which previously held $1.33B.

Ticker Action Value ($) % of Portfolio
AZN New Buy $2.19B 0.25%
AZNN Sold Out $1.33B 0.16%

AZN entered at 0.25% of assets while AZNN had comprised 0.16% prior to exit.

Ticker Action Value Change ($) Weight Change (pts)
TSLA Trim -$5.58B -0.78pts
TSM Add +$4.17B +0.44pts
LQD Add +$3.66B +0.41pts
NVDA Trim -$3.36B -0.71pts
SPY Add +$3.34B +0.16pts
SNDK Add +$3.03B +0.34pts
IWM Add +$2.52B +0.25pts
MU Add +$2.47B +0.26pts
MSFT Add -$2.40B -0.50pts
XOM Add +$2.37B +0.25pts
CRWV Add +$2.34B +0.27pts
EMXC Add +$2.32B +0.27pts
BE Add +$2.20B +0.25pts
AAPL Add -$1.95B -0.49pts
AMZN Add -$1.69B -0.34pts
HYG Add +$1.57B +0.13pts
TTE Add +$1.29B +0.13pts
GOOG Add +$1.28B +0.08pts
DIA Trim -$1.28B -0.17pts
LLY Trim -$1.22B -0.20pts
USO Add +$1.21B +0.13pts
IGV Add +$1.20B +0.14pts
SHOP Trim -$1.13B -0.15pts
CNQ Add +$1.13B +0.13pts
JNJ Add +$1.13B +0.10pts
WMT Add +$1.11B +0.09pts
EEM Add +$1.07B +0.11pts
AMAT Add +$1.06B +0.11pts
COST Add +$1.04B +0.10pts
BABA Trim -$1.03B -0.13pts
KRE Add +$976.7M +0.11pts
ORCL Trim -$938.1M -0.13pts
KLAC Add +$916.1M +0.09pts
XLE Add +$911.0M +0.10pts
SNPS Add +$890.6M +0.09pts
PINS Add +$850.3M +0.09pts
GE Add +$848.5M +0.08pts
INTU Trim -$845.8M -0.11pts
CVX Add +$815.7M +0.08pts
IJH Add +$782.4M +0.07pts
GLD Add +$775.0M +0.08pts
META Add +$773.6M +0.01pts
PSX Add +$757.4M +0.08pts
WDC Add +$731.6M +0.08pts
NEE Add +$725.0M +0.07pts
AVGO Add -$723.5M -0.18pts
TXN Add +$713.0M +0.07pts
VZ Add +$694.2M +0.07pts

Adds dominated the quarter, with TSM, LQD, and SNDK seeing the largest dollar increases. Trims were concentrated in TSLA and NVDA.

Metric This Quarter Prior Quarter
Holding Count 5539
Turnover Ratio 0.249566
HHI 0.008804
Mapped Value Ratio 0.464387
Momentum Tilt (pts) 0.021525
Coefficient of Variation 6.911938
Energy Sector 3.17%
Materials Sector 0.52%
Utilities Sector 0.50%
Financials Sector 10.77%
Health Care Sector 9.54%
Industrials Sector 4.97%
Real Estate Sector 0.09%
Consumer Staples Sector 4.79%
Communication Services Sector 13.23%
Consumer Discretionary Sector 11.43%
Information Technology Sector 41.00%

Bottom Line: The firm's turnover ratio of 0.25 signals an active quarter, with large additions to TSM, LQD, and SNDK reshaping the equity portfolio. Tech remains dominant at 41% of assets, while the trim in NVDA and TSLA rotates into semiconductors like TSM and memory stocks such as SNDK. The AZN/AZNN pair trade highlights a targeted healthcare swap.