GROUP ONE TRADING, L.P.

13F Portfolio Filings

  • Most recent 13F
    Q4 2024
  • Location
    chicago, IL
  • CIK
    0000932540
  • Alternate names
    GROUP ONE TRADING LLC
  • All SEC filings
Q4 2024
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

6,549

$40.48B
MICROSTRATEGY INC, NVIDIA CORPORATION, TESLA INC, MICROSTRATEGY INC
13F-HR
Feb 14, 2025
000093254025000020

6,541

$35.08B
FACEBOOK INC, NVIDIA CORPORATION, FACEBOOK INC, NVIDIA CORPORATION
13F-HR
Nov 14, 2024
000093254024000015

6,607

$25.80B
FACEBOOK INC, NVIDIA CORPORATION, NVIDIA CORPORATION, FACEBOOK INC
13F-HR
Aug 14, 2024
000093254024000007

6,911

$26.04B
NVIDIA CORPORATION, MICROSTRATEGY INC, MICROSTRATEGY INC, NVIDIA CORPORATION
13F-HR
May 10, 2024
000093254024000004

7,275

$38.03B
TESLA INC, FACEBOOK INC, NVIDIA CORPORATION, TESLA INC
13F-HR
Feb 14, 2024
000093254024000001

7,549

$29.76B
TESLA INC, FACEBOOK INC, TESLA INC, NVIDIA CORPORATION
13F-HR
Nov 9, 2023
000093254023000011

7,575

$31.16B
TESLA INC, FACEBOOK INC, NVIDIA CORPORATION, TESLA INC
13F-HR
Aug 9, 2023
000093254023000008

7,108

$27.70B
TESLA INC, FACEBOOK INC, TESLA INC, APPLE INC
13F-HR
May 12, 2023
000093254023000006

7,132

$42.99B
TESLA INC, APPLE INC, TESLA INC, FACEBOOK INC
13F-HR
Feb 9, 2023
000093254023000002

7,595

$50.88B
TESLA INC, TESLA INC, ALPHABET INC, APPLE INC
13F-HR
Nov 9, 2022
000093254022000007

7,842

$63.83B
TESLA INC, TESLA INC, ALPHABET INC, APPLE INC
13F-HR
Aug 11, 2022
000093254022000006

8,026

$100.99B
TESLA INC, TESLA INC, ALPHABET INC, AMAZON COM INC
13F-HR
May 12, 2022
000093254022000002

8,228

$124.53B
TESLA INC, TESLA INC, ALPHABET INC, AMAZON COM INC
13F-HR
Feb 11, 2022
000093254022000001

8,294

$92.59B
TESLA INC, TESLA INC, AMAZON COM INC, ALPHABET INC
13F-HR
Nov 12, 2021
000093254021000005

8,103

$82.90B
TESLA INC, TESLA INC, AMAZON COM INC, APPLE INC
13F-HR
Aug 10, 2021
000093254021000004

7,548

$67.52B
TESLA INC, TESLA INC, APPLE INC, AMAZON COM INC
13F-HR
May 12, 2021
000093254021000002

6,453

$57.81B
TESLA INC, TESLA INC, APPLE INC, AMAZON COM INC
13F-HR
Feb 10, 2021
000093254021000001

6,077

$31.84B
TESLA INC, TESLA INC, APPLE INC, ALIBABA GROUP HLDG LTD
13F-HR
Nov 12, 2020
000093254020000005

5,779

$21.66B
TESLA INC, TESLA INC, APPLE INC, GILEAD SCIENCES INC
13F-HR
Aug 13, 2020
000093254020000003

5,255

$12.33B
TESLA INC, SPDR GOLD TRUST, TESLA INC, APPLE INC
13F-HR
May 13, 2020
000093254020000002

5,086

$14.69B
MEDICINES CO, BANK AMER CORP, TESLA INC, DISNEY WALT CO
13F-HR
Feb 10, 2020
000093254020000001

5,114

$12.38B
BANK AMER CORP, BEYOND MEAT INC, BEYOND MEAT INC, DISNEY WALT CO
13F-HR
Nov 12, 2019
000093254019000013

4,933

$11.05B
QUALCOMM INC, DISNEY WALT CO, BANK AMER CORP, VANECK ETF TRUST
13F-HR
Aug 9, 2019
000093254019000011

4,769

$8.97B
GENERAL ELECTRIC CO, BANK AMER CORP, CELGENE CORP, DISNEY WALT CO
RESTATEMENT
May 14, 2019
000093254019000007

4,844

$11.54B
BANK AMER CORP, TESLA INC, TESLA INC, CIGNA CORP NEW
13F-HR
Feb 6, 2019
000093254019000003

5,172

$12.66B
BANK AMER CORP, ELECTRONIC ARTS INC, WEIGHT WATCHERS INTL INC NEW, TILRAY INC
13F-HR
Nov 8, 2018
000093254018000009

5,072

$11.69B
NXP SEMICONDUCTORS N V, WEIGHT WATCHERS INTL INC NEW, BANK AMER CORP, NXP SEMICONDUCTORS N V
13F-HR
Aug 14, 2018
000093254018000006

4,806

$9.94B
FACEBOOK INC, WEIGHT WATCHERS INTL INC NEW, BANK AMER CORP, JD COM INC
RESTATEMENT
May 17, 2018
000093254018000003

4,816

$14.23B
DEERE & CO, LAMAR ADVERTISING CO NEW, AMERICAN AIRLS GROUP INC, TESLA INC
13F-HR
Feb 9, 2018
000093254018000001

4,795

$11.01B
TESLA INC, JD COM INC, ALIBABA GROUP HLDG LTD, TESLA INC
13F-HR
Nov 15, 2017
000093254017000007

4,726

$9.62B
TESLA INC, JD COM INC, TESLA INC, WEIGHT WATCHERS INTL INC NEW
13F-HR
Aug 14, 2017
000093254017000006

4,605

$8.59B
TESLA INC, HUMANA INC, ALLERGAN PLC, MOBILEYE N V AMSTELVEEN
13F-HR
May 10, 2017
000093254017000004

4,408

$10.31B
TESLA INC, HUMANA INC, TESLA INC, ALLERGAN PLC
13F-HR
Feb 15, 2017
000093254017000002

4,531

$9.21B
ALLERGAN PLC, HUMANA INC, ALLERGAN PLC, JD COM INC
13F-HR
Nov 14, 2016
000093254016000025

4,616

$8.45B
ALLERGAN PLC, KRAFT HEINZ CO, ALLERGAN PLC, JD COM INC
13F-HR
Aug 12, 2016
000093254016000023

4,548

$7.08B
ALLERGAN PLC, KRAFT HEINZ CO, SPDR GOLD TRUST, ALLERGAN PLC
13F-HR
May 12, 2016
000093254016000021

4,723

$8.46B
ALLERGAN PLC, VALEANT PHARMACEUTICALS INTL, VALEANT PHARMACEUTICALS INTL, ALLERGAN PLC
13F-HR
Feb 11, 2016
000093254016000018

4,860

$7.23B
KRAFT HEINZ CO, ALLERGAN PLC, VALEANT PHARMACEUTICALS INTL, BARCLAYS BK PLC
RESTATEMENT
Nov 20, 2015
000093254015000015

4,849

$7.15B
TIME WARNER CABLE INC, ALLERGAN PLC, ABBVIE INC, KINDER MORGAN INC DEL
13F-HR
Aug 11, 2015
000093254015000009

4,755

$6.37B
SALIX PHARMACEUTICALS INC, SALIX PHARMACEUTICALS INC, ACTAVIS PLC, SALIX PHARMACEUTICALS INC
13F-HR
May 14, 2015
000093254015000007

4,894

$6.63B
AMERICAN AIRLS GROUP INC, AAL, ACTAVIS PLC, BARCLAYS BK PLC
13F-HR
Feb 11, 2015
000093254015000002

5,124

$6.49B
BARCLAYS BK PLC, MALLINCKRODT PUB LTD CO, GOPRO INC, AAL
13F-HR
Oct 31, 2014
000093254014000022

5,165

$6.49B
QUESTCOR PHARMACEUTICALS COM, BARCLAYS BK PLC, AMERICAN AIRLS GROUP INC, MANNKIND CORP
13F-HR
Aug 12, 2014
000093254014000018

5,157

$5.95B
BARCLAYS BK PLC, AMERICAN AIRLS GROUP INC, AMERICAN AIRLS GROUP INC, INTEROIL CORP
13F-HR
May 7, 2014
000093254014000013

5,213

$6.62B
PERRIGO CO, BARCLAYS BK PLC, BARCLAYS BK PLC, PERRIGO CO
13F-HR
Jan 31, 2014
000093254014000006