ARKK Investment Tracker position change: Decreased position in SoFi Technologies Inc. by 5,832 shares, the number of shares held decreased 5.22% compared to the previous period and now represents 0.026% of the total position.
ARKK Investment Tracker position change: Decreased position in Taiwan Semiconductor Manufacturing by 8,100 shares, the number of shares held decreased 5.29% compared to the previous period and now represents 0.52% of the total position.
ARKK Investment Tracker position change: Decreased position in Pacific Biosciences of California by 1,210,572 shares, the number of shares held decreased 5.26% compared to the previous period and now represents 0.43% of the total position.
ARKK Investment Tracker position change: Decreased position in Airbnb, Inc. by 11,556 shares, the number of shares held decreased 5.25% compared to the previous period and now represents 0.48% of the total position.
ARKK Investment Tracker position change: Decreased position in Veracyte by 117,612 shares, the number of shares held decreased 5.26% compared to the previous period and now represents 0.94% of the total position.
ARKK Investment Tracker position change: Decreased position in Deere by 6,372 shares, the number of shares held decreased 5.29% compared to the previous period and now represents 0.98% of the total position.
ARKK Investment Tracker position change: Decreased position in NVIDIA by 21,708 shares, the number of shares held decreased 5.26% compared to the previous period and now represents 0.94% of the total position.
ARKK Investment Tracker position change: Decreased position in Pinterest, Inc. by 119,880 shares, the number of shares held decreased 5.26% compared to the previous period and now represents 1.22% of the total position.
ARKK Investment Tracker position change: Decreased position in Block by 100,872 shares, the number of shares held decreased 5.26% compared to the previous period and now represents 2.62% of the total position.
ARKK Investment Tracker position change: Decreased position in Natera by 28,944 shares, the number of shares held decreased 5.27% compared to the previous period and now represents 1.42% of the total position.