Paypay Securities Corp Portfolio Stock Holdings

Paypay Securities Corp disclosed 301 stock positions valued at approximately $2.9 million in its latest SEC 13F filing. The largest holdings include DIREXION SHARES ETF TRUST, DIREXION SHARES ETF TRUST, and PROSHARES TR. The filing reflects positions held as of March 31, 2026 and was filed on April 23, 2026.

Report Period
March 31, 2026
No. of Stocks
301
Portfolio Value
$2.9M
Holdings by Sector
Paypay Securities Corp Portfolio Holdings in Q1 2026

287 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
DIREXION SHARES ETF TRUST SOXLOther7.96%2,602-1,204-31.63%$229,939
DIREXION SHARES ETF TRUST SPXLOther3.99%500+106+26.90%$115,310
PROSHARES TR TQQQOther3.63%1,859+530+39.88%$104,903
NVIDIA CORPORATION NVDATechnology2.88%419-110-20.79%$83,109
APPLE INC AAPLTechnology2.69%295-70-19.18%$77,703
ALPHABET INC GOOGLCommunication Services2.27%195-50-20.41%$65,524
INVESCO QQQ TR QQQOther2.22%100-16-13.79%$64,047
SPDR GOLD TR GLDOther2.16%142-341-70.60%$62,491
MICROSOFT CORP MSFTTechnology1.99%137-36-20.81%$57,576
STATE STR SPDR S&P 500 ETF T SPYOther1.90%78-15-16.13%$54,729
DIREXION SHARES ETF TRUST NVDUOther1.68%391+57+17.07%$48,488
AMAZON COM INC AMZNConsumer Cyclical1.55%179-58-24.47%$44,696
BROADCOM INC AVGOTechnology1.15%83-36-30.25%$33,073
DIREXION SHARES ETF TRUST TSLLOther1.02%2,249-90-3.85%$29,394
DIREXION SHARES ETF TRUST AMZUOther0.99%751-150-16.65%$28,666
DIREXION SHARES ETF TRUST GGLLOther0.97%264-145-35.45%$27,881
EXXON MOBIL CORP XOMEnergy0.95%181+62+52.10%$27,508
META PLATFORMS INC METACommunication Services0.94%40-11-21.57%$27,075
VANGUARD WHITEHALL FDS VYMOther0.93%174+75+75.76%$26,766
BERKSHIRE HATHAWAY INC DEL BRK-BFinancial Services0.92%56+18+47.37%$26,607
DIREXION SHARES ETF TRUST MSFUOther0.88%866+393+83.09%$25,443
MICRON TECHNOLOGY INC MUTechnology0.85%54+10+22.73%$24,690
RTX CORPORATION RTXIndustrials0.82%121+70+137.25%$23,698
TESLA INC TSLAConsumer Cyclical0.81%60-6-9.09%$23,334
JPMORGAN CHASE & CO JPMFinancial Services0.80%75-1-1.32%$23,246
DIREXION SHARES ETF TRUST LABUOther0.77%113-27-19.29%$22,225
CHEVRON CORPORATION CVXEnergy0.74%114+61+115.09%$21,449
DIREXION SHARES ETF TRUST AAPUOther0.74%708+1+0.14%$21,282
COSTCO WHOLESALE CORPORATION COSTConsumer Defensive0.72%21-1-4.55%$20,731
LOCKHEED MARTIN CORP LMTIndustrials0.65%31+23+287.50%$18,832
NORTHROP GRUMMAN CORP NOCIndustrials0.63%27+23+575.00%$18,165
HONEYWELL INTL INC HONIndustrials0.59%74+50+208.33%$16,974
PROCTER & GAMBLE CO PGConsumer Defensive0.57%115-16-12.21%$16,458
WALMART INC WMTConsumer Defensive0.56%130+27+26.21%$16,227
HOME DEPOT INC HDConsumer Cyclical0.55%47-5-9.62%$15,846
COCA COLA CO KOConsumer Defensive0.53%202-29-12.55%$15,186
L3HARRIS TECHNOLOGIES INC LHXIndustrials0.50%41+34+485.71%$14,490
BANK AMERICA CORP BACFinancial Services0.49%266+41+18.22%$14,234
PEPSICO INC PEPConsumer Defensive0.48%88-16-15.38%$13,937
ELI LILLY & CO LLYHealthcare0.47%15-5-25.00%$13,560
VANGUARD INTL EQUITY INDEX F VTOther0.47%91-21-18.75%$13,540
VANGUARD INDEX FDS VTIOther0.46%38-9-19.15%$13,149
VANGUARD SPECIALIZED FUNDS VIGOther0.45%58-14-19.44%$13,043
THE CAMPBELLS COMPANY CPBConsumer Defensive0.44%606+222+57.81%$12,690
MORGAN STANLEY MSFinancial Services0.43%66+15+29.41%$12,363
VERIZON COMMUNICATIONS INC VZCommunication Services0.41%255+169+196.51%$11,929
CITIGROUP INC CFinancial Services0.41%92+21+29.58%$11,899
AT&T INC TCommunication Services0.41%450-95-17.43%$11,880
DIREXION SHARES ETF TRUST DRNOther0.41%1,119-195-14.84%$11,794
CONOCOPHILLIPS COPEnergy0.41%97+63+185.29%$11,792
GOLDMAN SACHS GROUP INC GSFinancial Services0.41%13+1+8.33%$11,700
WELLS FARGO & CO WFCFinancial Services0.40%143+31+27.68%$11,619
DIREXION SHARES ETF TRUST TMVOther0.39%302-95-23.93%$11,358
ALTRIA GROUP INC MOConsumer Defensive0.39%173-37-17.62%$11,235
VISA INC VFinancial Services0.38%35-40-53.33%$11,029
WILLIAMS COS INC WMBEnergy0.38%155+122+369.70%$10,983
COLGATE PALMOLIVE CO CLConsumer Defensive0.37%128-15-10.49%$10,703
VALERO ENERGY CORP VLOEnergy0.37%44+35+388.89%$10,637
MARATHON PETE CORP MPCEnergy0.37%47+39+487.50%$10,633
JOHNSON & JOHNSON JNJHealthcare0.37%45-12-21.05%$10,554
ZOETIS INC ZTSHealthcare0.36%87+2+2.35%$10,356
EOG RES INC EOGEnergy0.35%75+61+435.71%$10,055
DIREXION SHARES ETF TRUST EDCOther0.34%132-43-24.57%$9,691
PHILLIPS 66 PSXEnergy0.33%59+48+436.36%$9,636
ISHARES TR DVYOther0.33%63-20-24.10%$9,631
EQT CORP EQTEnergy0.32%160+160+100.00%$9,342
DIREXION SHARES ETF TRUST TMFOther0.32%259-54-17.25%$9,280
CATERPILLAR INC CATIndustrials0.32%12-5-29.41%$9,272
DEVON ENERGY CORP NEW DVNEnergy0.32%200+167+506.06%$9,156
OCCIDENTAL PETE CORP OXYEnergy0.31%158+139+731.58%$8,985
NEXTERA ENERGY INC NEEUtilities0.31%96-21-17.95%$8,816
MASTERCARD INCORPORATED MAFinancial Services0.31%17-23-57.50%$8,815
NETFLIX INC. NFLXCommunication Services0.29%79-159-66.81%$8,515
US BANCORP USBFinancial Services0.29%153+56+57.73%$8,488
GE AEROSPACE GEIndustrials0.29%28-10-26.32%$8,352
MARVELL TECHNOLOGY INC MRVLTechnology0.29%62+49+376.92%$8,269
AUTOMATIC DATA PROCESSING IN ADPTechnology0.28%41-7-14.58%$8,216
LINDE PLC LINOther0.28%16-5-23.81%$7,988
ADVANCED MICRO DEVICES INC AMDTechnology0.27%28-16-36.36%$7,791
MONDELEZ INTL INC MDLZConsumer Defensive0.26%132+98+288.24%$7,533
TARGET CORP TGTConsumer Defensive0.26%60+49+445.45%$7,435
ARM HOLDINGS PLC ARMTechnology0.25%45-27-37.50%$7,305
STRATEGY INC MSTRTechnology0.25%49+49+100.00%$7,298
COINBASE GLOBAL INC COINFinancial Services0.25%36-5-12.20%$7,194
ASML HLDG NV ASMLOther0.24%5-3-37.50%$7,054
ABBVIE INC ABBVHealthcare0.24%33-9-21.43%$6,897
GE VERNOVA INC GEVUtilities0.24%7-3-30.00%$6,848
KROGER CO KRConsumer Defensive0.23%98+98+100.00%$6,641
ISHARES TR EEMOther0.22%102-29-22.14%$6,370
UNITEDHEALTH GROUP INC UNHHealthcare0.22%20-7-25.93%$6,328
CISCO SYS INC CSCOTechnology0.21%72-17-19.10%$6,084
PALANTIR TECHNOLOGIES INC PLTRTechnology0.20%41-30-42.25%$5,853
LAM RESEARCH CORP LRCXOther0.20%22-6-21.43%$5,741
ISHARES TR TLTOther0.19%65-16-19.75%$5,608
ORACLE CORP ORCLTechnology0.19%31-19-38.00%$5,529
MERCK & CO INC MRKHealthcare0.18%46-13-22.03%$5,311
INTEL CORP INTCTechnology0.18%75-185-71.15%$5,138
APPLIED MATLS INC AMATTechnology0.18%13-4-23.53%$5,069
PFIZER INC PFEHealthcare0.17%179+43+31.62%$4,872
PHILIP MORRIS INTL INC PMConsumer Defensive0.17%31-11-26.19%$4,843