Strategies

Automated investment strategies that help you achieve your thesis

StrategyDescriptionAssetsOpen
AI Race icon
AI Race

OpenAI and Anthropic

The race to build the leading AI models is playing out between the two most important labs in the field. On a set weekly cadence, the portfolio rebalances to maintain a 50/50 split between the two holdings.

View
Magnificent Seven icon
Magnificent Seven

Tech Leaders

The Magnificent Seven, the companies behind most of the US market's growth this past decade, in a single portfolio. On a set daily cadence, the assets rebalance to the desired composition.

View
AI Leaders icon
AI Leaders

Companies shaping the future

Artificial intelligence is reshaping computing, from chips and memory to the cloud platforms and model builders driving the next wave of growth. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Warren Buffett icon
Warren Buffett

Follows his investments

This strategy tracks equity positions disclosed in Warren Buffett's investment firm Berkshire Hathaway's SEC Form 13F filings submitted quarterly. The assets distribution and weights are updated when new filings are posted

View
Prediction Markets icon
Prediction Markets

Kalshi and Polymarket

Prediction markets are emerging as a new way to price real-world outcomes, from elections to economic events. This portfolio pairs the leading regulated and alternative platforms in the space. On a set weekly cadence, the portfolio rebalances to maintain a 50/50 split between the two holdings.

View
Total World icon
Total World

ITOT, IEFA, and IEMG

Broad global equity exposure across US, developed, and emerging markets: 60% ITOT, 30% IEFA, and 10% IEMG. On a set monthly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
All US Politicians icon
All US Politicians

House & Senate

Tracks disclosed equity holdings of US politicians. Stocks are weighted by how large each position is across members' portfolios (sum of each member's portfolio weight).

View
Private Titans icon
Private Titans

OpenAI, Anthropic, Anduril, and more

The most valuable private companies are increasingly shaping AI, defense, and financial markets long before they go public. This portfolio holds equal-weight exposure to the leading names available on Grow. On a set weekly cadence, the portfolio rebalances to maintain equal weights across all holdings.

View
AI Model Leaders icon
AI Model Leaders

Google, Meta, OpenAI, and Anthropic

The companies building the world's leading AI models span Big Tech incumbents and fast-moving labs at the center of the race. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Top Semiconductors icon
Top Semiconductors

The chipmakers powering modern tech

Semiconductors are the backbone of AI, data centers, and modern computing. This portfolio holds equal-weight exposure to the chipmakers and equipment suppliers powering that buildout. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Space icon
Space

Launch, satellite, and space infrastructure

Commercial space is expanding across launch, satellites, and the infrastructure connecting Earth to orbit. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Quantum Computing icon
Quantum Computing

Quantum computing research and commercialization

Quantum computing is moving from research labs toward commercial applications in computing, security, and materials science. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Self-Driving icon
Self-Driving

Autonomous driving technology and sensors

Autonomous driving depends on a stack of software, sensors, and mobility platforms working together. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Robotics & Automation icon
Robotics & Automation

Robotics and automation for industry and logistics

Robotics and automation are moving from factory floors into logistics, surgery, and everyday industry. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Nancy Pelosi icon
Nancy Pelosi

Follows her investments

This strategy tracks equity positions disclosed in Nancy Pelosi's congressional financial filings submitted within 30 days of each trade. The assets distribution and weights are updated when new filings are posted

View
Nuclear Energy icon
Nuclear Energy

Nuclear power, fuel, and infrastructure

Nuclear power is regaining attention as a reliable source of carbon-free electricity, alongside uranium producers and related infrastructure. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Top Cloud Platforms icon
Top Cloud Platforms

The cloud and tooling powering AI

Cloud platforms and enterprise software are the infrastructure layer behind AI development and deployment. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
China Core icon
China Core

FXI and KWEB

China large-cap and internet exposure: 80% FXI and 20% KWEB. On a set monthly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Chinese Technology icon
Chinese Technology

China's leading tech platforms

Equal-weight Chinese technology: BABA, BIDU, JD, PDD, NTES, LI, NIO, and BILI. On a set monthly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Biotech icon
Biotech

Leading biotechnology innovators

Biotechnology companies are developing the next generation of therapies across gene editing, immunology, and novel drug platforms. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Batteries & EV icon
Batteries & EV

Electric vehicles and battery supply chains

Electric vehicles and battery supply chains sit at the center of the shift away from fossil-fuel transportation. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Renewables icon
Renewables

Clean power and electrification

Clean power and electrification are driving investment across utilities, solar, storage, and the equipment behind the energy transition. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Precious Metals icon
Precious Metals

Gold, silver, and platinum exposure

Gold, silver, and platinum are traditional stores of value and industrial inputs, accessed here through miners and metal ETFs. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Oil & Gas icon
Oil & Gas

Oil and gas producers and ETFs

Oil and gas producers remain central to global energy supply, even as the mix of sources continues to evolve. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Energy icon
Energy

Oil, gas, utilities, and power

The energy sector spans oil and gas producers, utilities, and the power infrastructure meeting rising electricity demand. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Global Core icon
Global Core

ITOT, IEFA, Bitcoin, and gold

A diversified global core: 60% ITOT, 30% IEFA, 5% Bitcoin, and 5% gold. On a set monthly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Consumer Internet icon
Consumer Internet

Consumer internet and platform giants

Consumer internet platforms shape how people search, shop, stream, and connect online. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
E-Commerce icon
E-Commerce

Global e-commerce leaders

E-commerce continues to take share of global retail, led by platforms spanning the U.S., China, and emerging markets. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Entertainment & Social icon
Entertainment & Social

Entertainment, streaming, and social

Streaming, social media, and entertainment platforms compete for attention and subscription revenue worldwide. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Enterprise Software icon
Enterprise Software

Software platforms for enterprises

Enterprise software is where AI capabilities get packaged into the tools businesses actually use every day. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Tech Infrastructure icon
Tech Infrastructure

Infrastructure for AI and cloud

AI and cloud workloads are driving massive demand for compute, networking, and data center infrastructure. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Exchanges icon
Exchanges

Market and crypto exchange operators

Market and trading platforms benefit as more assets move onto regulated and digital marketplaces. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Banks icon
Banks

Leading U.S. banks

Large U.S. banks sit at the center of lending, payments, and capital markets activity across the economy. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Asset Managers icon
Asset Managers

Asset management and financial data

Asset managers and financial data providers sit at the intersection of capital allocation, indexing, and market infrastructure. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Pharmaceuticals icon
Pharmaceuticals

Major pharmaceutical companies

Large pharmaceutical companies anchor drug development, manufacturing, and distribution at global scale. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Commodities icon
Commodities

Diversified commodity exposure

Commodities offer diversified exposure to energy, metals, and agricultural markets through producers and sector ETFs. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Industrial Metals icon
Industrial Metals

Copper, steel, and industrial metals

Copper, steel, and industrial metals are essential to construction, manufacturing, and the infrastructure buildout underway globally. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Natural Resources icon
Natural Resources

Natural resource producers and miners

Natural resource producers and miners supply the raw materials behind energy, manufacturing, and industrial growth. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Aircraft icon
Aircraft

Commercial aviation and eVTOL

Commercial aviation and electric vertical takeoff are two fronts in how people and goods move through the air. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Mobility icon
Mobility

Transportation and mobility platforms

Transportation is being reshaped by ride-hailing, EV makers, and the technology stack behind autonomous mobility. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Telecom icon
Telecom

Telecom and satellite connectivity

Telecom and satellite connectivity underpin mobile data, broadband, and next-generation wireless networks. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Retail Brands icon
Retail Brands

Iconic consumer brands and retailers

Iconic consumer brands and retailers have durable customer loyalty and global distribution that outlast short-term retail cycles. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Travel & Leisure icon
Travel & Leisure

Travel, dining, and leisure

Travel, dining, and leisure companies benefit when consumers spend on experiences, mobility, and hospitality. On a set weekly cadence, the portfolio rebalances when any holding drifts more than 5% from its target weight.

View
Leopold Aschenbrenner icon
Leopold Aschenbrenner

Follows his investments

This strategy tracks equity positions disclosed in Leopold Aschenbrenner's investment firm Situational Awareness LP's SEC Form 13F filings submitted quarterly. The assets distribution and weights are updated when new filings are posted

View
David Tepper icon

This strategy tracks equity positions disclosed in David Tepper's investment firm Appaloosa Management's SEC Form 13F filings submitted quarterly. The assets distribution and weights are updated when new filings are posted

View
Seth Klarman icon

This strategy tracks equity positions disclosed in Seth Klarman's investment firm Baupost Group's SEC Form 13F filings submitted quarterly. The assets distribution and weights are updated when new filings are posted

View
Cathie Wood icon
Cathie Wood

Follows her investments

Cathie Wood is the founder and chief investment officer of ARK Invest, and one of the most closely followed investors in the world, known for high-conviction bets on disruptive innovation across artificial intelligence, crypto, robotics, and genomics. Her flagship ARK Innovation strategy is recognised for concentrated positions in fast-growing technology companies positioned to benefit from major technological shifts. This portfolio is inspired by and tracks the equity positions disclosed in ARK Invest's publicly published holdings.

View
Chase Coleman icon

This strategy tracks equity positions disclosed in Chase Coleman's investment firm Tiger Global Management's SEC Form 13F filings submitted quarterly. The assets distribution and weights are updated when new filings are posted

View
Chris Hohn icon
Chris Hohn

managedStrategy.chrisHohnTracker.listSubtitle

This strategy tracks equity positions disclosed in Chris Hohn's SEC Form 13F filings submitted quarterly. The assets distribution and weights are updated when new filings are posted

View
Bill & Melinda Gates Foundation Trust icon
Bill & Melinda Gates Foundation Trust

managedStrategy.billMelindaGatesFoundationTrustTracker.listSubtitle

This strategy tracks equity positions disclosed in Bill & Melinda Gates Foundation Trust's SEC Form 13F filings submitted quarterly. The assets distribution and weights are updated when new filings are posted

View

Showing 1–50 of 289 strategies