← Holdings
CME

CME GROUP INC

4 managers · $257M total
Data: SEC EDGAR 13F · 2026Q1
Manager holders · last 4 qtrs
5
2025Q2 – 2026Q1 · flat QoQ
Total position
$257M
Combined value across tracked managers
Net move this quarter
↓ Trimming
Weighted by holders' share change
HolderQ actionValue% of port.Style
Baillie GiffordTrim-3.54%$127M0.13%Long-term growth / Global allocation
Horizon KineticsTrim-1.94%$80M0.86%Contrarian / Real assets
MarathonAdd+13.68%$35M1.36%Capital cycle / Contrarian value
MarkelAdd+8.74%$15M0.12%Insurance float / Long-term value
What managers say
2026-06-30The Capital Cycle (Marathon)BullPassive’s Massive AI Gamble (June 2026)Detail →
2025-10-30Horizon KineticsBull3rd Quarter 2025 CommentaryDetail →
2025-08-05Horizon KineticsBull2nd Quarter 2025 CommentaryDetail →
Earnings Calls
Q2 FY2025April 22, 2026
CME Q2 2025 results beat expectations, primarily driven by surging global risk hedging demand, with all six asset classes achieving year-over-year growth.
Key data: Average daily volume of 30.2 million contracts, up 16% year-over-year; adjusted EPS of $2.96, up 16% year-over-year; adjusted operating margin of 71%, a record high.
Business progress: Retail trader additions exceeded 90,000, up 56% year-over-year; renewed exclusive index license with Nasdaq for 10 years through 2039; crypto business average daily volume of nearly 260,000 contracts, up over 130% year-over-year.
Guidance and outlook: Management lowered its full-year adjusted operating expense guidance by $15 million to $1.635 billion, reflecting cloud migration cost optimization and reduced professional services spending. Management remains optimistic about second-half demand but emphasizes that specific volumes are difficult to predict.
Risk/highlight signals: Management tone was positive, emphasizing that the "risk appetite rising" environment continues, but no negative signals were mentioned.
FinancialsFY2025 · Source: SEC EDGAR 10-K

5y revenue CAGR 9% · latest net margin 62.5% · FCF consistently positive

Revenue$6.52B
Rev. YoY+6.4%
Gross margin
Net margin62.5%
Net income$4.07B
Free cash flow$4.19B
Operating cash flow$4.28B
ROE14.2%

Source: SEC EDGAR company filings (10-K). Foreign issuers (20-F/IFRS) not yet covered.