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Duquesne Family Office (Stanley Druckenmiller)

CIK 0001536411 · ultimo deposito 13F: 2026-05-15 (confrontato con 2026-02-17)

Valore riportato
$3,376,828
Posizioni
68

Portafoglio

TitoloValoreAzioniVariazione
Natera Inc
632307104
$612,691 3,063,606 +6%
Ishares Inc
464286400
$294,228 7,664,170 +19%
Insmed Inc
457669307
$188,717 1,154,090 -27%
Taiwan Semiconductor Manufac
874039100
$167,380 495,280 +1%
Invesco Exchange Traded Fd T
46137V357
$157,566 821,000 -30%
Ypf Sociedad Anonima
984245100
$149,566 3,235,962 +581%
Bbb Foods Inc
G0896C103
$109,972 3,109,202 +23%
Alcoa Corp
013872106
$99,057 1,493,390 +36%
Newamsterdam Pharma Company
N62509109
$98,275 3,070,146 -9%
Sea Ltd
81141R100
$91,083 1,099,905 -24%
Stmicroelectronics N V
861012102
$90,275 2,612,880 +350%
Woodward Inc
980745103
$75,648 211,355 -58%
Teva Pharmaceutical Inds Ltd
881624209
$71,604 2,377,285 -61%
Roku Inc
77543R102
$70,983 750,190 +12%
Broadcom Inc
11135F101
$60,650 195,955 Nuova
State Str Spdr S&P 500 Etf T
78462F103
$58,531 90,000 -5%
Amazon Com Inc
023135106
$51,193 245,800 -74%
Coupang Inc
22266T109
$50,362 2,667,485 -68%
Option Care Health Inc
68404L201
$50,301 1,868,550 -10%
Crh Plc
G25508105
$39,689 377,555 -33%
Figure Technology Solutio
349381103
$39,057 1,150,415 -38%
Global X Fds
37950E259
$36,152 387,400 Nuova
Caris Life Sciences Inc
142152107
$33,873 1,894,450 Nuova
Restaurant Brands Intl Inc
76131D103
$33,583 454,435 -59%
Revolution Medicines Inc
76155X100
$30,717 315,860 Nuova
Lattice Semiconductor Corp
518415104
$29,974 323,135 -56%
Sandisk Corp
80004C200
$24,241 38,155 Nuova
United Airls Hldgs Inc
910047109
$24,168 262,495 -38%
Humana Inc
444859102
$23,842 137,505 Nuova
Wabtec
929740108
$23,715 94,895 -63%
Twilio Inc
90138F102
$22,869 181,760 Nuova
Jabil Inc
466313103
$21,835 82,200 Nuova
Southern Copper Corp
84265V105
$20,964 121,843 +21%
Ishares S&P Gsci Commodity-
46428R107
$20,737 643,000 Nuova
Linde Plc
G54950103
$20,425 41,200 Nuova
Seagate Technology Hldngs Pl
G7997R103
$19,862 50,700 Nuova
Ishares Tr
464287655
$19,592 79,000 -65%
Cleveland-Cliffs Inc New
185899101
$19,549 2,313,455 -16%
Nuvation Bio Inc
67080N101
$19,476 4,539,800 Nuova
Bloom Energy Corp
093712107
$18,470 136,320 -71%
Intel Corp
458140100
$18,155 411,400 Nuova
Belite Bio Inc Sponsored
07782B104
$16,917 106,100 Nuova
Protagonist Therapeutics Inc
74366E102
$16,832 159,700 +21%
Unity Software Inc
91332U101
$16,209 738,785 -10%
Arm Holdings Plc
042068205
$16,142 106,700 Nuova
Olema Pharmaceuticals Inc
68062P106
$14,714 986,827 Nuova
Qnity Electronics Inc
74743L100
$14,498 125,655 Nuova
Adma Biologics Inc
000899104
$13,926 1,545,610 +203%
Xenon Pharmaceuticals Inc
98420N105
$13,875 238,600 Nuova
Jbs N.V.
N4732M103
$11,780 655,900 Nuova
Daktronics Inc
234264109
$11,000 562,637 -35%
Cloudflare Inc
18915M107
$10,840 52,535 Nuova
Lyondellbasell Industries Nv
N53745100
$10,588 131,435 Nuova
Vista Energy S.A.B. De C.V.
92837L109
$10,166 134,700 Nuova
Twist Bioscience Corp
90184D100
$9,789 206,000 Nuova
Coherent Corp
19247G107
$9,624 40,400 Nuova
Celestica Inc
15101Q207
$9,373 33,275 Nuova
Stubhub Hldgs Inc
86384P109
$8,531 1,367,177 -73%
Dbv Technologies S A Sponsored
23306J309
$8,008 383,363 Nuova
Micron Technology Inc
595112103
$7,905 23,400 Nuova
Echostar Corp
278768106
$7,114 60,765 +8%
Almonty Inds Inc
020398707
$6,804 469,880 +64%
Purecycle Technologies Inc
74623V103
$4,999 963,189 -80%
Lumentum Hldgs Inc
55024U109
$4,893 6,963 Nuova
Mercadolibre Inc
58733R102
$4,782 2,766 -95%
Solstice Advanced Matls Inc
83443Q103
$4,762 62,525 Nuova
Westlake Corporation
960413102
$2,476 21,194 Nuova
Wave Life Sciences Ltd
Y95308105
$1,254 173,000 -57%

Uscite dal portafoglio

Titoli presenti nel deposito precedente (2026-02-17) e non piu' in quello attuale.

Titolo
Alphabet Inc
Rh
Cogent Biosciences Inc
Progyny Inc
Philip Morris Intl Inc
Argan Inc
Chipotle Mexican Grill Inc
Select Sector Spdr Tr
Goldman Sachs Group Inc
Cidara Therapeutics Inc
Ishares Tr
Aeva Technologies Inc
Flutter Entmt Plc
American Airls Group Inc
Entegris Inc
Delta Air Lines Inc Del
Wolfspeed Inc
Doordash Inc
Zillow Group Inc
Docusign Inc
Neptune Ins Hldgs Inc
On Semiconductor Corp
Dati pubblici SEC (Schedule 13F-HR), depositati trimestralmente con fino a 45 giorni di ritardo. Identificati per CUSIP: non tutti i titoli sono collegabili a una pagina di dettaglio in questa app. Non e' un consiglio di investimento.