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sec filings

Duquesne Family Office

Stanley Druckenmiller · period Tue 30 Jun 2026 · filed Fri 14 Aug 2026 · $5.21M

View filing (opens in a new window)

StockChangeValueShares
NTRA

Natera Inc

16.6%Added +4%$864,9233,186,306
TSM

Taiwan Semiconductor Manufac

5.4%Added +19%$281,613589,680
STM

Stmicroelectronics N V

4.5%Added +19%$232,3753,102,880
RSP Call

Invesco Exchange Traded Fd T

3.4%Same$174,684821,000
INSM

Insmed Inc

2.9%Added +23%$151,9001,424,690
EWZ Call

Ishares Inc

2.8%Same$145,8664,228,000
INSM Call

Insmed Inc

2.8%New$143,9371,350,000
YPF

Ypf Sociedad Anonima

2.7%Trimmed -3%$142,7263,138,897
AMZN

Amazon Com Inc

2.5%Added +1083%$129,085541,600
TBBB

Bbb Foods Inc

2.3%Trimmed -7%$120,9152,901,733
GOOGL

Alphabet Inc

2.3%New$120,184336,300
EWZ

Ishares Inc

2.3%Same$118,5483,436,170
STX

Seagate Technology Hldngs Pl

2.3%Added +141%$117,730122,000
FOXA

Fox Corp

2.2%New$114,9922,204,600
AMZN Call

Amazon Com Inc

2.1%Added +130%$109,470459,300
UAL

United Airls Hldgs Inc

2.1%Added +203%$108,084794,795
SE

Sea Ltd

2.0%Same$105,4041,099,905
CDW

Cdw Corp

2.0%New$104,629743,950
NAMS

Newamsterdam Pharma Company

2.0%Same$104,0473,070,146
IWM Call

Ishares Tr

1.9%Added +318%$99,149330,000
SNDK

Sandisk Corp

1.5%Trimmed -9%$79,35334,900
RVMD

Revolution Medicines Inc

1.4%Added +27%$74,835399,587
SPY Call

State Str Spdr S&P 500 Etf T

1.3%Same$67,20990,000
BTDR

Bitdeer Technologies Group

1.2%New$64,6704,074,993
CRH

Crh Plc

1.1%Added +47%$59,230553,555
DAL

Delta Air Lines Inc

1.1%New$56,477603,000
TSLA Call

Tesla Inc

1.0%New$52,996126,000
FLR

Fluor Corp

1.0%New$51,457982,200
DHI

D R Horton Inc

0.9%New$48,701299,000
CPNG

Coupang Inc

0.9%Same$46,3342,667,485
AMD

Advanced Micro Devices Inc

0.8%New$42,34872,900
PANW

Palo Alto Networks Inc

0.8%New$39,780116,650
CLF

Cleveland-Cliffs Inc New

0.8%Added +82%$39,5904,216,184
HUT

Hut 8 Corp

0.7%New$36,267314,150
CDW Call

Cdw Corp

0.7%New$35,160250,000
CAI

Caris Life Sciences Inc

0.6%Same$33,7591,894,450
ARGT

Global X Fds

0.6%Trimmed -15%$30,019328,800
FOX

Fox Corp

0.6%New$29,631632,600
WWD

Woodward Inc

0.5%Trimmed -68%$28,58767,194
META Call

Meta Platforms Inc

0.5%New$28,16550,000
NUVB

Nuvation Bio Inc

0.5%Same$25,7864,539,800
PTGX

Protagonist Therapeutics Inc

0.5%Added +31%$25,607208,900
ROKU

Roku Inc

0.5%Trimmed -75%$25,425184,055
CVCO

Cavco Inds Inc Del

0.5%New$24,26839,500
ADMA

Adma Biologics Inc

0.4%Added +80%$23,3032,784,110
PURR

Hyperliquid Strategies Inc

0.4%New$23,1502,941,500
RMBS

Rambus Inc Del

0.4%New$22,964173,000
RYTM

Rhythm Pharmaceuticals Inc

0.4%New$22,608203,618
SKY

Champion Homes Inc

0.4%New$22,418254,400
DAKT

Daktronics Inc

0.4%Added +100%$21,9681,123,109
PCT

Purecycle Technologies Inc

0.4%Added +178%$21,7462,681,415
SCCO

Southern Copper Corp

0.4%Added +1%$21,444123,060
LIN

Linde Plc

0.4%Same$21,38041,200
ENTG

Entegris Inc

0.4%New$21,277118,300
Teva Pharmaceutical Inds Ltd0.4%Trimmed -74%$21,175624,999
U

Unity Software Inc

0.4%Same$21,114738,785
AEVA

Aeva Technologies Inc

0.4%New$20,683720,175
RIOT

Riot Platforms Inc

0.4%New$20,666754,800
Q

Qnity Electronics Inc

0.4%Same$20,521125,655
EQIX

Equinix Inc

0.4%New$19,23218,450
LRCX

Lam Research Corp

0.4%New$18,89343,600
DFTX

Definium Therapeutics Inc

0.3%New$16,774356,600
BLTE

Belite Bio Inc Sponsored

0.3%Same$16,338106,100
RSP

Invesco Exchange Traded Fd T

0.3%New$15,83074,400
TXG

10X Genomics Inc

0.3%New$15,455403,100
WAB

Wabtec

0.3%Trimmed -40%$15,25856,595
LLY

Eli Lilly & Co

0.3%New$14,84912,380
XENE

Xenon Pharmaceuticals Inc

0.3%Same$14,402238,600
OLMA

Olema Pharmaceuticals Inc

0.2%Same$12,345986,827
RGEN

Repligen Corp

0.2%New$10,56077,400
RKT

Rocket Cos Inc

0.2%New$10,272652,220
BIDU

Baidu Inc

0.2%New$10,08088,200
ARM

Arm Holdings Plc

0.2%Trimmed -74%$9,96028,090
CVNA

Carvana Co

0.2%New$9,939151,000
RDDT

Reddit Inc

0.2%New$9,81656,550
AA

Alcoa Corp

0.2%Trimmed -88%$9,679185,640
TMO

Thermo Fisher Scientific Inc

0.2%New$9,62619,200
DHR

Danaher Corp Del

0.2%New$9,58150,300
FFIV

F5 Inc

0.2%New$9,15122,000
VIST

Vista Energy S.A.B. De C.V.

0.2%Same$8,594134,700
SKE

Skeena Res Ltd New

0.2%New$8,003300,200
JBS

Jbs N.V.

0.1%Same$7,772655,900
GLUE

Monte Rosa Therapeutics Inc

0.1%New$7,202297,600
RLAY

Relay Therapeutics Inc

0.1%New$6,530349,000
DBVT

Dbv Technologies S A Sponsored

0.1%Same$6,287383,363
CCC

Ccc Intelligent Solutions Hl

0.1%New$6,0421,170,900
UWMC

Uwm Holdings Corporation

0.1%New$5,9152,583,000
NVTS

Navitas Semiconductor Corp

0.1%New$5,575311,100
SOLS

Solstice Advanced Matls Inc

0.1%Same$5,54062,525
FTAI

Ftai Aviation Ltd

0.1%New$5,46520,200
BEAM

Beam Therapeutics Inc

0.1%New$5,272153,600
AUR

Aurora Innovation Inc

0.1%New$4,322633,700
IREN

Iren Limited

0.1%New$3,98387,100
GGAL

Grupo Financiero Galicia S.A

0.1%New$2,97759,500
Wave Life Sciences Ltd0.0%Same$1,005173,000

Sold this quarter

  • AVGO

    Broadcom Inc

    held 195,955 sh · $60,650
  • OPCH

    Option Care Health Inc

    held 1,868,550 sh · $50,301
  • FIGR

    Figure Technology Solutio

    held 1,150,415 sh · $39,057
  • QSR

    Restaurant Brands Intl Inc

    held 454,435 sh · $33,583
  • LSCC

    Lattice Semiconductor Corp

    held 323,135 sh · $29,974
  • HUM

    Humana Inc

    held 137,505 sh · $23,842
  • TWLO

    Twilio Inc

    held 181,760 sh · $22,869
  • JBL

    Jabil Inc

    held 82,200 sh · $21,835
  • GSG

    Ishares S&P Gsci Commodity-

    held 643,000 sh · $20,737
  • BE

    Bloom Energy Corp

    held 136,320 sh · $18,470
  • INTC

    Intel Corp

    held 411,400 sh · $18,155
  • NET

    Cloudflare Inc

    held 52,535 sh · $10,840
  • LYB

    Lyondellbasell Industries Nv

    held 131,435 sh · $10,588
  • TWST

    Twist Bioscience Corp

    held 206,000 sh · $9,789
  • COHR

    Coherent Corp

    held 40,400 sh · $9,624
  • CLS

    Celestica Inc

    held 33,275 sh · $9,373
  • STUB

    Stubhub Hldgs Inc

    held 1,367,177 sh · $8,531
  • MU

    Micron Technology Inc

    held 23,400 sh · $7,905
  • ECHO

    Echostar Corp

    held 60,765 sh · $7,114
  • ALM

    Almonty Inds Inc

    held 469,880 sh · $6,804
  • LITE

    Lumentum Hldgs Inc

    held 6,963 sh · $4,893
  • MELI

    Mercadolibre Inc

    held 2,766 sh · $4,782
  • WLK

    Westlake Corporation

    held 21,194 sh · $2,476

Read from public SEC filings. Not financial advice.

Duquesne Family Office 13F holdings · Nakagai