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Smart Money · Hedge funds and macro

Stanley Druckenmiller

Duquesne Family Office

01

13F holdings

Duquesne Family Office LLC · period 2026-06-30 (filed 2026-08-14)

13F portfolio value$5.2B95 positions
Top-10 weight45.8%Concentration
New / added48 / 17vs 2026-03-31
Trimmed / sold out10 / 23vs 2026-03-31

All positions (95)

TickerNameValueWeightChangeShare change
NTRANatera Inc$865M16.6%
Added
+4.0%
TSMTaiwan Semiconductor Manufac$282M5.4%
Added
+19.1%
STMStmicroelectronics N V$232M4.5%
Added
+18.8%
RSPInvesco Exchange Traded Fd T (Call)$175M3.4%
Held
–
INSMInsmed Inc$152M2.9%
Added
+23.4%
EWZIshares Inc (Call)$146M2.8%
Held
–
INSMInsmed Inc (Call)$144M2.8%
New
–
YPFYpf Sociedad Anonima$143M2.7%
Trimmed
-3.0%
AMZNAmazon Com Inc$129M2.5%
Added
+1082.5%
TBBBBbb Foods Inc$121M2.3%
Trimmed
-6.7%
GOOGLAlphabet Inc$120M2.3%
New
–
EWZIshares Inc$119M2.3%
Held
–
STXSeagate Technology Hldngs Pl$118M2.3%
Added
+140.6%
FOXAFox Corp$115M2.2%
New
–
AMZNAmazon Com Inc (Call)$109M2.1%
Added
+129.7%
UALUnited Airls Hldgs Inc$108M2.1%
Added
+202.8%
SESea Ltd$105M2.0%
Held
–
CDWCdw Corp$105M2.0%
New
–
NAMSNewamsterdam Pharma Company$104M2.0%
Held
–
IWMIshares Tr (Call)$99M1.9%
Added
+317.7%
SNDKSandisk Corp$79M1.5%
Trimmed
-8.5%
RVMDRevolution Medicines Inc$75M1.4%
Added
+26.5%
SPYState Str Spdr S&P 500 Etf T (Call)$67M1.3%
Held
–
BTDRBitdeer Technologies Group$65M1.2%
New
–
CRHCrh Plc$59M1.1%
Added
+46.6%
DALDelta Air Lines Inc$56M1.1%
New
–
TSLATesla Inc (Call)$53M1.0%
New
–
FLRFluor Corp$51M1.0%
New
–
DHID R Horton Inc$49M0.9%
New
–
CPNGCoupang Inc$46M0.9%
Held
–
AMDAdvanced Micro Devices Inc$42M0.8%
New
–
PANWPalo Alto Networks Inc$40M0.8%
New
–
CLFCleveland-Cliffs Inc New$40M0.8%
Added
+82.2%
HUTHut 8 Corp$36M0.7%
New
–
CDWCdw Corp (Call)$35M0.7%
New
–
CAICaris Life Sciences Inc$34M0.6%
Held
–
ARGTGlobal X Fds$30M0.6%
Trimmed
-15.1%
FOXFox Corp$30M0.6%
New
–
WWDWoodward Inc$29M0.5%
Trimmed
-68.2%
METAMeta Platforms Inc (Call)$28M0.5%
New
–
NUVBNuvation Bio Inc$26M0.5%
Held
–
PTGXProtagonist Therapeutics Inc$26M0.5%
Added
+30.8%
ROKURoku Inc$25M0.5%
Trimmed
-75.5%
CVCOCavco Inds Inc Del$24M0.5%
New
–
ADMAAdma Biologics Inc$23M0.4%
Added
+80.1%
PURRHyperliquid Strategies Inc$23M0.4%
New
–
RMBSRambus Inc Del$23M0.4%
New
–
RYTMRhythm Pharmaceuticals Inc$23M0.4%
New
–
SKYChampion Homes Inc$22M0.4%
New
–
DAKTDaktronics Inc$22M0.4%
Added
+99.6%
PCTPurecycle Technologies Inc$22M0.4%
Added
+178.4%
SCCOSouthern Copper Corp$21M0.4%
Added
+1.0%
LINLinde Plc$21M0.4%
Held
–
ENTGEntegris Inc$21M0.4%
New
–
TEVANTeva Pharmaceutical Inds Ltd$21M0.4%
Trimmed
-73.7%
UUnity Software Inc$21M0.4%
Held
–
AEVAAeva Technologies Inc$21M0.4%
New
–
RIOTRiot Platforms Inc$21M0.4%
New
–
QQnity Electronics Inc$21M0.4%
Held
–
EQIXEquinix Inc$19M0.4%
New
–
LRCXLam Research Corp$19M0.4%
New
–
DFTXDefinium Therapeutics Inc$17M0.3%
New
–
BLTEBelite Bio Inc Sponsored$16M0.3%
Held
–
RSPInvesco Exchange Traded Fd T$16M0.3%
New
–
TXG10X Genomics Inc$15M0.3%
New
–
WABWabtec$15M0.3%
Trimmed
-40.4%
LLYEli Lilly & Co$15M0.3%
New
–
XENEXenon Pharmaceuticals Inc$14M0.3%
Held
–
OLMAOlema Pharmaceuticals Inc$12M0.2%
Held
–
RGENRepligen Corp$11M0.2%
New
–
RKTRocket Cos Inc$10M0.2%
New
–
BIDUBaidu Inc$10M0.2%
New
–
ARMArm Holdings Plc$10M0.2%
Trimmed
-73.7%
CVNACarvana Co$10M0.2%
New
–
RDDTReddit Inc$10M0.2%
New
–
AAAlcoa Corp$10M0.2%
Trimmed
-87.6%
TMOThermo Fisher Scientific Inc$10M0.2%
New
–
DHRDanaher Corp Del$10M0.2%
New
–
FFIVF5 Inc$9M0.2%
New
–
VISTVista Energy S.A.B. De C.V.$9M0.2%
Held
–
SKESkeena Res Ltd New$8M0.2%
New
–
JBSJbs N.V.$8M0.1%
Held
–
GLUEMonte Rosa Therapeutics Inc$7M0.1%
New
–
RLAYRelay Therapeutics Inc$7M0.1%
New
–
DBVTDbv Technologies S A Sponsored$6M0.1%
Held
–
CCCCcc Intelligent Solutions Hl$6M0.1%
New
–
UWMCUwm Holdings Corporation$6M0.1%
New
–
NVTSNavitas Semiconductor Corp$6M0.1%
New
–
SOLSSolstice Advanced Matls Inc$6M0.1%
Held
–
FTAIFtai Aviation Ltd$5M0.1%
New
–
BEAMBeam Therapeutics Inc$5M0.1%
New
–
AURAurora Innovation Inc$4M0.1%
New
–
IRENIren Limited$4M0.1%
New
–
GGALGrupo Financiero Galicia S.A$3M0.1%
New
–
no tickerWave Life Sciences Ltd$1M0.0%
Held
–

New this quarter (by value)

TickerNameValueWeightChangeShare change
INSMInsmed Inc (Call)$144M2.8%
New
–
GOOGLAlphabet Inc$120M2.3%
New
–
FOXAFox Corp$115M2.2%
New
–
CDWCdw Corp$105M2.0%
New
–
BTDRBitdeer Technologies Group$65M1.2%
New
–
DALDelta Air Lines Inc$56M1.1%
New
–
TSLATesla Inc (Call)$53M1.0%
New
–
FLRFluor Corp$51M1.0%
New
–
DHID R Horton Inc$49M0.9%
New
–
AMDAdvanced Micro Devices Inc$42M0.8%
New
–
PANWPalo Alto Networks Inc$40M0.8%
New
–
HUTHut 8 Corp$36M0.7%
New
–
CDWCdw Corp (Call)$35M0.7%
New
–
FOXFox Corp$30M0.6%
New
–
METAMeta Platforms Inc (Call)$28M0.5%
New
–

Sold out this quarter (by prior value)

TickerNamePrior valueWeightChangeShare change
AVGOBroadcom Inc$61M0.0%
Sold out
–
OPCHOption Care Health Inc$50M0.0%
Sold out
–
FIGRFigure Technology Solutio$39M0.0%
Sold out
–
QSRRestaurant Brands Intl Inc$34M0.0%
Sold out
–
LSCCLattice Semiconductor Corp$30M0.0%
Sold out
–
HUMHumana Inc$24M0.0%
Sold out
–
TWLOTwilio Inc$23M0.0%
Sold out
–
JBLJabil Inc$22M0.0%
Sold out
–
GSGIshares S&P Gsci Commodity-$21M0.0%
Sold out
–
BEBloom Energy Corp$18M0.0%
Sold out
–
INTCIntel Corp$18M0.0%
Sold out
–
NETCloudflare Inc$11M0.0%
Sold out
–
LYBLyondellbasell Industries Nv$11M0.0%
Sold out
–
TWSTTwist Bioscience Corp$10M0.0%
Sold out
–
COHRCoherent Corp$10M0.0%
Sold out
–

13F covers US long positions only (options at notional value). No shorts, cash or foreign assets; filed within 45 days of quarter end.

1 holding could not be matched to a ticker (mostly non-common shares or delisted securities) and is shown by name.

Original filings: 13F-HR(2026-08-14)