SmartMoneyDB

Duquesne Family Office LLC

NEW YORK, NY · CIK 0001536411

Portfolio Value: $2.79B
Positions: 41
Period: 2023-09-30
Filed: 2023-11-14

Portfolio Value

$2.79B

Positions

41

New

8

Increased

15

Decreased

8

Sold Out

438

Duquesne Family Office LLC Q3 2023 13F Filing Summary

Duquesne Family Office LLC (NEW YORK, NY) reported a portfolio value of $2.79B across 41 positions in their Q3 2023 SEC 13F filing (period ending 2023-09-30). Top holdings include NVDA ($380.47M), CPNG ($355.37M), MSFT ($321.20M). The top 10 positions account for 73.2% of the portfolio. This quarter saw 8 new positions, 15 increases, 8 reductions, 438 complete exits. Notable new buys: VST ($65.98M), STX ($60.35M), AVGO ($43.15M). Notable exits: WRBY, VNO, SE.

All Holdings

#StockValueWeightChange
1
NVDANvidia Corporation
COM
$380.47M
13.65%
-7.9%
2
CPNGCoupang Inc
CL A
$355.37M
12.75%
-
3
MSFTMicrosoft Corp
COM
$321.20M
11.53%
+22.7%
4
LLYEli Lilly & Co
COM
$243.92M
8.75%
-15.3%
5
TECKTeck Resources Ltd
CL B
$176.93M
6.35%
+20.2%
6
LWLamb Weston Hldgs Inc
COM
$168.84M
6.06%
-11.6%
7
GOOGLAlphabet Inc
CAP STK CL A
$109.71M
3.94%
+0.0%
8
TMUST-Mobile Us Inc
COM
$105.97M
3.80%
-35.9%
9
NWSANews Corp New
CL A
$95.73M
3.43%
+5.5%
10
GEGeneral Electric Co
COM NEW
$81.38M
2.92%
-
11
VRTVertiv Holdings Co
COM CL A
$70.17M
2.52%
+52.9%
12
VSTVistra Corp
COM
$65.98M
2.37%
New
13
CVXChevron Corp New
COM
$64.85M
2.33%
+72.1%
14
STXSeagate Technology Hldngs Pl
ORD SHS
$60.35M
2.17%
New
15
BLDRBuilders Firstsource Inc
COM
$57.36M
2.06%
+48.5%
16
UBSUbs Group Ag
SHS
$54.06M
1.94%
+187.5%
17
AVGOBroadcom Inc
COM
$43.15M
1.55%
New
18
NTRANatera Inc
COM
$39.52M
1.42%
-
19
OPCHOption Care Health Inc
COM NEW
$38.99M
1.40%
-72.6%
20
CCJCameco Corp
COM
$34.48M
1.24%
-
21
KBRKbr Inc
COM
$29.80M
1.07%
-
22
BABAAlibaba Group Hldg Ltd
SPONSORED ADS
$26.67M
0.96%
+0.0%
23
NWSANews Corp New
CL B
$20.36M
0.73%
+33.5%
24
VEEVVeeva Sys Inc
CL A COM
$19.47M
0.70%
+0.0%
25
DHRDanaher Corporation
COM
$18.87M
0.68%
New
26
AMZNAmazon Com Inc
COM
$17.38M
0.62%
-37.4%
27
RIGTransocean Ltd
REG SHS
$15.14M
0.54%
+0.0%
28
WDCWestern Digital Corp.
COM
$10.49M
0.38%
New
29
JJacobs Solutions Inc
COM
$10.16M
0.36%
+71.5%
30
SPHRSphere Entertainment Co
CL A
$10.04M
0.36%
New
31
CPCanadian Pacific Kansas City
COM
$8.86M
0.32%
-3.6%
32
RXRXRecursion Pharmaceuticals In
CL A
$6.94M
0.25%
-34.6%
33
TKOTko Group Holdings Inc
CL A
$5.17M
0.19%
New
34
CEGConstellation Energy Corp
COM
$4.22M
0.15%
+0.0%
35
OPENOpendoor Technologies Inc
COM
$4.06M
0.15%
-
36
IHSIhs Holding Limited
ORD SHS
$3.42M
0.12%
-
37
ABCLAbcellera Biologics Inc
COM
$3.04M
0.11%
-
38
LPXLouisiana Pac Corp
COM
$3.01M
0.11%
New
39
COMPCompass Inc
CL A
$1.16M
0.04%
-
40
JOBYJoby Aviation Inc
COMMON STOCK
$145.00K
0.01%
+100.0%
41
SNSESensei Biotherapeutics Inc
COM
$80.00K
0.00%
-

Position Changes

StockValueShares
VSTVistra Corp
$65.98M1,988,561
STXSeagate Technology Hldngs Pl
$60.35M915,043
AVGOBroadcom Inc
$43.15M51,956
DHRDanaher Corporation
$18.87M76,040
WDCWestern Digital Corp.
$10.49M230,000
SPHRSphere Entertainment Co
$10.04M270,270
TKOTko Group Holdings Inc
$5.17M61,465
LPXLouisiana Pac Corp
$3.01M54,432