Compounder

Stanley Druckenmiller

Net buying

Duquesne Family Office LLC — managed by Stanley Druckenmiller; US equity positions disclosed quarterly via SEC 13F

Portfolio value$3.38B
Holdings70
Latest period2026-03-31
Top holdingNatera Inc
Holdings
SecurityValueSharesWeight
Natera Inc632307104$612.7M3,063,60618.14%
Insmed Inc457669307$188.7M1,154,0905.59%
Taiwan Semiconductor Manufac874039100$167.4M495,2804.96%
Ishares Inc464286400$162.3M4,228,0004.81%
Invesco Exchange Traded Fd T46137V357$157.6M821,0004.67%
Ypf Sociedad Anonima984245100$149.6M3,235,9624.43%
Ishares Inc464286400$131.9M3,436,1703.91%
Bbb Foods IncG0896C103$110.0M3,109,2023.26%
Alcoa Corp13872106$99.1M1,493,3902.93%
Newamsterdam Pharma CompanyN62509109$98.3M3,070,1462.91%
Sea Ltd81141R100$91.1M1,099,9052.70%
Stmicroelectronics N V861012102$90.3M2,612,8802.67%
Woodward Inc980745103$75.6M211,3552.24%
Teva Pharmaceutical Inds Ltd881624209$71.6M2,377,2852.12%
Roku Inc77543R102$71.0M750,1902.10%
Broadcom Inc11135F101$60.6M195,9551.80%
State Str Spdr S&P 500 Etf T78462F103$58.5M90,0001.73%
Coupang Inc22266T109$50.4M2,667,4851.49%
Option Care Health Inc68404L201$50.3M1,868,5501.49%
Amazon Com Inc23135106$41.7M200,0001.23%
Crh PlcG25508105$39.7M377,5551.18%
Figure Technology Solutio349381103$39.1M1,150,4151.16%
Global X Fds3.795e+263$36.2M387,4001.07%
Caris Life Sciences Inc142152107$33.9M1,894,4501.00%
Restaurant Brands Intl Inc76131D103$33.6M454,4350.99%

Showing top 25 of 70 positions

Quarter Changes
New (31)
Invesco Exchange Traded Fd T$157.6M
Broadcom Inc$60.6M
Global X Fds$36.2M
Caris Life Sciences Inc$33.9M
Revolution Medicines Inc$30.7M
Sandisk Corp$24.2M
Humana Inc$23.8M
Twilio Inc$22.9M
Exited (23)
Select Sector Spdr Tr$0
Invesco Exchange Traded Fd T$0
Alphabet Inc$0
Cogent Biosciences Inc$0
Entegris Inc$0
Docusign Inc$0
Ishares Tr$0
Delta Air Lines Inc Del$0
Added (13)
Natera Inc+22.0%
Ypf Sociedad Anonima+433.1%
Bbb Foods Inc+16.2%
Alcoa Corp+8.5%
Sea Ltd+16.5%
Stmicroelectronics N V+237.8%
Roku Inc+28.7%
Option Care Health Inc+7.0%
Trimmed (19)
Insmed Inc-22.1%
Taiwan Semiconductor Manufac-8.8%
Ishares Inc-3.3%
Woodward Inc-64.2%
Teva Pharmaceutical Inds Ltd-59.5%
Coupang Inc-60.6%
Crh Plc-20.5%
Figure Technology Solutio-25.3%

Sources·SEC EDGAR 13F as of 2026-05-15