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Home/Hedge Fund/Duquesne Family Office/Q3 2023

Duquesne Family Office

Periodo: Q3 2023 · Depositato: 2023-11-14
Vedi su SEC EDGAR
AUM
$2.79B
Valore totale del portafoglio
Posizioni
41
Titoli dichiarati
Prima Posizione
NVDA
13.7% $380.5M
Var. Trimestrali
+8 / -8
nuovi · usciti
⚠️Informativa sui Depositi 13F

I dati AUM mostrati sono calcolati sommando il valore di mercato dichiarato di tutte le posizioni nei depositi SEC 13F-HR — non rappresentano il patrimonio effettivo gestito dal fondo.

  • Escluse liquidità, obbligazioni, private equity, posizioni corte e azioni estere non soggette all'obbligo di dichiarazione.
  • Per le opzioni PUT e CALL, il Valore dichiarato è il valore nozionale delle azioni sottostanti — non il premio pagato. Ciò sovrastima significativamente il capitale effettivamente a rischio.
  • Il patrimonio reale del fondo è tipicamente superiore e include strategie, strumenti e posizioni che non compaiono mai in un 13F.
  • I depositi 13F riguardano i gestori istituzionali con ≥$100M in titoli 13F. Le posizioni riflettono le partecipazioni a fine trimestre, divulgate entro 45 giorni dalla fine del periodo.

Dati provenienti da SEC EDGAR. Questo tracker è a scopo puramente informativo e non costituisce consulenza finanziaria.

Partecipazioni in Portafoglio

Prime 30 posizioni

⚠️ Performance % calcolata dalla data di deposito ( 2023-11-14) si riferisce al titolo sottostante — non al P&L del derivato.
TickerEmittenteNozionalePortafoglio %Al DepositoOra (Fine Giornata)Dal DepositoAllocazione
NVDANvidia Corporation$380.5M13.65%$44.70$194.83+335.9%
13.7%
CPNGCoupang Inc$355.4M12.75%$16.96$18.56+9.4%
12.8%
MSFTMicrosoft Corp$321.2M11.53%$315.03$390.49+23.9%
11.5%
LLYEli Lilly & Co$243.9M8.75%$528.07$1213.91+129.9%
8.8%
TECKTeck Resources Ltd$176.9M6.35%$40.45$60.01+48.4%
6.3%
LWLamb Weston Hldgs Inc$168.8M6.06%$86.47$45.91-46.9%
6.1%
GOOGLAlphabet Inc$109.7M3.94%$132.99$359.91+170.6%
3.9%
TMUST-Mobile Us Inc$106.0M3.80%$133.17$177.52+33.3%
3.8%
NWSANews Corp New$95.7M3.43%$19.63$26.64+35.7%
3.4%
GEGeneral Electric Co$81.4M2.92%$85.59$377.52+341.1%
2.9%
VRTVertiv Holdings Co$70.2M2.52%$38.27$300.53+685.3%
2.5%
VSTVistra Corp$66.0M2.37%$31.76$151.05+375.6%
2.4%
CVXChevron Corp New$64.8M2.33%$148.19$169.20+14.2%
2.3%
STXSeagate Technology Hldngs Pl$60.4M2.17%$62.40$820.16+1214.4%
2.2%
BLDRBuilders Firstsource Inc$57.4M2.06%$123.00$84.69-31.1%
2.1%
UBSUbs Group Ag$54.1M1.94%$22.41$51.04+127.8%
1.9%
AVGOBroadcom Inc$43.1M1.55%$80.98$360.45+345.1%
1.6%
NTRANatera Inc$39.5M1.42%$43.68$279.32+539.5%
1.4%
OPCHOption Care Health Inc$39.0M1.40%$33.24$21.90-34.1%
1.4%
CCJCameco Corp$34.5M1.24%$37.35$96.54+158.5%
1.2%
KBRKbr Inc$29.8M1.07%$56.56$36.41-35.6%
1.1%
BABAAlibaba Group Hldg Ltd$26.7M0.96%$81.43$96.14+18.1%
1.0%
NWSNews Corp New$20.4M0.73%$20.44$30.17+47.6%
0.7%
VEEVVeeva Sys Inc$19.5M0.70%$201.18$192.74-4.2%
0.7%
DHRDanaher Corporation$18.9M0.68%$210.13$197.93-5.8%
0.7%
AMZNAmazon Com Inc$17.4M0.62%$129.46$242.67+87.5%
0.6%
RIGTransocean Ltd$15.1M0.54%$7.88$5.06-35.8%
0.5%
WDCWestern Digital Corp.$10.5M0.38%$34.21$539.00+1475.6%
0.4%
JJacobs Solutions Inc$10.2M0.36%$108.34$127.89+18.1%
0.4%
SPHRSphere Entertainment Co$10.0M0.36%$41.29$163.79+296.7%
0.4%

Attività Trimestre su Trimestre

Q3 2023 vs. Q2 2023

Nuove Posizioni (8)

TickerEmittenteNozionaleDal Deposito
GOOGLAlphabet Inc$109.7M+170.6%
VSTVistra Corp$66.0M+375.6%
STXSeagate Technology Hldngs Pl$60.4M+1214.4%
AVGOBroadcom Inc$43.1M+345.1%
BABAAlibaba Group Hldg Ltd$26.7M+18.1%
VEEVVeeva Sys Inc$19.5M-4.2%
DHRDanaher Corporation$18.9M-5.8%
RIGTransocean Ltd$15.1M-35.8%

Posizioni Chiuse (8)

TickerEmittenteNozionale
TSMTaiwan Semiconductor Mfg Ltd$49.1M
IQVIqvia Hldgs Inc$44.7M
PTCPtc Inc$38.9M
ORCLOracle Corp$32.3M
SGITempur Sealy Intl Inc$21.0M
WCCWesco Intl Inc$20.9M
SKXSkechers U S A Inc$19.5M
MRVLMarvell Technology Inc$18.8M

Aumentate (8)

TickerEmittenteNozionaleVar. AzioniDal Deposito
UBSUbs Group Ag$38.7M+187.5%+127.8%
JOBYJoby Aviation Inc$0.0M+100.0%
CVXChevron Corp New$29.7M+72.1%+14.2%
JJacobs Solutions Inc$5.0M+71.5%+18.1%
VRTVertiv Holdings Co$39.6M+52.9%+685.3%
BLDRBuilders Firstsource Inc$15.2M+48.5%-31.1%
NWSNews Corp New$6.0M+33.5%+47.6%
MSFTMicrosoft Corp$38.9M+22.7%+23.9%

Ridotte (8)

TickerEmittenteNozionaleVar. AzioniDal Deposito
OPCHOption Care Health Inc$-103.7M-72.6%-34.1%
AMZNAmazon Com Inc$-11.1M-37.4%+87.5%
TMUST-Mobile Us Inc$-57.9M-35.9%+33.3%
RXRXRecursion Pharmaceuticals In$-3.4M-34.6%
LLYEli Lilly & Co$-7.7M-15.3%+129.9%
LWLamb Weston Hldgs Inc$-68.7M-11.6%-46.9%
NVDANvidia Corporation$-21.4M-7.9%+335.9%
CPCanadian Pacific Kansas City$-1.1M-3.6%
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