People / Stanley Druckenmiller

Stanley Druckenmiller

Duquesne Family Office · billionaire

$5,210,856disclosed portfolio (13F)
89holdings
0disclosed trades
Portfolio allocation · all 89 holdings — drag the scrollbar ↕
fund/company 13F holdings they manage — not personal net worth

All holdings (89)

top 10 = 54% of disclosed value · scroll for the full list ↓

#HoldingValue% of portfolioShares
1 Natera Inc $864,923 16.6% 3,186,306
2 Insmed Inc $295,837 5.7% 2,774,690
3 Taiwan Semiconductor Manufac $281,613 5.4% 589,680
4 Ishares Inc $264,414 5.1% 7,664,170
5 Amazon Com Inc $238,555 4.6% 1,000,900
6 Stmicroelectronics N V $232,375 4.5% 3,102,880
7 Invesco Exchange Traded Fd T $190,514 3.7% 895,400
8 Fox Corp $144,623 2.8% 2,837,200
9 Ypf Sociedad Anonima $142,726 2.7% 3,138,897
10 Cdw Corp $139,789 2.7% 993,950
11 Bbb Foods Inc $120,915 2.3% 2,901,733
12 Alphabet Inc $120,184 2.3% 336,300
13 Seagate Technology Hldngs Pl $117,730 2.3% 122,000
14 United Airls Hldgs Inc $108,084 2.1% 794,795
15 Sea Ltd $105,404 2.0% 1,099,905
16 Newamsterdam Pharma Company $104,047 2.0% 3,070,146
17 Ishares Tr $99,149 1.9% 330,000
18 Sandisk Corp $79,353 1.5% 34,900
19 Revolution Medicines Inc $74,835 1.4% 399,587
20 State Str Spdr S&P 500 Etf T $67,209 1.3% 90,000
21 Bitdeer Technologies Group $64,670 1.2% 4,074,993
22 Crh Plc $59,230 1.1% 553,555
23 Delta Air Lines Inc $56,477 1.1% 603,000
24 Tesla Inc $52,996 1.0% 126,000
25 Fluor Corp $51,457 1.0% 982,200
26 D R Horton Inc $48,701 0.9% 299,000
27 Coupang Inc $46,334 0.9% 2,667,485
28 Advanced Micro Devices Inc $42,348 0.8% 72,900
29 Palo Alto Networks Inc $39,780 0.8% 116,650
30 Cleveland-Cliffs Inc New $39,590 0.8% 4,216,184
31 Hut 8 Corp $36,267 0.7% 314,150
32 Caris Life Sciences Inc $33,759 0.6% 1,894,450
33 Global X Fds $30,019 0.6% 328,800
34 Woodward Inc $28,587 0.5% 67,194
35 Meta Platforms Inc $28,165 0.5% 50,000
36 Nuvation Bio Inc $25,786 0.5% 4,539,800
37 Protagonist Therapeutics Inc $25,607 0.5% 208,900
38 Roku Inc $25,425 0.5% 184,055
39 Cavco Inds Inc Del $24,268 0.5% 39,500
40 Adma Biologics Inc $23,303 0.4% 2,784,110
41 Hyperliquid Strategies Inc $23,150 0.4% 2,941,500
42 Rambus Inc Del $22,964 0.4% 173,000
43 Rhythm Pharmaceuticals Inc $22,608 0.4% 203,618
44 Champion Homes Inc $22,418 0.4% 254,400
45 Daktronics Inc $21,968 0.4% 1,123,109
46 Purecycle Technologies Inc $21,746 0.4% 2,681,415
47 Southern Copper Corp $21,444 0.4% 123,060
48 Linde Plc $21,380 0.4% 41,200
49 Entegris Inc $21,277 0.4% 118,300
50 Teva Pharmaceutical Inds Ltd $21,175 0.4% 624,999
51 Unity Software Inc $21,114 0.4% 738,785
52 Aeva Technologies Inc $20,683 0.4% 720,175
53 Riot Platforms Inc $20,666 0.4% 754,800
54 Qnity Electronics Inc $20,521 0.4% 125,655
55 Equinix Inc $19,232 0.4% 18,450
56 Lam Research Corp $18,893 0.4% 43,600
57 Definium Therapeutics Inc $16,774 0.3% 356,600
58 Belite Bio Inc Sponsored $16,338 0.3% 106,100
59 10X Genomics Inc $15,455 0.3% 403,100
60 Wabtec $15,258 0.3% 56,595
61 Eli Lilly & Co $14,849 0.3% 12,380
62 Xenon Pharmaceuticals Inc $14,402 0.3% 238,600
63 Olema Pharmaceuticals Inc $12,345 0.2% 986,827
64 Repligen Corp $10,560 0.2% 77,400
65 Rocket Cos Inc $10,272 0.2% 652,220
66 Baidu Inc $10,080 0.2% 88,200
67 Arm Holdings Plc $9,960 0.2% 28,090
68 Carvana Co $9,939 0.2% 151,000
69 Reddit Inc $9,816 0.2% 56,550
70 Alcoa Corp $9,679 0.2% 185,640
71 Thermo Fisher Scientific Inc $9,626 0.2% 19,200
72 Danaher Corp Del $9,581 0.2% 50,300
73 F5 Inc $9,151 0.2% 22,000
74 Vista Energy S.A.B. De C.V. $8,594 0.2% 134,700
75 Skeena Res Ltd New $8,003 0.2% 300,200
76 Jbs N.V. $7,772 0.1% 655,900
77 Monte Rosa Therapeutics Inc $7,202 0.1% 297,600
78 Relay Therapeutics Inc $6,530 0.1% 349,000
79 Dbv Technologies S A Sponsored $6,287 0.1% 383,363
80 Ccc Intelligent Solutions Hl $6,042 0.1% 1,170,900
81 Uwm Holdings Corporation $5,915 0.1% 2,583,000
82 Navitas Semiconductor Corp $5,575 0.1% 311,100
83 Solstice Advanced Matls Inc $5,540 0.1% 62,525
84 Ftai Aviation Ltd $5,465 0.1% 20,200
85 Beam Therapeutics Inc $5,272 0.1% 153,600
86 Aurora Innovation Inc $4,322 0.1% 633,700
87 Iren Limited $3,983 0.1% 87,100
88 Grupo Financiero Galicia S.A $2,977 0.1% 59,500
89 Wave Life Sciences Ltd $1,005 0.0% 173,000

Balance sheet — verifiable public data only; disclosures report value ranges

CategoryItemValueYearSource
asset13F equity portfolio (disclosed long positions) $5,210,856 2026 sec-13f ↗

⚠️ Built strictly from verifiable public data (SEC filings, official financial disclosures). Values shown as ranges reflect disclosure rules, not estimates. Net-worth figures, where shown, are third-party estimates — see the linked source.