Duquesne Family Office Q3 2017

Duquesne Family Office holdings Q3 2017
Name ValueChangeSharesChangeWeightingChange
Alphabet Inccap stk cl a$225,757
39.04%
231,850
32.75%
10.27%
18.03%
Microsoft Corp$216,475
19.32%
2,906,100
10.41%
9.85%
1.29%
Facebook Inccl a$185,155
13.17%
1,083,6000.00%8.42%
-3.93%
Salesforce Com Inc$142,606
52.25%
1,526,500
41.13%
6.49%
29.24%
Amazon Com Inc$140,168
20.66%
145,803
21.50%
6.38%
2.43%
Priceline Grp Inc$135,645
15.23%
74,090
17.73%
6.17%
-2.18%
Alibaba Group Hldg Ltdsponsored ads$134,265
34.18%
777,400
9.46%
6.11%
13.90%
Electronic Arts Inc$84,283
11.67%
713,9000.00%3.83%
-5.20%
Jd Com Incspon adr cl a$83,471
56.63%
2,185,100
60.81%
3.80%
32.96%
Workday Inccl a$82,794
241.01%
785,600
213.86%
3.77%
189.49%
Citigroup IncNew $79,6651,095,2003.62%
Ctrip Com Intl Ltd$74,479
-2.08%
1,412,2000.00%3.39%
-16.87%
Paypal Hldgs Inc$59,241
19.31%
925,2000.00%2.69%
1.28%
Expedia Inc Del$46,620
-3.36%
323,8840.00%2.12%
-17.96%
Activision Blizzard Inc$46,067
12.06%
714,1000.00%2.10%
-4.88%
Las Vegas Sands Corp$39,426
0.42%
614,5000.00%1.79%
-14.75%
Ishares Trnasdaq biotech$36,928
44.46%
110,700
34.34%
1.68%
22.63%
Chubb LimitedNew $29,451206,6001.34%
Nektar Therapeutics$27,986
22.76%
1,166,1000.00%1.27%
4.21%
Celgene CorpNew $27,429188,1001.25%
Ac Immune Sa$26,992
28.40%
2,388,7000.00%1.23%
9.00%
Praxair IncNew $25,810184,7001.17%
Vale S AadrNew $24,9622,478,8001.14%
Yum China Hldgs Inc$23,870
1.37%
597,2000.00%1.09%
-13.95%
Mastercard Incorporatedcl a$23,326
16.26%
165,2000.00%1.06%
-1.31%
Visa Inc$22,774
12.22%
216,4000.00%1.04%
-4.73%
Netflix IncNew $20,765114,5000.94%
Bank New York Mellon CorpNew $19,936376,0000.91%
Nvidia CorpNew $16,35791,5000.74%
Biogen IncNew $15,03048,0000.68%
Regeneron PharmaceuticalsNew $14,21831,8000.65%
Cf Inds Hldgs IncNew $13,779391,9000.63%
Hdfc Bank Ltd$12,355
10.81%
128,2000.00%0.56%
-5.93%
Potash Corp Sask Inc$11,734
-65.61%
609,900
-70.87%
0.53%
-70.81%
Grupo Financiero Galicia S Asp adr 10 sh bNew $10,308200,0000.47%
Despegar Com CorpNew $9,600300,0000.44%
Incyte CorpNew $8,80275,4000.40%
Delta Air Lines Inc DelSold $0-391,000-1.13%
American Airls Group IncSold $0-400,000-1.08%
Ptc IncSold $0-449,600-1.33%
Servicenow IncSold $0-428,000-2.43%
Crown Castle Intl Corp NewSold $0-148,000-0.79%
Netease Incsponsored adrSold $0-85,700-1.38%
Comcast Corp Newcl aSold $0-1,968,400-4.10%
Autodesk IncSold $0-347,800-1.88%
Merck & Co IncSold $0-755,500-2.59%
United Contl Hldgs IncSold $0-243,500-0.98%
Sba Communications Corp Newcl aSold $0-112,000-0.81%
Portfolio Information
QuarterQ3 2017
Total value$2,198,529,000
Holdings37
Managers
Stanley Druckenmiller
Quarters
2018-03-31
$1,809,839
2017-12-31
$1,983,817
2017-09-30
$2,198,529
2017-06-30
$1,866,355
2017-03-31
$1,524,325
2016-12-31
$1,026,024
2016-09-30
$1,130,839
2016-06-30
$870,673
2016-03-31
$1,338,604
2015-12-31
$977,134
2015-09-30
$1,176,216
2015-06-30
$1,484,044
2015-03-31
$786,985
2014-12-31
$1,019,993
2014-09-30
$815,238
2014-06-30
$1,401,301
2014-03-31
$886,224
2013-12-31
$1,500,835
2013-09-30
$845,608
2013-06-30
$1,347,528
SEC Filings