Duquesne Family Office Q2 2017 13F Holdings

Duquesne Family Office Q2 2017 holdings
TickerName Value Shares↓ Weighting
MSFT Microsoft CorpAdd  $181,431
69.6%
2,632,100
62.1%
9.72%
38.5%
FB Facebook Inccl aAdd  $163,602
183.7%
1,083,600
167.0%
8.77%
131.7%
GOOGL Alphabet Inccap stk cl aAdd  $162,369
90.8%
174,650
74.0%
8.70%
55.8%
PCLN Priceline Grp IncAdd  $117,712
62.5%
62,930
54.6%
6.31%
32.7%
AMZN Amazon Com IncAdd  $116,163
84.3%
120,003
68.8%
6.22%
50.5%
BABA Alibaba Group Hldg Ltdsponsored adsNew  $100,067710,2005.36%
CRM Salesforce Com IncAdd  $93,667
17.7%
1,081,600
12.1%
5.02%
-3.9%
CMCSA Comcast Corp Newcl aAdd  $76,610
196.9%
1,968,400
186.8%
4.10%
142.5%
CTRP Ctrip Com Intl LtdAdd  $76,061
69.6%
1,412,200
54.8%
4.08%
38.6%
EA Electronic Arts IncAdd  $75,474
47.0%
713,900
24.4%
4.04%
20.0%
JD Jd Com Incspon adr cl aAdd  $53,292
168.5%
1,358,800
113.0%
2.86%
119.3%
PYPL Paypal Hldgs IncAdd  $49,655
101.1%
925,200
61.2%
2.66%
64.3%
MRK Merck & Co IncNew  $48,420755,5002.59%
EXPE Expedia Inc DelAdd  $48,243
87.6%
323,884
58.9%
2.58%
53.2%
NOW Servicenow IncNew  $45,368428,0002.43%
ATVI Activision Blizzard IncAdd  $41,111
53.5%
714,100
32.9%
2.20%
25.4%
LVS Las Vegas Sands CorpAdd  $39,260
148.6%
614,500
122.1%
2.10%
103.1%
ADSK Autodesk IncAdd  $35,065
156.1%
347,800
119.6%
1.88%
109.2%
POT Potash Corp Sask Inc  $34,124
-4.6%
2,093,5000.0%1.83%
-22.1%
NTES Netease Incsponsored adrAdd  $25,764
74.1%
85,700
64.5%
1.38%
42.1%
IBB Ishares Trnasdq biotec etfNew  $25,56382,4001.37%
PTC Ptc IncReduce  $24,782
-43.2%
449,600
-45.8%
1.33%
-53.6%
WDAY Workday Inccl aAdd  $24,279
25.0%
250,300
7.3%
1.30%
2.0%
YUMC Yum China Hldgs IncNew  $23,548597,2001.26%
NKTR Nektar TherapeuticsAdd  $22,797
45.9%
1,166,100
75.2%
1.22%
19.1%
DAL Delta Air Lines Inc DelNew  $21,012391,0001.13%
ACIU Ac Immune Sa  $21,021
-15.1%
2,388,7000.0%1.13%
-30.6%
V Visa IncNew  $20,294216,4001.09%
AAL American Airls Group IncAdd  $20,128
134.3%
400,000
96.9%
1.08%
91.1%
MA Mastercard Incorporatedcl aNew  $20,064165,2001.08%
UAL United Contl Hldgs IncAdd  $18,323
97.1%
243,500
85.0%
0.98%
61.0%
SBAC Sba Communications Cor...cl aNew  $15,109112,0000.81%
CCI Crown Castle Intl Corp...New  $14,827148,0000.79%
HDB Hdfc Bank LtdNew  $11,150128,2000.60%
RICE Rice Energy IncSold out  $0-326,455-0.51%
EQT Eqt CorpSold out  $0-142,200-0.57%
TWTR Twitter IncSold out  $0-605,000-0.59%
PSTG Pure Storage Inccl aSold out  $0-926,133-0.60%
NUE Nucor CorpSold out  $0-157,000-0.62%
WMB Williams Cos Inc DelSold out  $0-327,300-0.64%
CELG Celgene CorpSold out  $0-82,400-0.67%
NFLX Netflix IncSold out  $0-70,600-0.68%
AZPN Aspen Technology IncSold out  $0-209,900-0.81%
S Sprint CorpSold out  $0-1,663,500-0.95%
VMC Vulcan Matls CoSold out  $0-122,000-0.96%
HAL Halliburton CoSold out  $0-301,600-0.97%
ROK Rockwell Automation IncSold out  $0-99,000-1.01%
TMUS T Mobile Us IncSold out  $0-242,700-1.03%
SYMC Symantec CorpSold out  $0-551,500-1.11%
LNG Cheniere Energy IncSold out  $0-446,145-1.38%
COG Cabot Oil & Gas CorpSold out  $0-955,588-1.50%
PXD Pioneer Nat Res CoSold out  $0-128,600-1.57%
AEM Agnico Eagle Mines LtdSold out  $0-882,900-2.46%
AA Alcoa CorpSold out  $0-1,370,511-3.09%
BAC Bank Amer CorpSold out  $0-2,110,300-3.27%
GOLD Barrick Gold CorpSold out  $0-2,850,000-3.55%
EEM Ishares Trmsci emg mkt etfSold out  $0-2,499,000-6.46%
LYB Lyondellbasell Industr...Sold out  $0-1,158,300-6.93%
  • Duquesne Family Office Q2 2017 Portfolio
  • Quarter
    Q2 2017
  • Total value
    $1.87 Billion
  • Holdings
    34
  • Turnover
    74.5%
  • EDGAR