SmartMoneyDB

Duquesne Family Office LLC

NEW YORK, NY · CIK 0001536411

Portfolio Value: $1.52B
Positions: 47
Period: 2017-03-31
Filed: 2017-05-15

Portfolio Value

$1.52B

Positions

47

New

14

Increased

26

Decreased

3

Sold Out

175

Duquesne Family Office LLC Q1 2017 13F Filing Summary

Duquesne Family Office LLC (NEW YORK, NY) reported a portfolio value of $1.52B across 47 positions in their Q1 2017 SEC 13F filing (period ending 2017-03-31). Top holdings include MSFT ($106.97M), DELL ($105.63M), EEM ($98.44M). The top 10 positions account for 50.8% of the portfolio. This quarter saw 14 new positions, 26 increases, 3 reductions, 175 complete exits. Notable new buys: EA ($51.36M), PTC ($43.60M), CMCSA ($25.80M). Notable exits: FCX, XLF, ABBV.

All Holdings

#StockValueWeightChange
1
MSFTMicrosoft Corp
COM
$106.97M
7.02%
+0.0%
2
DELLLyondellbasell Industries N
SHS - A -
$105.63M
6.93%
+103.7%
3
EEMIshares Tr
MSCI EMG MKT ETF
$98.44M
6.46%
+0.0%
4
GOOGLAlphabet Inc
CAP STK CL A
$85.12M
5.58%
+0.0%
5
CRMSalesforce Com Inc
COM
$79.59M
5.22%
+0.0%
6
Priceline Grp Inc
COM NEW
$72.44M
4.75%
+0.0%
7
AMZNAmazon Com Inc
COM
$63.03M
4.14%
+0.0%
8
METAFacebook Inc
CL A
$57.66M
3.78%
+0.0%
9
Barrick Gold Corp
COM
$54.12M
3.55%
+0.0%
10
EAElectronic Arts Inc
COM
$51.36M
3.37%
New
11
BACBank Amer Corp
COM
$49.78M
3.27%
-17.6%
12
AAAlcoa Corp
COM
$47.15M
3.09%
+14.1%
13
TCOMCtrip Com Intl Ltd
AMERICAN DEP SHS
$44.84M
2.94%
+0.0%
14
PTCPtc Inc
COM
$43.60M
2.86%
New
15
AEMAgnico Eagle Mines Ltd
COM
$37.47M
2.46%
+0.0%
16
Potash Corp Sask Inc
COM
$35.76M
2.35%
+0.0%
17
ATVIEURActivision Blizzard Inc
COM
$26.79M
1.76%
+0.0%
18
CMCSAComcast Corp New
CL A
$25.80M
1.69%
New
19
EXPEExpedia Inc Del
COM NEW
$25.71M
1.69%
+0.0%
20
ACIUAc Immune Sa
SHS
$24.75M
1.62%
+51.3%
21
PYPLPaypal Hldgs Inc
COM
$24.69M
1.62%
+0.0%
22
IONRPioneer Nat Res Co
COM
$23.95M
1.57%
+14.5%
23
CBTCabot Oil & Gas Corp
COM
$22.85M
1.50%
+122.4%
24
LNGCheniere Energy Inc
COM NEW
$21.09M
1.38%
+0.0%
25
JDJd Com Inc
SPON ADR CL A
$19.85M
1.30%
+0.0%
26
WDAYWorkday Inc
CL A
$19.43M
1.27%
+0.0%
27
SYMCEURSymantec Corp
COM
$16.92M
1.11%
New
28
LVSLas Vegas Sands Corp
COM
$15.79M
1.04%
New
29
TMUST Mobile Us Inc
COM
$15.68M
1.03%
New
30
NKTRNektar Therapeutics
COM
$15.62M
1.02%
+0.0%
31
ROKRockwell Automation Inc
COM
$15.41M
1.01%
+0.0%
32
HALHalliburton Co
COM
$14.84M
0.97%
-71.0%
33
NTESNetease Inc
SPONSORED ADR
$14.80M
0.97%
New
34
VMCVulcan Matls Co
COM
$14.70M
0.96%
New
35
Sprint Corp
COM SER 1
$14.44M
0.95%
New
36
ADSKAutodesk Inc
COM
$13.69M
0.90%
New
37
ASPUAspen Technology Inc
COM
$12.37M
0.81%
-
38
NFLXNetflix Inc
COM
$10.44M
0.68%
New
39
Celgene Corp
COM
$10.25M
0.67%
+0.0%
40
WMBWilliams Cos Inc Del
COM
$9.69M
0.64%
-
41
NUENucor Corp
COM
$9.38M
0.62%
-56.6%
42
UNTCUnited Contl Hldgs Inc
COM
$9.30M
0.61%
New
43
PSTGPure Storage Inc
CL A
$9.10M
0.60%
-
44
TWTRUSDTwitter Inc
COM
$9.04M
0.59%
New
45
EQTEqt Corp
COM
$8.69M
0.57%
-
46
AIGAmerican Airls Group Inc
COM
$8.59M
0.56%
+0.0%
47
Rice Energy Inc
COM
$7.74M
0.51%
New

Position Changes

StockValueShares
EAElectronic Arts Inc
$51.36M573,700
PTCPtc Inc
$43.60M829,700
CMCSAComcast Corp New
$25.80M686,400
SYMCEURSymantec Corp
$16.92M551,500
LVSLas Vegas Sands Corp
$15.79M276,700
TMUST Mobile Us Inc
$15.68M242,700
NTESNetease Inc
$14.80M52,100
VMCVulcan Matls Co
$14.70M122,000
Sprint Corp
$14.44M1,663,500
ADSKAutodesk Inc
$13.69M158,349
NFLXNetflix Inc
$10.44M70,600
UNTCUnited Contl Hldgs Inc
$9.30M131,600
TWTRUSDTwitter Inc
$9.04M605,000
Rice Energy Inc
$7.74M326,455