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SEC filer: Duquesne Family Office LLC · quarter ending 2026-03-31 · filed 2026-05-15 · $3.4M across 70 reported positions
| Select Sector Spdr Tr | EXITED | 5,495,600 → 0 sh | $301K |
| Invesco Exchange Traded Fd T | EXITED | 1,173,925 → 0 sh | $225K |
| Taiwan Semiconductor Manufac | NEW POSITION | 0 → 495,280 sh | $167K |
| Taiwan Semiconductor Mfg Ltd | EXITED | 543,085 → 0 sh | $165K |
| AMZN | TRIMMED | 737,940 → 45,800 sh | $161K |
| YPF | ADDED | 606,990 → 3,235,962 sh | $128K |
| GOOGL | EXITED | 385,000 → 0 sh | $121K |
| Teva Pharmaceutical Inds Ltd | TRIMMED | 5,874,870 → 2,377,285 sh | $112K |
| # | Issuer | Weight | Value | Shares | Type |
|---|---|---|---|---|---|
| 1 | NTRANatera Inc | 18.1% | $613K | 3,063,606 | SHARES |
| 2 | INSMInsmed Inc | 5.6% | $189K | 1,154,090 | SHARES |
| 3 | Taiwan Semiconductor Manufacno ticker match — as filed | 5.0% | $167K | 495,280 | SHARES |
| 4 | Ishares Incno ticker match — as filed | 4.8% | $162K | 4,228,000 | CALL |
| 5 | Invesco Exchange Traded Fd Tno ticker match — as filed | 4.7% | $158K | 821,000 | CALL |
| 6 | YPFYpf Sociedad Anonima | 4.4% | $150K | 3,235,962 | SHARES |
| 7 | Ishares Incno ticker match — as filed |
| $132K |
| 3,436,170 |
| SHARES |
| 8 | TBBBBbb Foods Inc | 3.3% | $110K | 3,109,202 | SHARES |
| 9 | AAAlcoa Corp | 2.9% | $99K | 1,493,390 | SHARES |
| 10 | Newamsterdam Pharma Companyno ticker match — as filed | 2.9% | $98K | 3,070,146 | SHARES |
| 11 | SESea Ltd | 2.7% | $91K | 1,099,905 | SHARES |
| 12 | Stmicroelectronics N Vno ticker match — as filed | 2.7% | $90K | 2,612,880 | SHARES |
| 13 | WWDWoodward Inc | 2.2% | $76K | 211,355 | SHARES |
| 14 | Teva Pharmaceutical Inds Ltdno ticker match — as filed | 2.1% | $72K | 2,377,285 | SHARES |
| 15 | ROKURoku Inc | 2.1% | $71K | 750,190 | SHARES |
| 16 | AVGOBroadcom Inc | 1.8% | $61K | 195,955 | SHARES |
| 17 | State Str Spdr S&P 500 Etf Tno ticker match — as filed | 1.7% | $59K | 90,000 | CALL |
| 18 | CPNGCoupang Inc | 1.5% | $50K | 2,667,485 | SHARES |
| 19 | OPCHOption Care Health Inc | 1.5% | $50K | 1,868,550 | SHARES |
| 20 | AMZNAmazon Com Inc | 1.2% | $42K | 200,000 | CALL |
| 21 | Crh Plcno ticker match — as filed | 1.2% | $40K | 377,555 | SHARES |
| 22 | Figure Technology Solutiono ticker match — as filed | 1.2% | $39K | 1,150,415 | SHARES |
| 23 | Global X Fdsno ticker match — as filed | 1.1% | $36K | 387,400 | SHARES |
| 24 | CAICaris Life Sciences Inc | 1.0% | $34K | 1,894,450 | SHARES |
| 25 | Restaurant Brands Intl Incno ticker match — as filed | 1.0% | $34K | 454,435 | SHARES |
Values as reported in the filing's information table; duplicate issuer lines (share classes/lots) aggregated. 13Fs disclose long US positions only — shorts, futures, and most foreign holdings are invisible here. Educational only — not investment advice, and a quarter old by design.