Stanley Druckenmiller / Portfolio / 2020-Q3

    Company Shares Market value Share price
    Microsoft Corporation 2.6M $556M $210
    Amazon.com, Inc. 87K $273M $3.1K
    T-Mobile US, Inc. 2M $228M $114
    Alibaba Group Holding Limited 546K $160M $294
    Sea Limited 981K $151M $154
    Netflix, Inc. 278K $139M $500
    PENN Entertainment, Inc. 1.9M $138M $73
    Barrick Gold Corp 4.9M $136M $28
    Starbucks Corporation 1.5M $126M $86
    JD.com, Inc. 1.5M $118M $78
    Freeport-McMoRan Inc. 6.3M $99M $16
    Nuance Communications, Inc. 2.9M $97M $33
    MercadoLibre, Inc. 71K $77M $1.1K
    Vaneck Vectors Etf Tr 1.8M $71M $39
    Alphabet Inc. 41K $60M $1.5K
    NextEra Energy, Inc. 216K $60M $278
    Carnival Corp 3.8M $58M $15
    Meta Platforms, Inc. 208K $54M $262
    Alnylam Pharmaceuticals, Inc. 368K $54M $146
    Reata Pharmaceuticals, Inc. 544K $53M $97
    Smartsheet Inc. 1.1M $53M $49
    Workday, Inc. 236K $51M $215
    Select Sector Spdr Tr 650K $50M $77
    Fidelity National Information Services, Inc. 318K $47M $147
    Verizon Communications Inc. 567K $34M $59
    General Electric Co 4.8M $30M $6.2
    Booking Holdings Inc. 17K $30M $1.7K
    Expedia Group, Inc. 316K $29M $92
    PayPal Holdings, Inc. 141K $28M $197
    Live Nation Entertainment, Inc. 490K $26M $54
    The Wendy's Company 1.2M $26M $22
    TAL Education Group 312K $24M $76
    Synchrony Financial 884K $23M $26
    The Walt Disney Company 173K $21M $124
    Carvana Co. 92K $21M $223
    Palo Alto Networks, Inc. 82K $20M $245
    Regeneron Pharmaceuticals, Inc. 36K $20M $560
    Fastly, Inc. 180K $17M $94
    Lennar Corporation 185K $15M $82
    Analog Devices, Inc. 128K $15M $117
    BioMarin Pharmaceutical Inc. 193K $15M $76
    Yum! Brands, Inc. 151K $14M $91
    U.S. Bancorp 364K $13M $36
    Sony Group Corporation 167K $13M $77
    DISH Network Corporation 393K $11M $29
    IQVIA Holdings Inc. 72K $11M $158
    Cloudflare, Inc. 257K $11M $41
    Uber Technologies, Inc. 271K $9.9M $36
    QUALCOMM Incorporated 83K $9.7M $118
    JPMorgan Chase & Co. 98K $9.5M $96
    Teck Resources Ltd 661K $9.2M $14
    BeiGene, Ltd. 31K $8.9M $286
    Flex Ltd 711K $7.9M $11
    Las Vegas Sands Corp. 78K $3.6M $47
    D.R. Horton, Inc. 46K $3.5M $76
    Arco Platform Ltd Com 85K $3.5M $41
    Vapotherm Inc 78K $2.3M $29
    Zai Lab Limited 21K $1.7M $83

    Notifications