People / Stanley Druckenmiller

Stanley Druckenmiller

Duquesne Family Office · billionaire

$3,376,828disclosed portfolio (13F)
68holdings
0disclosed trades
Portfolio allocation · all 68 holdings — drag the scrollbar ↕
fund/company 13F holdings they manage — not personal net worth

All holdings (68)

top 10 = 58% of disclosed value · scroll for the full list ↓

#HoldingValue% of portfolioShares
1 Natera Inc $612,691 18.1% 3,063,606
2 Ishares Inc $294,228 8.7% 7,664,170
3 Insmed Inc $188,717 5.6% 1,154,090
4 Taiwan Semiconductor Manufac $167,380 5.0% 495,280
5 Invesco Exchange Traded Fd T $157,566 4.7% 821,000
6 Ypf Sociedad Anonima $149,566 4.4% 3,235,962
7 Bbb Foods Inc $109,972 3.3% 3,109,202
8 Alcoa Corp $99,057 2.9% 1,493,390
9 Newamsterdam Pharma Company $98,275 2.9% 3,070,146
10 Sea Ltd $91,083 2.7% 1,099,905
11 Stmicroelectronics N V $90,275 2.7% 2,612,880
12 Woodward Inc $75,648 2.2% 211,355
13 Teva Pharmaceutical Inds Ltd $71,604 2.1% 2,377,285
14 Roku Inc $70,983 2.1% 750,190
15 Broadcom Inc $60,650 1.8% 195,955
16 State Str Spdr S&P 500 Etf T $58,531 1.7% 90,000
17 Amazon Com Inc $51,193 1.5% 245,800
18 Coupang Inc $50,362 1.5% 2,667,485
19 Option Care Health Inc $50,301 1.5% 1,868,550
20 Crh Plc $39,689 1.2% 377,555
21 Figure Technology Solutio $39,057 1.2% 1,150,415
22 Global X Fds $36,152 1.1% 387,400
23 Caris Life Sciences Inc $33,873 1.0% 1,894,450
24 Restaurant Brands Intl Inc $33,583 1.0% 454,435
25 Revolution Medicines Inc $30,717 0.9% 315,860
26 Lattice Semiconductor Corp $29,974 0.9% 323,135
27 Sandisk Corp $24,241 0.7% 38,155
28 United Airls Hldgs Inc $24,168 0.7% 262,495
29 Humana Inc $23,842 0.7% 137,505
30 Wabtec $23,715 0.7% 94,895
31 Twilio Inc $22,869 0.7% 181,760
32 Jabil Inc $21,835 0.6% 82,200
33 Southern Copper Corp $20,964 0.6% 121,843
34 Ishares S&P Gsci Commodity- $20,737 0.6% 643,000
35 Linde Plc $20,425 0.6% 41,200
36 Seagate Technology Hldngs Pl $19,862 0.6% 50,700
37 Ishares Tr $19,592 0.6% 79,000
38 Cleveland-Cliffs Inc New $19,549 0.6% 2,313,455
39 Nuvation Bio Inc $19,476 0.6% 4,539,800
40 Bloom Energy Corp $18,470 0.5% 136,320
41 Intel Corp $18,155 0.5% 411,400
42 Belite Bio Inc Sponsored $16,917 0.5% 106,100
43 Protagonist Therapeutics Inc $16,832 0.5% 159,700
44 Unity Software Inc $16,209 0.5% 738,785
45 Arm Holdings Plc $16,142 0.5% 106,700
46 Olema Pharmaceuticals Inc $14,714 0.4% 986,827
47 Qnity Electronics Inc $14,498 0.4% 125,655
48 Adma Biologics Inc $13,926 0.4% 1,545,610
49 Xenon Pharmaceuticals Inc $13,875 0.4% 238,600
50 Jbs N.V. $11,780 0.3% 655,900
51 Daktronics Inc $11,000 0.3% 562,637
52 Cloudflare Inc $10,840 0.3% 52,535
53 Lyondellbasell Industries Nv $10,588 0.3% 131,435
54 Vista Energy S.A.B. De C.V. $10,166 0.3% 134,700
55 Twist Bioscience Corp $9,789 0.3% 206,000
56 Coherent Corp $9,624 0.3% 40,400
57 Celestica Inc $9,373 0.3% 33,275
58 Stubhub Hldgs Inc $8,531 0.3% 1,367,177
59 Dbv Technologies S A Sponsored $8,008 0.2% 383,363
60 Micron Technology Inc $7,905 0.2% 23,400
61 Echostar Corp $7,114 0.2% 60,765
62 Almonty Inds Inc $6,804 0.2% 469,880
63 Purecycle Technologies Inc $4,999 0.1% 963,189
64 Lumentum Hldgs Inc $4,893 0.1% 6,963
65 Mercadolibre Inc $4,782 0.1% 2,766
66 Solstice Advanced Matls Inc $4,762 0.1% 62,525
67 Westlake Corporation $2,476 0.1% 21,194
68 Wave Life Sciences Ltd $1,254 0.0% 173,000

Balance sheet — verifiable public data only; disclosures report value ranges

CategoryItemValueYearSource
asset13F equity portfolio (disclosed long positions) $3,376,828 2026 sec-13f ↗

⚠️ Built strictly from verifiable public data (SEC filings, official financial disclosures). Values shown as ranges reflect disclosure rules, not estimates. Net-worth figures, where shown, are third-party estimates — see the linked source.