13F Filings for Point72 Asset Management, L.P. (CIK: 1603466)

View the most recent portfolio holdings disclosed by Point72 Asset Management, L.P. in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
SPY - SPDR SP 500 ETF TR(Class: TR UNIT)4.65M* $2.60B* -Decreased 1.25M (21.0%, $855.12M)
DHR - DANAHER CORPORATION(Class: COM)3.29M* $673.89M* -Increased 1.94M (143.0%, $364.33M)
AMZN - AMAZON COM INC(Class: COM)3.34M* $634.91M* -Decreased 951.84K (22.0%, $306.03M)
DIS - DISNEY WALT CO(Class: COM)6.26M* $617.74M* -Increased 2.70M (75.0%, $221.39M)
MSFT - MICROSOFT CORP(Class: COM)1.59M* $595.03M* -Decreased 153.06K (8.0%, $137.61M)
SE - SEA LTD(Class: SPONSORD ADS)3.30M* $430.65M* -Increased 1.09M (49.0%, $195.97M)
META - META PLATFORMS INC(Class: CL A)720.70K* $415.38M* -Increased 530.34K (278.0%, $303.92M)
INTU - INTUIT(Class: COM)657.40K* $403.64M* -Increased 19.42K (3.0%, $2.67M)
ADI - ANALOG DEVICES INC(Class: COM)1.68M $338.88M -Increased 1.38M (460.0%, $275.21M)
BA - BOEING CO(Class: COM)1.90M* $323.49M* -Increased 58.58K (3.0%, $1.87M)
TSM - TAIWAN SEMICONDUCTOR MFG LTD(Class: SPONSORED ADS)1.94M* $322.70M* -Decreased 551.05K (22.0%, $170.04M)
AMT - AMERICAN TOWER CORP NEW(Class: COM)1.39M* $302.84M* -Increased 738.70K (113.0%, $183.07M)
UNH - UNITEDHEALTH GROUP INC(Class: COM)559.92K* $293.26M* -Increased 133.70K (31.0%, $77.65M)
BKNG - BOOKING HOLDINGS INC(Class: COM)62.07K* $285.95M* -Increased 22.99K (58.0%, $91.79M)
NVDA - NVIDIA CORPORATION(Class: COM)2.64M* $285.93M* -Decreased 1.59M (37.0%, $282.08M)
COP - CONOCOPHILLIPS(Class: COM)2.71M* $284.30M* -Decreased 408.60K (13.0%, $24.68M)
SPOT - SPOTIFY TECHNOLOGY S A(Class: SHS)513.28K* $282.32M* -Increased 163.82K (46.0%, $125.98M)
MTSI - MACOM TECH SOLUTIONS HLDGS I(Class: COM)2.78M $278.60M -Increased 802.95K (40.0%, $22.35M)
TSEM - TOWER SEMICONDUCTOR LTD(Class: SHS NEW)7.52M* $268.09M* -Increased 3.76M (100.0%, $74.49M)
BAC - BANK AMERICA CORP(Class: COM)6.38M* $266.23M* -Increased 3.75M (142.0%, $150.66M)
AMD - ADVANCED MICRO DEVICES INC(Class: COM)2.57M* $263.63M* -Increased 2.43M (1813.0%, $247.43M)
PCG - PGE CORP(Class: COM)15.27M* $262.42M* -Increased 2.60M (20.0%, $6.69M)
ETR - ENTERGY CORP NEW(Class: COM)2.98M $254.47M -Decreased 239.12K (7.0%, $10.65M)
GLW - CORNING INC(Class: COM)5.47M* $250.54M* -Increased 3.68M (205.0%, $165.40M)
CRDO - CREDO TECHNOLOGY GROUP HOLDI(Class: ORDINARY SHARES)6.20M $248.89M -Increased 3.11M (100.0%, $41.58M)