Entity | Shares/Amount Change | Position Value Change |
---|---|---|
ORCL | +2,169,233 | +$228,703 |
CLX | +1,015,805 | +$144,844 |
RGEN | +10,596,895 | +$118,567 |
HUBS | +198,062 | +$114,983 |
IMVT | +2,666,883 | +$112,356 |
AVTR | +4,092,567 | +$93,433 |
PCAR | +895,449 | +$87,441 |
FI | +596,442 | +$79,232 |
IDXX | +140,530 | +$78,001 |
DTE | +675,479 | +$74,478 |
Entity | Shares/Amount Change | Position Value Change |
---|---|---|
INTC | -6,064,676 | -$215,599 |
ORLY | -203,574 | -$185,020 |
PXD | -805,804 | -$184,972 |
TGT | -1,259,773 | -$139,293 |
ZBH | -890,977 | -$99,985 |
TDY | -240,856 | -$98,409 |
RE | -212,253 | -$78,888 |
LNT | -1,624,400 | -$78,702 |
AMGN | -268,743 | -$72,227 |
PKI | -641,403 | -$71,003 |
Entity | Shares/Amount Change | Position Value Change |
---|---|---|
WOLF | +26,467,132 | +$51,936 |
LSXMK | +20,622,426 | -$12,643 |
EXAS | +17,843,740 | +$91,334 |
INSM | +12,690,784 | +$12,823 |
PEGA | +12,201,095 | +$11,354 |
CYBN | +11,111,112 | +$2,255 |
NVCR | +8,356,856 | +$12,280 |
MARA | +6,958,900 | +$5,158 |
MTSI | +6,822,400 | -$5,840 |
SNAP | +5,500,000 | +$5,486 |
Entity | Shares/Amount Change | Position Value Change |
---|---|---|
DISH | -15,340,000 | -$13,602 |
W | -14,996,015 | +$44,958 |
AAL | -12,110,000 | -$34,292 |
ASND | -12,000,000 | -$9,102 |
GH | -11,630,879 | -$11,573 |
JBLU | -9,900,000 | -$4,778 |
PRAX | -9,691,528 | -$2,333 |
KVUE | -8,368,000 | -$166,407 |
ACCD | -6,432,837 | +$960 |
Size ($ in 1000's)
At 12/31/2023: $41,354,066 At 09/30/2023: $34,274,808 Point72 Asset Management L.P. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Point72 Asset Management L.P. 13F filings. Link to 13F filings: SEC filings |