Duquesne Family Office 13F filings
Company
Investment Type
Change
Value (x$1000)
increase or decrease
INSMED INC COM PAR $.01
1,154,090 sh
-327,662 sh
-22%
-22%
$188,717
-$69,167
TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADS
495,280 sh
-47,805 sh
-9%
-9%
$167,380
$2,342
ISHARES INC MSCI BRAZIL ETF
Call options for 4,228,000 sh
4,228,000 sh
NEW
NEW
$162,313
$162,313
INVESCO EXCHANGE TRADED FD T S&P500 EQL WGT
Call options for 821,000 sh
-352,925 sh
-30%
-30%
$157,566
-$67,311
YPF SOCIEDAD ANONIMA SPON ADR CL D
3,235,962 sh
2,628,972 sh
433%
433%
$149,566
$127,617
ISHARES INC MSCI BRAZIL ETF
3,436,170 sh
-791,830 sh
-19%
-19%
$131,915
-$2,409
BBB Foods Inc common
3,109,202 sh
434,050 sh
16%
16%
$109,972
$20,649
NEWAMSTERDAM PHARMA CO NV COMMON STOCK
3,070,146 sh
$98,275
SEA LTD SPONSORED ADS
1,099,905 sh
155,785 sh
17%
17%
$91,083
-$29,358
STMICROELECTRONICS N V NY REGISTRY
2,612,880 sh
1,839,325 sh
238%
238%
$90,275
$70,209
TEVA PHARMACEUTICAL INDS LTD SPONSORED ADS
2,377,285 sh
-3,497,585 sh
-60%
-60%
$71,604
-$111,751
SPDR S&P 500 ETF TR TR UNIT
Call options for 90,000 sh
$58,531
COUPANG INC Common Stock
2,667,485 sh
-4,105,424 sh
-61%
-61%
$50,362
-$109,411
CRH PLC ORD COMMON STOCK
377,555 sh
-97,400 sh
-21%
-21%
$39,689
-$19,585
Figure Technology Solutio COM CL A
1,150,415 sh
-389,370 sh
-25%
-25%
$39,057
-$23,828
GLOBAL X FDS GB MSCI AR ETF
387,400 sh
387,400 sh
NEW
NEW
$36,152
$36,152
CARIS LIFE SCIENCES INC COMMON STOCK
1,894,450 sh
1,894,450 sh
NEW
NEW
$33,873
$33,873
SANDISK CORP Common
38,155 sh
38,155 sh
NEW
NEW
$24,241
$24,241
ISHARES S&P GSCI COMMODITY I UNIT BEN INT
643,000 sh
643,000 sh
NEW
NEW
$20,737
$20,737
ISHARES TR RUSSELL 2000 ETF
Call options for 79,000 sh
-147,000 sh
-65%
-65%
$19,592
-$36,040
Nuvation Bio Inc. COM CL A
4,539,800 sh
4,539,800 sh
NEW
NEW
$19,476
$19,476
BELITE BIO INC SPONSORED ADS
106,100 sh
106,100 sh
NEW
NEW
$16,917
$16,917
PROTAGONIST THERAPEUTICS INC COM
159,700 sh
$16,832
ARM HOLDINGS PLC SPONSORED ADR
106,700 sh
106,700 sh
NEW
NEW
$16,142
$16,142
Olema Pharmaceuticals Inc. COM
986,827 sh
986,827 sh
NEW
NEW
$14,714
$14,714
QNITY ELECTRONICS INC COM
125,655 sh
125,655 sh
NEW
NEW
$14,498
$14,498
XENON PHARMACEUTICALS INC COM
238,600 sh
238,600 sh
NEW
NEW
$13,875
$13,875
JBS NV Class A Com
655,900 sh
655,900 sh
NEW
NEW
$11,780
$11,780
VISTA OIL & GAS S A B DE C V SPONSORED ADS
134,700 sh
134,700 sh
NEW
NEW
$10,166
$10,166
Celestica Inc - US Equity Option
33,275 sh
33,275 sh
NEW
NEW
$9,373
$9,373
STUBHUB HLDGS INC CL A
1,367,177 sh
-938,574 sh
-41%
-41%
$8,531
-$22,666
DBV TECHNOLOGIES S A SPONSORED ADS
383,363 sh
383,363 sh
NEW
NEW
$8,008
$8,008
ALMONTY INDS INC COM NEW
469,880 sh
$6,804
PureCycle Technologies Inc. COM
963,189 sh
-1,915,245 sh
-67%
-67%
$4,999
-$19,727
MERCADOLIBRE INC COM
2,766 sh
-44,383 sh
-94%
-94%
$4,782
-$90,188
SOLSTICE ADVANCED MATERIALS IN COM
62,525 sh
62,525 sh
NEW
NEW
$4,762
$4,762
WAVE LIFE SCIENCES LTD SHS
173,000 sh
$1,254
SELECT SECTOR SPDR TR SBI INT-FINL
0 sh
-5,495,600 sh
-100%
-100%
$0
-$300,994
Cogent Biosciences Inc. COM
0 sh
-2,214,470 sh
-100%
-100%
$0
-$78,658
ISHARES TR MSCI EMG MKT ETF
0 sh
-902,500 sh
-100%
-100%
$0
-$49,376
FLUTTER ENTERTAINMENT PLC COM
0 sh
-115,245 sh
-100%
-100%
$0
-$24,782
undefined
0 sh
-1,824,862 sh
-100%
-100%
$0
-$24,234
CIDARA THERAPEUTICS INC COM NEW
0 sh
-49,495 sh
-100%
-100%
$0
-$10,933
WOLFSPEED INC COMMON STOCK Common Stock
0 sh
-186,900 sh
-100%
-100%
$0
-$3,254
NEPTUNE INSURANCE HOLDINGS COM
0 sh
-20,000 sh
-100%
-100%
$0
-$583













































