Duquesne Family Office Llc (1536411) Portfolio


Number of Companies: 30
Inflow: $568,029 K
Outflow: $-304,851 K
Net Flow: $263,178 K
2016-03-31: Recent SEC Filing
2015-12-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
3029 24 Coca-Cola Cothe (KO) Beverages 1,388,900 New Holding 1,388,900 $46.38 $64,431 $64,431
3065 7 Philip Morris International (PM) Tobacco 554,800 New Holding 554,800 $98.11 $54,431 $54,431
2850 27 Southern Cothe (SO) Integrated Utilities 1,017,400 New Holding 1,017,400 $51.73 $52,630 $52,630
2959 33 Duke Energy Corp (DUK) Integrated Utilities 649,100 New Holding 649,100 $80.68 $52,369 $52,369
2741 39 Ppl Corp (PPL) Utility Networks 974,700 New Holding 974,700 $38.07 $37,106 $37,106
3059 25 Pepsico Inc (PEP) Beverages 353,300 New Holding 353,300 $102.48 $36,206 $36,206
2944 1 Emerson Electric Co (EMR) Industrial Automation Controls 551,000 New Holding 551,000 $54.38 $29,963 $29,963
2770 8 Caterpillar Inc (CAT) Construction And Mining Machinery 330,000 New Holding 330,000 $76.54 $25,258 $25,258
6 1 Barrick Gold Corp (ABX) Precious Metal Mining 1,832,600 New Holding 1,832,600 $13.58 $24,886 $24,886
2767 12 Southwest Airlines Co (LUV) Airlines 493,000 New Holding 493,000 $44.79 $22,086 $22,086
3058 62 Verizon Communications Inc (VZ) Telecom Carriers 400,000 New Holding 400,000 $54.08 $21,632 $21,632
3070 18 Home Depot Inc (HD) Home Products Stores 150,700 New Holding 150,700 $133.42 $20,107 $20,107
2552 29 Post Holdings Inc (POST) Packaged Food 291,200 New Holding 291,200 $68.76 $20,025 $20,025
86 4 Workday Inc-Class A (WDAY) Application Software 259,700 New Holding 259,700 $76.83 $19,955 $19,955
3068 39 Mcdonalds Corp (MCD) Restaurants 158,200 New Holding 158,200 $125.68 $19,882 $19,882
2493 48 Agnico Eagle Mines Ltd (AEM) Precious Metal Mining 434,900 New Holding 434,900 $36.16 $15,725 $15,725
41 3 Whitewave Foods Co (WWAV) Packaged Food 364,000 New Holding 364,000 $40.63 $14,792 $14,792
2826 41 Consolidated Edison Inc (ED) Utility Networks 141,900 New Holding 141,900 $76.62 $10,872 $10,872
2853 28 American Electric Power (AEP) Integrated Utilities 160,200 New Holding 160,200 $66.40 $10,637 $10,637
2878 18 Estee Lauder Companies-Cl A (EL) Household Products 111,900 New Holding 111,900 $94.30 $10,553 $10,553
2832 19 Williams Cos Inc (WMB) Midstream Oil And Gas 278,400 New Holding 278,400 $16.07 $4,473 $4,473
45 2 Tempur Sealy International I (TPX) Home And Office Furnishings 125,500 No Change 0 $60.79 $0 $7,629
2974 36 Chipotle Mexican Grill Inc (CMG) Restaurants 0 Sold All -20,200 $470.97 $-9,513 $0
2509 253 Hdfc Bank Ltd (HDB) Banks 125,800 Sold Some -365,300 $61.63 $-22,513 $7,753
3042 9 Northrop Grumman Corp (NOC) Defense Primes 0 Sold All -135,600 $197.89 $-26,835 $0
28 1 Ctripcom International (CTRP) Internet Based Services 0 Sold All -772,300 $44.25 $-34,181 $0
3072 34 Microsoft Corp (MSFT) Infrastructure Software 517,100 Sold Some -647,900 $55.23 $-35,783 $28,559
3001 7 Raytheon Company (RTN) Defense Primes 0 Sold All -417,800 $122.62 $-51,234 $0
3074 26 Facebook Inc-A (FB) Internet Media 2,023,694 Sold Some -506,800 $114.09 $-57,825 $230,903
3080 12 Amazoncom Inc (AMZN) Ecommerce Discretionary 77,200 Sold Some -112,800 $593.64 $-66,962 $45,829