← Coatue Management portfolio

13F-HR filing

VALIDATED

Holdings period 2010-06-30 · Filed 2010-08-16 · Accession 0000919574-10-004795

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#IssuerClass / CUSIPKindSharesValue
1Acme Packet IncCOM · 004764106LONG1,534,878$41.3 million
2AMAZON COM INCCOM · 023135106LONG1,584,961$173.2 million
3AMERICAN SUPERCONDUCTOR CORPCOM · 030111108LONG341,267$9.1 million
4AMERICAN TOWER CORPCL A · 029912201LONG1,955,054$87.0 million
5APPLE INCCOM · 037833100LONG1,368,846$344.3 million
6ARUBA NETWORKS INCCOM · 043176106LONG1,533,221$21.8 million
7ASSURED GUARANTY LTDCOM · G0585R106LONG1,092,565$14.5 million
8ASSURED GUARANTY LTDCOM · G0585R106PUT1,000,000$13.3 million
9BAIDU INCSPON ADR REP A · 056752108LONG2,874,775$195.7 million
10CIENA CORPCOM NEW · 171779309LONG3,231,669$41.0 million
11CITRIX SYS INCCOM · 177376100LONG4,462,951$188.5 million
12CROWN CASTLE INTL CORPCOM · 228227104LONG3,410,220$127.1 million
13EQUINIX INCCOM NEW · 29444U502LONG1,116,448$90.7 million
14F5 NETWORKS INCCOM · 315616102LONG3,193,401$219.0 million
15INTERNATIONAL RECTIFIER CORPCOM · 460254105LONG2,195,872$40.9 million
16NEUTRAL TANDEM INCCOM · 64128B108LONG48,919$550,000
17NUTRI SYS INC NEWCOM · 67069D108LONG614,747$14.1 million
18SANDISK CORPCOM · 80004C101LONG2,612,673$109.9 million
19SBA COMMUNICATIONS CORPCOM · 78388J106LONG1,670,359$56.8 million
20SOLARWINDS INCCOM · 83416B109LONG2,634,853$42.3 million
21STEC INCCOM · 784774101LONG484,250$6.1 million
22TD AMERITRADE HLDG CORPCOM · 87236Y108LONG4,321,890$66.1 million
23TECHTARGET INCCOM · 87874R100LONG369,258$2.0 million
24UTSTARCOM INCCOM · 918076100LONG2,846,979$5.2 million