← Coatue Management portfolio

13F-HR filing

VALIDATED

Holdings period 2012-12-31 · Filed 2013-02-14 · Accession 0000919574-13-001351

Open official SEC source ↗
#IssuerClass / CUSIPKindSharesValue
1AKAMAI TECHNOLOGIES INCCOM · 00971T101LONG3,301,129$135.0 million
2AMAZON COM INCCOM · 023135106LONG124,994$31.4 million
3AMERICAN TOWER CORP NEWCOM · 03027X100LONG1,313,752$101.5 million
4APPLE INCCOM · 037833100LONG642,857$342.1 million
5ATMEL CORPCOM · 049513104LONG5,956,396$39.0 million
6AUTOZONE INCCOM · 053332102LONG41,844$14.8 million
7BAIDU INCSPON ADR REP A · 056752108LONG245,314$24.6 million
8CBS CORP NEWCL B · 124857202LONG3,117,685$118.6 million
9CHARTER COMMUNICATIONS INC DCL A NEW · 16117M305LONG833,086$63.5 million
10CTRIP COM INTL LTDAMERICAN DEP SHS · 22943F100LONG693,079$15.7 million
11DIGITAL RLTY TR INCCOM · 253868103LONG225,100$15.3 million
12DISCOVERY COMMUNICATNS NEWCOM SER A · 25470F104LONG265,238$16.8 million
13DISNEY WALT COCOM DISNEY · 254687106LONG311,436$15.5 million
14DONNELLEY R R & SONS COCOM · 257867101LONG1,486,394$13.4 million
15EBAY INCCOM · 278642103LONG1,236,389$63.1 million
16EQUINIX INCCOM NEW · 29444U502LONG4,163,477$858.5 million
17F5 NETWORKS INCCOM · 315616102LONG192,600$18.7 million
18FACEBOOK INCCL A · 30303M102LONG600,000$16.0 million
19FIRST SOLAR INCCOM · 336433107LONG1,964,696$60.6 million
20GOOGLE INCCL A · 38259P508LONG420,661$297.6 million
21GROUPON INCCOM CL A · 399473107LONG7,479,338$36.4 million
22HAIN CELESTIAL GROUP INCCOM · 405217100LONG1,897,916$102.9 million
23HERBALIFE LTDCOM USD SHS · G4412G101LONG850,000$28.0 million
24Informatica CorpCOM · 45666Q102LONG4,516,513$136.9 million
25JOY GLOBAL INCCOM · 481165108LONG587,740$37.5 million
26LEVEL 3 COMMUNICATIONS INCCOM NEW · 52729N308LONG509,122$11.8 million
27LIBERTY GLOBAL INCCOM SER A · 530555101LONG6,864,097$432.2 million
28LIBERTY GLOBAL INCCOM SER C · 530555309LONG129,515$7.6 million
29LINKEDIN CORPCOM CL A · 53578A108LONG566,041$65.0 million
30LOGITECH INTL S ASHS · H50430232LONG1,125,376$8.5 million
31MASTERCARD INCORPORATEDCL A · 57636Q104LONG31,714$15.6 million
32MELLANOX TECHNOLOGIES LTDSHS · M51363113LONG296,610$17.6 million
33NETFLIX INCCOM · 64110L106LONG1,277,633$118.3 million
34NEWS CORPCL A · 65248E104LONG11,276,861$287.7 million
35NII HLDGS INCCL B NEW · 62913F201LONG7,243,390$51.6 million
36NOKIA CORPSPONSORED ADR · 654902204LONG3,899,904$15.4 million
37NUTRI SYS INC NEWCOM · 67069D108LONG728,383$6.0 million
38PITNEY BOWES INCCOM · 724479100LONG1,235,204$13.1 million
39POLYCOM INCCOM · 73172K104LONG2,049,497$21.4 million
40PRICELINE GRP INCCOM NEW · 741503403LONG523,997$325.1 million
41QUINSTREET INCCOM · 74874Q100LONG526,593$3.5 million
42RESEARCH IN MOTION LTDCOM · 760975102LONG2,553,791$30.3 million
43SILICON LABORATORIES INCCOM · 826919102LONG811,054$33.9 million
44SIRIUS XM RADIO INCCOM · 82967N108LONG45,794,813$132.3 million
45STEC INCCOM · 784774101LONG1,000,000$4.9 million
46SUPERVALU INCCOM · 868536103LONG10,156,364$25.1 million
47SYNCHRONOSS TECHNOLOGIES INCCOM · 87157B103LONG460,247$9.7 million
48TIME WARNER CABLE INCCOM · 88732J207LONG3,341,645$324.8 million
49TIME WARNER INCCOM NEW · 887317303LONG10,150,523$485.5 million
50TRIPADVISOR INCCOM · 896945201LONG3,277,119$137.4 million
51VERISIGN INCCOM · 92343E102LONG3,233,605$125.5 million
52VIACOM INC NEWCL B · 92553P201LONG2,610,262$137.7 million
53VIRGIN MEDIA INCCOM · 92769L101LONG16,109,508$592.0 million
54VISA INCCOM CL A · 92826C839LONG103,256$15.7 million
55WORKDAY INCCL A · 98138H101LONG76,500$4.2 million
56YELP INCCL A · 985817105LONG735,222$13.9 million