← Latest Lone Pine Capital portfolio

Lone Pine Capital portfolio · 2026-06-30

Form 13F reports holdings as of 2026-06-30 and was filed on 2026-08-14. It is delayed, can omit confidential positions, and is not the manager's current portfolio or fund NAV. Options show reported underlying value—not premium, net exposure, or investment intent.

Disclosed long book

$15.84 billion

Long positions

34

Calls / puts

0 / 0

Top 5 concentration

32.0%

Longs with AI data

9 / 34

Average AI 1Y

+24.5%

13F filing comparison

Quarter-over-quarter changes

2026-03-31 to 2026-06-30

Newly reported

13

No longer reported

15

Increased

8

Reduced

13

Newly reported this quarter

Present now and absent from the immediately preceding comparable filing.

PositionKindSharesValue

NBIS

NEBIUS GROUP N.V.

LONG4,258,008$1.18 billion

SEAGATE TECHNOLOGY HLDNGS PL

SEAGATE TECHNOLOGY HLDNGS PL

LONG1,000,109$965.1 million

HD

HOME DEPOT INC

LONG2,603,189$918.1 million

APPLIED MATLS INC

APPLIED MATLS INC

LONG1,207,737$873.2 million

LINDE PLC

LINDE PLC

LONG1,558,081$808.6 million

TTM TECHNOLOGIES INC

TTM TECHNOLOGIES INC

LONG2,738,075$512.1 million

STERLING INFRASTRUCTURE INC

STERLING INFRASTRUCTURE INC

LONG609,643$511.7 million

ON HLDG AG

ON HLDG AG

LONG13,280,030$470.4 million

BTDR

BITDEER TECHNOLOGIES GROUP

LONG7,020,026$111.4 million

SHAZ

SHARONAI HOLDINGS INC

LONG1,209,848$102.4 million

KODIAK GAS SVCS INC

KODIAK GAS SVCS INC

LONG845,070$63.5 million

INTERACTIVE BROKERS GROUP IN

INTERACTIVE BROKERS GROUP IN

LONG577,666$50.3 million

SEA LTD

SEA LTD

LONG494,581$47.4 million

No longer reported this quarter

Present in the prior comparable filing and absent from this one.

PositionKindPrior sharesPrior value

AMPHENOL CORP

AMPHENOL CORP · CL A

LONG223,084$28.2 million

BOOKING HOLDINGS INC

BOOKING HOLDINGS INC · COM

LONG2,405$10.1 million

BOSTON SCIENTIFIC CORP

BOSTON SCIENTIFIC CORP · COM

LONG104,655$6.6 million

CAPITAL ONE FINL CORP

CAPITAL ONE FINL CORP · COM

LONG2,267,056$413.6 million

CIENA CORP

CIENA CORP · COM NEW

LONG809,522$314.3 million

CLEAN HARBORS INC

CLEAN HARBORS INC · COM

LONG1,754,950$503.2 million

ENTEGRIS INC

ENTEGRIS INC · COM

LONG3,115,054$365.2 million

HILTON WORLDWIDE HLDGS INC

HILTON WORLDWIDE HLDGS INC · COM

LONG89,249$27.1 million

KKR & CO INC

KKR & CO INC · COM

LONG179,308$16.6 million

MASTERCARD INCORPORATED

MASTERCARD INCORPORATED · CL A

LONG57,201$28.6 million

SPOTIFY TECHNOLOGY S A

SPOTIFY TECHNOLOGY S A · SHS

LONG68,844$33.4 million

TALEN ENERGY CORP

TALEN ENERGY CORP · COM

LONG1,817,947$580.3 million

TENET HEALTHCARE CORP

TENET HEALTHCARE CORP · COM NEW

LONG2,258,717$426.2 million

VISTRA CORP

VISTRA CORP · COM

LONG6,187,585$930.2 million

VULCAN MATLS CO

VULCAN MATLS CO · COM

LONG144,179$39.3 million

“No longer reported” means the position is absent from this comparable 13F filing. It does not prove the manager sold it: reporting thresholds, confidential treatment, corporate actions, or instrument changes can also explain the omission.

PositionKindSharesValueLong weightQuarter changeAI at filing · 1YAI now

NBIS

Nebius Group N.V.

LONG4,258,008$1.18 billion7.4%NEWLY REPORTED42.5%

1Y +40.4%

5Y +206.7% · 27 models

ASML

ASML Holding N.V.

LONG569,174$1.13 billion7.1%REDUCED21.4%

1Y +21.4%

5Y +133.3% · 27 models

SEAGATE TECHNOLOGY HLDNGS PL

SEAGATE TECHNOLOGY HLDNGS PL · ORD SHS · G7997R103

LONG1,000,109$965.1 million6.1%NEWLY REPORTED

1Y —

5Y —

HD

Home Depot Inc.

LONG2,603,189$918.1 million5.8%NEWLY REPORTED10.5%

1Y +10.7%

5Y +61.6% · 28 models

APPLIED MATLS INC

APPLIED MATLS INC · COM · 038222105

LONG1,207,737$873.2 million5.5%NEWLY REPORTED

1Y —

5Y —

MEDLINE INC

MEDLINE INC · COM CL A · 58507V107

LONG20,968,367$827.0 million5.2%INCREASED

1Y —

5Y —

LINDE PLC

LINDE PLC · SHS · G54950103

LONG1,558,081$808.6 million5.1%NEWLY REPORTED

1Y —

5Y —

TERADYNE INC

TERADYNE INC · COM · 880770102

LONG1,493,080$722.4 million4.6%REDUCED

1Y —

5Y —

CORNING INC

CORNING INC · COM · 219350105

LONG2,728,058$696.8 million4.4%REDUCED

1Y —

5Y —

CARVANA CO

CARVANA CO · CL A · 146869102

LONG10,520,666$692.5 million4.4%INCREASED

1Y —

5Y —

HUT

Hut 8 Mining Corp.

LONG5,773,045$666.5 million4.2%REDUCED51.6%

1Y +48.1%

5Y +193.3% · 23 models

PERFORMANCE FOOD GROUP CO

PERFORMANCE FOOD GROUP CO · COM · 71377A103

LONG5,852,740$654.3 million4.1%INCREASED

1Y —

5Y —

NU HLDGS LTD

NU HLDGS LTD · ORD SHS CL A · G6683N103

LONG47,219,717$630.9 million4.0%INCREASED

1Y —

5Y —

TERAWULF INC

TERAWULF INC · COM · 88080T104

LONG24,144,625$596.4 million3.8%INCREASED

1Y —

5Y —

CARPENTER TECHNOLOGY CORP

CARPENTER TECHNOLOGY CORP · COM · 144285103

LONG962,839$593.9 million3.7%REDUCED

1Y —

5Y —

MTZ

MasTec, Inc.

LONG1,345,157$559.7 million3.5%REDUCED22.5%

1Y +22.3%

5Y +113.0% · 25 models

APPLOVIN CORP

APPLOVIN CORP · COM CL A · 03831W108

LONG1,042,268$537.0 million3.4%REDUCED

1Y —

5Y —

TTM TECHNOLOGIES INC

TTM TECHNOLOGIES INC · COM · 87305R109

LONG2,738,075$512.1 million3.2%NEWLY REPORTED

1Y —

5Y —

STERLING INFRASTRUCTURE INC

STERLING INFRASTRUCTURE INC · COM · 859241101

LONG609,643$511.7 million3.2%NEWLY REPORTED

1Y —

5Y —

US FOODS HLDG CORP

US FOODS HLDG CORP · COM · 912008109

LONG4,914,492$502.5 million3.2%INCREASED

1Y —

5Y —

ON HLDG AG

ON HLDG AG · NAMEN AKT A · H5919C104

LONG13,280,030$470.4 millionNEWLY REPORTED

1Y —

5Y —

LPL FINL HLDGS INC

LPL FINL HLDGS INC · COM · 50212V100

LONG1,219,099$343.4 million2.2%REDUCED

1Y —

5Y —

ARGAN INC

ARGAN INC · COM · 04010E109

LONG368,673$294.4 million1.9%REDUCED

1Y —

5Y —

BTDR

Bitdeer Technologies Group

LONG7,020,026$111.4 million0.7%NEWLY REPORTED50.1%

1Y +50.5%

5Y +216.4% · 21 models

SHAZ

SharonAI Holdings Inc.

LONG1,209,848$102.4 million0.6%NEWLY REPORTED-13.3%

1Y -16.9%

5Y +21.9% · 8 models

GOOGL

Alphabet Inc.

LONG215,574$77.0 million0.5%INCREASED18.9%

1Y +18.9%

5Y +104.1% · 27 models

KODIAK GAS SVCS INC

KODIAK GAS SVCS INC · COM · 50012A108

LONG845,070$63.5 million0.4%NEWLY REPORTED

1Y —

5Y —

V

Visa Inc.

LONG165,960$56.9 million0.4%INCREASED

1Y —

5Y —

INTERACTIVE BROKERS GROUP IN

INTERACTIVE BROKERS GROUP IN · COM CL A · 45841N107

LONG577,666$50.3 million0.3%NEWLY REPORTED

1Y —

5Y —

TSM

Taiwan Semiconductor Manufacturing Co.

LONG101,242$48.4 million0.3%REDUCED24.3%

1Y +24.8%

5Y +145.5% · 28 models

SEA LTD

SEA LTD · SPONSORD ADS · 81141R100

LONG494,581$47.4 millionNEWLY REPORTED

1Y —

5Y —

MCKESSON CORP

MCKESSON CORP · COM · 58155Q103

LONG57,851$43.7 million0.3%REDUCED

1Y —

5Y —

TRANSDIGM GROUP INC

TRANSDIGM GROUP INC · COM · 893641100

LONG28,532$38.0 million0.2%REDUCED

1Y —

5Y —

BROOKFIELD CORP

BROOKFIELD CORP · CL A LTD VT SH · 11271J107

LONG792,717$33.8 million0.2%REDUCED

1Y —

5Y —

AI outlook values are averages across the latest successful run per covered model at the labeled cutoff. “No longer reported” does not necessarily mean sold; thresholds, confidential treatment, corporate actions, or instrument changes may explain an omission. Reviewed API mapping covers 30.6%of disclosed long-book value; exact editorial CUSIP mappings may add current-only AI coverage on this public page. Research use only. No warranty and not investment advice.