← Lone Pine Capital portfolio

13F-HR filing

VALIDATED

Holdings period 2006-12-31 · Filed 2007-02-14 · Accession 0000902664-07-000777

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#IssuerClass / CUSIPKindSharesValue
1ADVANCE AUTO PARTS INCCOM · 00751Y106LONG3,491,501$124.2 million
2AFFYMAX INCCOM · 00826A109LONG163,817$5.6 million
3AMERICA MOVIL SAB DE CVSPON ADR L SHS · 02364W105LONG9,299,189$420.5 million
4APPLE INCCOM · 037833100LONG2,996,695$254.2 million
5ARRAY BIOPHARMA INCCOM · 04269X105LONG516,390$6.7 million
6BAIDU INCSPON ADR REP A · 056752108LONG961,255$108.3 million
7BED BATH & BEYOND INCCOM · 075896100LONG409,747$15.6 million
8BROOKFIELD ASSET MANAGE-CL ACL A · 112585104LONG542,653$26.1 million
9BROOKFIELD ASSET MANAGE-CL ACL A · 112585104LONG11,086,495$535.9 million
10CARMAX INCCOM · 143130102LONG6,793,067$364.3 million
11CB RICHARD ELLIS GROUP INCCL A · 12497T101LONG2,997,949$99.5 million
12Career Education CorpCOM · 141665109PUT2,533,500$62.8 million
13CISCO SYS INCCOM · 17275R102LONG8,713,453$238.1 million
14COACH INCCOM · 189754104LONG1,875,638$80.6 million
15COMCAST CORP NEWCL A · 20030N200LONG7,354,565$308.0 million
16CORNING INCCOM · 219350105LONG4,097,955$76.7 million
17CTRIP COM INTL LTDADR · 22943F100LONG993,808$62.0 million
18DICKS SPORTING GOODS INCCOM · 253393102LONG2,339,410$114.6 million
19EASTMAN KODAK COCOM · 277461109PUT3,650,000$94.2 million
20EQUINIX INCCOM NEW · 29444U502LONG1,897,155$143.5 million
21GENENTECH INCCOM NEW · 368710406LONG4,292,390$348.2 million
22GENERAL ELECTRIC COCOM · 369604103LONG554,395$20.6 million
23GOOGLE INCCL A · 38259P508LONG707,385$325.7 million
24GRUPO TELEVISA SA DE CVSP ADR REP ORD · 40049J206LONG11,253,703$304.0 million
25INTERCONTINENTALEXCHANGE INCCOM · 45865V100LONG2,837,617$306.2 million
26ITT EDUCATIONAL SERVICES INCCOM · 45068B109LONG1,853,516$123.0 million
27MARRIOTT INTL INC NEWCL A · 571903202LONG3,878,088$185.1 million
28MARTIN MARIETTA MATLS INCCOM · 573284106LONG3,061,474$318.1 million
29MASTERCARD INCORPORATEDCL A · 57636Q104LONG3,273,215$322.4 million
30MONSANTO CO NEWCOM · 61166W101LONG5,775,736$303.4 million
31NETEASE INCSPONSORED ADR · 64110W102LONG9,903,977$185.1 million
32NYMEX HOLDINGS INCCOM · 62948N104LONG2,058,788$255.3 million
33OVERSTOCK COM INC DELCOM · 690370101PUT485,000$7.7 million
34POLO RALPH LAUREN CORPCL A · 731572103LONG1,734,848$134.7 million
35QUALCOMM INCCOM · 747525103LONG12,910,539$487.9 million
36RESOURCES CONNECTION INCCOM · 76122Q105LONG2,131,291$67.9 million
37SCHLUMBERGER LTDCOM · 806857108LONG5,260,599$332.3 million
38SEPRACOR INCCOM · 817315104PUT400,000$24.6 million
39SLM CORPCOM · 78442P106LONG5,557,218$271.0 million
40SOUTHWESTERN ENERGY COCOM · 845467109LONG9,461,712$331.6 million
41STRAYER ED INCCOM · 863236105LONG523,225$55.5 million
42TELEKOMUNIK INDONESIASP ADR · 715684106LONG397,900$18.1 million
43VISTAPRINT LIMITEDSHS · G93762204LONG1,700,462$56.3 million
44VULCAN MATLS COCOM · 929160109LONG2,772,087$249.1 million