Steven Cohen

Point72

Steven Cohen (Point72) is tracked through public portfolio filings, disclosed holdings, and institutional investment activity. This Steven Cohen (Point72) portfolio page tracks Point72 holdings, stock picks, latest portfolio moves, and historical 13F filing changes so readers can see which public companies Point72 owns and how disclosed positions change over time. Steven Cohen (Point72)'s public portfolio can help investors study position sizing, sector exposure, concentration, new buys, trims, exits, and the market themes behind reported capital allocation decisions. Top disclosed holdings and portfolio changes shown on this page include SPDR S&P 500 ETF Trust (SPY), and Microsoft Corp (1) (MSFT). Investors use Point72 13F filings to study portfolio concentration, new buys, trims, exits, sector exposure, and the market evidence behind the latest disclosed holdings.

Latest Holdings

HoldingReported ValueWeightSharesCurrent PriceEst. ValueReturn
Tesla IncTSLA · Q1 2026$159M0.2%428k$393.45$168M+5.84%
72348N10972348N109 · Q1 2026$159M0.2%1.8M------
Coupang, Inc. Class A Common StockCPNG · Q1 2026$159M0.2%8.4M$17.58$148M-6.89%
UNITY SOFTWARE INCU · Q1 2026$159M0.2%7.2M$27.76$201M+26.5%
92939UAP192939UAP1 · Q1 2026$158M0.2%131M------
CRH plcCRH.L · Q1 2026$158M0.2%1.5M------
Boeing CoBA · Q1 2026$158M0.2%793k$215.92$171M+8.49%
Primo Brands CorpPRMB · Q1 2026$158M0.2%8.4M$24.52$205M+30.2%
45167R10445167R104 · Q1 2026$157M0.2%831k------
902681AB1902681AB1 · Q1 2026$153M0.2%109M------
Palantir Technologies IncPLTR · Q1 2026$152M0.2%1.0M$136.47$142M-6.71%
531229755531229755 · Q1 2026$152M0.2%1.8M------
Microchip Technology IncMCHP · Q1 2026$152M0.2%2.3M$96.85$227M+49.9%
FedEx CorporationFDX · Q1 2026$151M0.2%423k$316.83$134M-11.0%
Biogen IncBIIB · Q1 2026$149M0.2%814k$196.97$160M+7.44%
Nike IncNKE · Q1 2026$149M0.2%2.8M$40.75$115M-22.9%
3.073E+1083.073E+108 · Q1 2026$149M0.2%474k------
Live Nation Entertainment IncLYV · Q1 2026$149M0.2%974k$159.51$155M+4.59%
Medline Inc.MDLN · Q1 2026$147M0.2%3.3M$37.77$125M-15.1%
Ferrari NVRACE · Q1 2026$147M0.2%434k$351.57$153M+3.88%
2.8176E+1122.8176E+112 · Q1 2026$147M0.2%1.8M------
Eli Lilly and Company Common StockLLY · Q1 2026$145M0.2%158k$1,210.50$191M+31.6%
Nokia CorpNOK · Q1 2026$145M0.2%18M$14.59$263M+81.5%
Netflix IncNFLX · Q1 2026$144M0.2%1.5M$77.65$116M-19.2%
MasTec IncMTZ · Q1 2026$143M0.2%443k$387.52$172M+20.4%
Dutch Bros Inc.BROS · Q1 2026$142M0.2%2.8M$65.03$183M+28.4%
Ares Management CorpARES · Q1 2026$141M0.2%1.3M$126.87$164M+16.3%
Amkor Technology, Inc. - Common StockAMKR · Q1 2026$141M0.2%3.1M$72.19$226M+60.3%
MongoDB IncMDB · Q1 2026$141M0.2%576k$294.46$170M+20.3%
Core & Main, Inc.CNM · Q1 2026$140M0.2%2.8M$47.13$134M-4.60%
Johnson & JohnsonJNJ · Q1 2026$140M0.2%574k$263.04$151M+7.61%
F5 IncFFIV · Q1 2026$140M0.2%482k$388.15$187M+34.2%
Merck & Co IncMRK · Q1 2026$139M0.2%1.2M$129.52$149M+7.67%
Airbnb, Inc.ABNB · Q1 2026$139M0.2%1.1M$134.43$148M+6.45%
APPLOVIN CORPAPP · Q1 2026$138M0.2%346k$496.77$172M+24.8%
West Pharmaceutical Services, Inc.WST · Q1 2026$137M0.2%546k$312.71$171M+24.8%
Palo Alto Networks IncPANW · Q1 2026$136M0.2%851k$285.26$243M+77.9%
VNET Group, Inc.VNET · Q1 2026$135M0.2%16M$10.71$173M+27.7%
ARM HOLDINGS PLCARM · Q1 2026$135M0.2%892k$346.39$309M+129.0%
Black Hills Corporation Common StockBKH · Q1 2026$135M0.2%1.9M$74.48$145M+7.30%
Freeport-McMoRan IncFCX · Q1 2026$134M0.2%2.3M$63.91$146M+8.73%
Lumentum Holdings IncLITE · Q1 2026$131M0.2%187k$842.53$157M+19.9%
CSX CorpCSX · Q1 2026$130M0.2%3.2M$47.11$149M+14.8%
KinderCare Learning Companies, Inc.KLC · Q1 2026$130M0.2%2.1M$4.18$8.8M-93.2%
558256103558256103 · Q1 2026$130M0.2%2.2M------
Regal Rexnord Corporation Common StockRRX · Q1 2026$128M0.2%686k$206.01$141M+10.0%
Exxon Mobil CorpXOM · Q1 2026$128M0.2%753k$137.02$103M-19.2%
Verizon Communications IncVZ · Q1 2026$127M0.2%2.5M$45.37$115M-9.62%
GLOBAL PAYMENTS IncGPN · Q1 2026$127M0.2%1.9M$64.50$122M-4.16%
9.2343E+1069.2343E+106 · Q1 2026$126M0.2%506k------
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