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Q2 2026 59/68 funds filed
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Some record dates are in the future and are excluded from the latest observation date.

Investor portfolio

Coatue Management

AI / ComputeTech Growth

Coatue Management is Philippe Laffont's investment management firm, widely known for technology and AI-focused crossover investing.

Linked investors: Philippe Laffont

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US 13F portfolio

Quarter
Q2 2026
Filed
2026-08-14
Portfolio value
$48,629,053,706
Positions
66
history Ticker Change % of portfolio
≡ IBIT SOLD —
≡ CHRW SOLD —
≡ SOLS SOLD —
≡ CHYM SOLD —
≡ V SOLD —
≡ BYND −13% 0.0%
≡ HTZ 0.0%
≡ AMC 0.0%
≡ HTZWW 0.0%
≡ CHPT 0.0%
≡ LCID 0.0%
≡ OLPX 0.01%
≡ SFIX 0.01%
≡ PLUG 0.01%
≡ ZG 0.02%
≡ PTON 0.03%
≡ RNG 0.03%
≡ MPT 0.04%
≡ PATH −14% 0.04%
≡ ABR 0.05%
≡ Z 0.05%
≡ TTD 0.05%
≡ PINS −29% 0.05%
≡ TSLA +2% 0.05%
≡ AGX Newly reported 0.06%
≡ UPST 0.06%
≡ QS 0.07%
≡ FIX Newly reported 0.07%
≡ NVAX 0.07%
≡ PYPL 0.11%
≡ AMD Newly reported 0.11%
≡ BAH Newly reported 0.14%
≡ ENPH −6% 0.16%
≡ DASH −5% 0.2%
≡ SFM 0.21%
≡ GNRC 0.24%
≡ SNPS −58% 0.29%
≡ CAI 0.36%
≡ MTZ −11% 0.44%
≡ CVNA +382% 0.44%
≡ QCOM 0.53%
≡ VRT −18% 0.56%
≡ FCNCA 0.6%
≡ ISRG −7% 0.65%
≡ NFLX −32% 0.69%
≡ NU 0.81%
≡ RDDT 1.0%
≡ ASML −41% 1.21%
≡ SPOT −1% 1.24%
≡ APP −9% 1.24%
≡ NTRA −1% 1.4%
≡ MSFT +18% 2.25%
≡ HUT Newly reported 2.31%
≡ FPS Newly reported 2.35%
≡ CEG 2.37%
≡ NVDA −4% 2.49%
≡ EQIX +17% 2.73%
≡ META −10% 2.93%
≡ CBRS Newly reported 3.19%
≡ INTC Newly reported 3.47%
≡ GOOG(L) BUY 4.23%
≡ ETN +5% 4.35%
≡ AVGO +6% 4.54%
≡ AMZN +49% 5.8%
≡ GEV −1% 6.18%
≡ AMAT −20% 6.26%
≡ SPCX Newly reported 6.52%
≡ MU +1794% 7.46%
≡ LRCX −6% 8.41%
≡ TSM −4% 8.76%

13F filings show only a manager's disclosed reportable long positions; this filing contains no call or put rows — methodology & caveats.

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