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Focused investors/Stephen Mandel

Stephen Mandel - Lone Pine Capital

As of Q1 2026, this manager reported 36 long-equity positions worth $12.54B in aggregate.

As of Q1 2026, Stephen Mandel's Lone Pine Capital held 36 long-equity positions with a reported value of $12.54B.

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Updated 2026-06-06 from SEC 13F data.

Live quotes available for 25 of 32 rows. Rows without a quote are marked unavailable.

1METAMETA PLATFORMS INC7.07%Reduce -20.6%1,322,260$971.04M$734.3852w: $479.80 - $796.25; reported $734.38
2VSTVISTRA CORP6.70%Reduce -27.4%4,699,241$920.68M$195.9252w: $90.51 - $219.82; reported $195.92
3TSMTAIWAN SEMICONDUCTOR MFG LTD6.20%Reduce -11.2%3,052,400$852.5M$279.2952w: $134.25 - $286.00; reported $279.29
4APPAPPLOVIN CORP5.80%Reduce -12.1%1,109,138$796.96M$718.5452w: $128.01 - $745.61; reported $718.54
5LPLALPL FINL HLDGS INC5.46%Add +20.5%2,255,714$750.45M$332.6952w: $222.75 - $403.58; reported $332.69
6PMPHILIP MORRIS INTL INC5.45%Add +67.3%4,614,443$748.46M$162.2052w: $116.12 - $186.69; reported $162.20
7BNBROOKFIELD CORP5.08%Add +81.1%10,181,348$698.24M$68.5852w: $29.07 - $49.47; reported $68.58
8CVNACARVANA CO4.85%-1,765,291$665.94M$377.2452w: $29.65 - $82.67; reported $377.24
9MSFTMICROSOFT CORP4.55%Reduce -34.8%1,208,605$626M$517.9552w: $344.79 - $555.45; reported $517.95
10AMZNAMAZON COM INC4.49%Reduce -44.1%2,811,928$617.42M$219.5752w: $161.38 - $242.52; reported $219.57
11COFCAPITAL ONE FINL CORP3.97%Reduce -16.6%2,569,491$546.22M$212.5852w: $143.22 - $232.45; reported $212.58
12KKRKKR & CO INC3.86%Reduce -21.9%4,080,561$530.27M$129.9552w: $86.15 - $170.40; reported $129.95
13AVGOBROADCOM INC3.72%New1,549,412$511.17M$329.9152w: $138.10 - $374.23; reported $329.91
14TLNTALEN ENERGY CORP3.69%Add +9.5%1,192,516$507.27M$425.3852w: $148.02 - $430.71; reported $425.38
15SBUXSTARBUCKS CORP3.42%-5,561,954$470.54M$84.6052w: $75.50 - $117.46; reported $84.60
16EQTEQT CORP3.31%Add +11.2%8,361,889$455.14M$54.4352w: $35.45 - $61.02; reported $54.43
17FLUTFLUTTER ENTMT PLC3.20%Reduce -7.0%1,733,336$440.27M$254.0052w: $196.88 - $313.69; reported $254.00
18VMCVULCAN MATLS CO3.10%New1,384,624$425.94M$307.6252w: $215.08 - $308.18; reported $307.62
19NUNU HLDGS LTD2.96%New25,406,449$406.76M$16.0152w: $9.01 - $16.43; reported $16.01
20WINGWINGSTOP INC2.73%New1,491,245$375.32M$251.6852w: $204.00 - $425.00; reported $251.68
21APHAMPHENOL CORP NEW2.72%New3,023,231$374.12M$123.7552w: $56.45 - $126.06; reported $123.75
22SESEA LTD2.43%New1,869,501$334.14M$178.7352w: $92.50 - $199.30; reported $178.73
23CIENCIENA CORP2.13%New2,006,662$292.31M$145.6752w: $49.21 - $146.53; reported $145.67
24ETSYETSY INC1.87%New3,880,316$257.61M$66.3952w: $40.05 - $75.77; reported $66.39
25BKNGBOOKING HOLDINGS INC1.22%Reduce -48.1%31,151$168.19M$5399.2752w: $162.44 - $233.58; reported $5399.27
30WIXWIX COM LTD-Sold0$0No quoteNo quote
29UNHUNITEDHEALTH GROUP INC-Sold0$0No quoteNo quote
28CRMSALESFORCE INC-Sold0$0No quoteNo quote
27INTUINTUIT-Sold0$0No quoteNo quote
26ASMLASML HOLDING N V-Sold0$0No quoteNo quote

Options positions

Put = right to sell at strike (a bearish bet). Call = right to buy at strike (bullish via leverage). The notional column shows the underlying market value reported to the SEC, not the option premium paid - these don't add to the long-equity % portfolio above.

2CVNACARVANA COCL ACALLSold0$0
1APPAPPLOVIN CORPCOM CL ACALLSold0$0