Point72资产管理
史蒂夫·科恩
报告期
Q2 2026
组合日期
2026年6月30日
持股数
1,885
市值
$62.6B
持仓价值趋势
Q3 2024
Q4 2024
Q1 2025
Q2 2025
Q3 2025
Q4 2025
Q1 2026
Q2 2026
历史持仓
| Symbol | Q2 2026 | Q1 2026 | Q4 2025 | Q3 2025 |
|---|---|---|---|---|
| CRDO | 1.9% | 0.9% | 0.9% | 1.1% |
| ASML | 1.2% | 1.0% | 0.7% | - |
| AMZN | 1.2% | 1.3% | 1.4% | 1.1% |
| MKSI | 1.0% | - | - | - |
| ANET | 1.0% | 1.0% | 1.1% | 1.3% |
| STX | 0.9% | - | - | - |
| AMD | 0.8% | - | - | - |
| TSM | 0.8% | 0.8% | 1.6% | 0.8% |
| SNOW | 0.8% | - | - | - |
| PG | 0.7% | - | - | - |
披露后主要贡献者
披露价至今涨跌幅,按组合贡献排序
FSLY+311.61%
SNOW+26.24%
AMZN+9.13%
ANET+8.16%
EAT+86.55%
披露后主要拖累者
披露价至今涨跌幅,按组合贡献排序
MKSI-36.63%
CRDO-14.93%
AMD-19.19%
STX-11.89%
AMAT-31.37%
行业分析
能源4.0%
Others4.1%
材料3.0%
公用事业4.2%
金融10.0%
医疗保健11.3%
科技30.2%
工业11.7%
全部持仓
1
C
$CRDO
1.9%
减持 17.73%
2A
$ASML
1.2%
减持 1.78%
3A
$AMZN
1.2%
减持 10.27%
4M
$MKSI
1.0%
增持 24.00%
5A
$ANET
1.0%
减持 21.48%
6S
$STX
0.9%
增持 50.61%
7A
$AMD
0.8%
减持 6.09%
8T
$TSM
0.8%
减持 13.67%
9S
$SNOW
0.8%
增持 2448.70%
10P
$PG
0.7%
增持 105.83%
11R
$RTX
0.7%
增持 61.09%
12C
$COF
0.6%
增持 53.41%
13O
$ORCL
0.6%
增持 188.10%
14M
$MDLZ
0.5%
增持 66.82%
15K
$KDP
0.5%
增持 1319.28%
16A
$AMAT
0.5%
减持 65.06%
17T
$TXN
0.5%
新建仓
18C
$CPNG
0.4%
增持 187.46%
19H
$HD
0.4%
减持 1.71%
20S
$SPOT
0.4%
减持 7.76%
21A
$AVGO
0.4%
减持 54.84%
22O
$ONTO
0.4%
减持 19.23%
23M
$MU
0.4%
减持 45.08%
24F
$FIX
0.4%
减持 18.02%
25U
$UNH
0.4%
增持 98.06%
26S
$STZ
0.4%
增持 30.21%
27X
$XYZ
0.4%
减持 29.02%
28A
$AS
0.4%
减持 1.92%
29E
$EQIX
0.4%
减持 41.03%
30M
$META
0.3%
减持 37.48%
31A
$AKAM
0.3%
减持 21.97%
32P
$PPL
0.3%
增持 47.63%
33S
$SE
0.3%
增持 61.48%
34I
$INTC
0.3%
减持 31.32%
35V
$V
0.3%
增持 7.09%
36V
$VSH
0.3%
增持 179.81%
37C
$CCL
0.3%
增持 34.35%
38U
$UNP
0.3%
增持 237.25%
39O
$OKTA
0.3%
减持 33.17%
40O
$OXY
0.3%
增持 93.77%
41U
$UAL
0.3%
增持 10.39%
42A
$ATI
0.3%
减持 35.82%
43A
$AEE
0.3%
增持 207.53%
44M
$MA
0.3%
增持 504.47%
45V
$VST
0.3%
增持 60.93%
46A
$ATO
0.3%
新建仓
47S
$STM
0.3%
增持 707.25%
48L
$LSCC
0.3%
增持 902.46%
49S
$SGI
0.3%
增持 29.80%
50T
$TER
0.2%
减持 79.92%