All Tracked Investors

Steve Cohen runs Point72 Asset Management (formerly SAC Capital), one of the most successful and closely watched hedge funds on Wall Street. Known for exceptional stock-picking and a multi-manager platform, Cohen is consistently one of the highest-earning fund managers in the industry.

2030
Positions
7
In our model
1073
New buys
611
Increasing
319
Decreasing
In the Bogen Capital Model
These holdings also appear in our conviction-weighted model portfolio
Top 10 positions (% of portfolio)
Sector breakdown
Point72 Asset Management Holdings
Top 30 positions sorted by portfolio weight · Data from 2025-12-31
# Company Ticker Sector % of Portfolio Activity Change
1 NVIDIA CORPORATION NVDA Technology 3.0% ▲ Increasing +38%
2 TAIWAN SEMICONDUCTOR MFG LTD TSM Technology 2.3% ▲ Increasing +157%
3 AMAZON COM INC AMZN Technology 2.0% ▲ Increasing +68%
4 MICROSOFT CORP MSFT Technology 1.6% ▼ Decreasing -20%
5 ARISTA NETWORKS INC ANET Other 1.6% ▲ Increasing +37%
6 BROADCOM INC AVGO Technology 1.6% ▲ Increasing +80%
7 CREDO TECHNOLOGY GROUP HOLDI Other 1.3% ▲ Increasing +18%
8 ASML HOLDING N V ASML Other 1.0% ▲ Increasing +33%
9 SEA LTD SE Communications 1.0% ▲ Increasing +195%
10 COHERENT CORP Other 1.0% ▼ Decreasing -14%
11 EQUINIX INC EQIX Other 1.0% ▲ Increasing +467%
12 SPOTIFY TECHNOLOGY S A SPOT Communications 0.9% ▲ Increasing +190%
13 TERADYNE INC Other 0.9% ▼ Decreasing -31%
14 BIOGEN INC Other 0.8% ▼ Decreasing -27%
15 DANAHER CORPORATION DHR Industrials 0.6% ▲ Increasing +281%
16 PEPSICO INC PEP Other 0.6% ▲ Increasing +1555%
17 TRANSDIGM GROUP INC TDG Other 0.6% ▲ Increasing +50456%
18 AKAMAI TECHNOLOGIES INC Other 0.5% ● New NEW
19 INTUITIVE SURGICAL INC ISRG Other 0.5% ▼ Decreasing -5%
20 ABIVAX SA Other 0.5% ▼ Decreasing -18%
21 AT&T INC T Other 0.5% ▲ Increasing +73%
22 HOME DEPOT INC HD Other 0.5% ▲ Increasing +44%
23 ATLASSIAN CORPORATION Other 0.5% ▲ Increasing +105%
24 AUTODESK INC ADSK Other 0.5% ▲ Increasing +132%
25 CISCO SYS INC CSCO Other 0.5% ● New NEW
26 MONGODB INC MDB Other 0.5% ▼ Decreasing -46%
27 PERFORMANCE FOOD GROUP CO Other 0.5% ▲ Increasing +100%
28 CAPITAL ONE FINL CORP COF Financials 0.5% ▲ Increasing +23%
29 CSX CORP CSX Other 0.5% ▲ Increasing +35%
30 NEWS CORP NEW Other 0.5% ▲ Increasing +109%
… and 2000 more positions. View full portfolio →

Frequently Asked Questions

What stocks is Point72 Asset Management buying right now?

The table above shows Point72 Asset Management's most recent reported positions from their latest SEC 13F filing. New positions (marked ● New) represent stocks they added since the prior quarter. This data is from their 2025-12-31 filing.

How often is Point72 Asset Management's portfolio updated?

Institutional investors are required to file 13F reports quarterly (within 45 days of each quarter-end: March 31, June 30, September 30, December 31). Some filers may take up to 135 days. Bogen Capital updates this page automatically whenever a new filing is available.

Can I invest based on Steve Cohen's portfolio?

This data is for informational purposes only. 13F filings are delayed by up to 135 days and don't include short positions, options strategies, or non-US holdings. The fund may have already sold or changed these positions by the time you see them. Always do your own research and consider consulting a financial advisor.

Where does this data come from?

All holdings data is sourced directly from public SEC EDGAR 13F filings. We fetch the raw XML filings and process them automatically. The source data is free and publicly available at SEC EDGAR ↗.

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⚠ Disclaimer: This page is for informational purposes only. Holdings data from SEC EDGAR 13F filings for Point72 Asset Management, delayed up to 135 days. Not a recommendation to buy or sell any security. Point72 Asset Management may have already changed these positions.