Steve Mandel

Lone Pine Capital

Steve Mandel is the founder and managing partner of Lone Pine Capital, an American hedge fund based in Greenwich, Connecticut. Known for his value-oriented investment philosophy, Mandel has built a reputation for successfully navigating complex market environments. His firm focuses on long/short equity strategies and has established a diverse portfolio across various sectors, emphasizing technology and consumer cyclicals. Lone Pine Capital operates with a global outlook, maintaining offices in major financial hubs including New York City, London, and San Francisco. The firm employs a research-driven approach to identify undervalued companies and capitalize on market inefficiencies. With a strong emphasis on fundamental analysis, Mandel and his team aim to deliver consistent returns while managing risk effectively. Recent disclosures reveal a dynamic trading pattern, with significant position adjustments between February 14, 2025, and May 15, 2026. The firm has executed a total of 200 disclosures, reflecting a mix of position increases and reductions, with the largest disclosed move being an exit from Meta valued at approximately $971 million. The portfolio prominently features technology stocks, including Microsoft Corp and Amazon.com, highlighting the firm's strategic focus in this sector.

Latest Trades

CompanyValueActionChangePriceLast Price
KKR & Co IncKKR$17M179.3k sharesTrimQ1 2026 13F$621M$105.41$102.75
Broadcom IncAVGO$-598.8MExitQ1 2026 13F$599M$329.05$394.28
Microsoft CorpMSFT$-596.8MExitQ1 2026 13F$597M$418.44$395.63
DoorDash IncDASH$-573.0MExitQ1 2026 13F$573M$184.78$189.70
Amazon.com IncAMZN$-557.3MExitQ1 2026 13F$557M$220.17$254.96
Teradyne, Inc.TER$555M1.9M sharesOtherQ1 2026 13F$555M$278.84$341.91
Corning IncGLW$506M3.7M sharesOtherQ1 2026 13F$506M$120.60$157.92
MasTec IncMTZ$493M1.5M sharesOtherQ1 2026 13F$493M$270.73$357.71
Taiwan Semiconductor Manufacturing Co LtdTSM$470M1.4M sharesTrimQ1 2026 13F$458M$344.13$414.71
Vulcan Materials CoVMC$39M144.2k sharesTrimQ1 2026 13F$441M$294.22$280.62
Philip Morris International IncPM$-424.0MExitQ1 2026 13F$424M$173.77$192.12
Wingstop Inc.WING$-380.5MExitQ1 2026 13F$380M$240.35$145.70
Amphenol CorpAPH$28M223.1k sharesTrimQ1 2026 13F$352M$137.30$150.46
US Foods Holding Corp. Common StockUSFD$350M3.8M sharesOtherQ1 2026 13F$350M$88.56$97.05
PERFORMANCE FOOD GROUP COMPANYPFGC$341M4M sharesOtherQ1 2026 13F$341M$91.44$110.41
McKesson CorpMCK$339M392.2k sharesOtherQ1 2026 13F$339M$892.51$834.36
Ciena CorporationCIEN$314M809.5k sharesOtherQ1 2026 13F$314M$347.42$446.93
Carpenter Technology Corporation Common StockCRS$717M1.8M sharesAddQ1 2026 13F$303M$382.93$559.70
TeraWulf Inc.WULF$287M19.9M sharesOtherQ1 2026 13F$287M$14.83$19.37
Steve Mandel (Lone Pine Capital) other Unmapped 13F securityPORTFOLIO$285M6.1M sharesOtherQ1 2026 13F$285M$46.91--
Affirm Holdings, Inc.AFRM$-284.1MExitQ1 2026 13F$284M$57.77$81.71
Brookfield CorporationBN$454M11.2M sharesTrimQ1 2026 13F$277M$44.32$44.30
ASML Holding NVASML$865M655.1k sharesAddQ1 2026 13F$218M$1,370.36$1,732.94
Steve Mandel (Lone Pine Capital) other Unmapped 13F securityPORTFOLIO$214M393.1k sharesOtherQ1 2026 13F$214M$544.65--
Carvana Co.CVNA$552M1.8M sharesTrimQ1 2026 13F$199M$74.20$64.59
Clean Harbors IncCLH$503M1.8M sharesAddQ1 2026 13F$180M$272.92$303.37
Capital One Financial CorporationCOF$414M2.3M sharesTrimQ1 2026 13F$143M$209.18$208.89
LPL Financial Holdings IncLPLA$617M2M sharesTrimQ1 2026 13F$124M$311.51$327.78
Entegris IncENTG$365M3.1M sharesAddQ1 2026 13F$108M$123.48$137.84
Talen Energy CorporationTLN$580M1.8M sharesAddQ1 2026 13F$96M$344.32$396.95
Vistra CorpVST$930M6.2M sharesAddQ1 2026 13F$89M$161.86$157.23
Tenet Healthcare CorpTHC$426M2.3M sharesAddQ1 2026 13F$71M$210.69$195.15
APPLOVIN CORPAPP$583M1.5M sharesAddQ1 2026 13F$57M$483.34$427.01
Alphabet IncGOOGL$54M187.6k sharesOtherQ1 2026 13F$54M$314.21$370.92
NU HOLDINGS LTDNU$546M38M sharesAddQ1 2026 13F$50M$15.28$13.88
Medline Inc.MDLN$525M11.8M sharesAddQ1 2026 13F$33M$44.15$39.66
Mastercard IncMA$29M57.2k sharesTrimQ1 2026 13F$26M$526.66$551.54
Spotify Technology S.ASPOT$33M68.8k sharesAddQ1 2026 13F$23M$501.86$489.56
Visa IncV$28M92.8k sharesAddQ1 2026 13F$23M$321.55$365.14
TransDigm Group IncTDG$41M35.7k sharesAddQ1 2026 13F$16M$1,310.87$1,207.42
Booking Holdings IncBKNG$10M2.4k sharesTrimQ1 2026 13F$15M$184.02$179.83
Boston Scientific CorpBSX$7M104.7k sharesTrimQ1 2026 13F$13M$80.00$44.17
Hilton Worldwide Holdings IncHLT$27M89.2k sharesAddQ1 2026 13F$11M$303.16$323.26