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Holdings

Atreides Management, LP

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
ADVANCED MICRO DEVICES INC AMDCommon1,197,173-2,440,019136,369,976,000-99,210,950,0003.500.07 Hist 06/30/2023
DICK'S SPORTING GOODS, INC. DKSCommon909,685-712,837120,251,260,000-74,921,911,0003.091.05 Hist 06/30/2023
TAKE TWO INTERACTIVE SOFTWARE INC TTWOCommon62,025-663,5629,127,599,000-66,427,775,0000.23  Hist 06/30/2023
Marvell Technology, Inc. MRVLCOMMON STOCK1,608,797-2,628,13296,173,885,000-60,761,965,0002.470.19 Hist 06/30/2023
Tesla, Inc. TSLACOM186,255-487,69048,755,971,000-34,260,574,0001.25  Hist 06/30/2023
Liberty Media Corp FWONKCommon585,310-717,87144,062,137,000-33,842,023,0001.130.10 Hist 06/30/2023
MGM Resorts International MGMCommon1,777,470-1,494,13978,066,482,000-31,630,568,0002.010.48 Hist 06/30/2023
DECKERS OUTDOOR CORP DECKCommon216,414-122,947114,193,011,000-21,266,326,0002.930.83 Hist 06/30/2023
BILL Holdings, Inc. BILLCommon583,905-108,46368,229,299,000-7,211,118,0001.750.55 Hist 06/30/2023
LAS VEGAS SANDS CORP LVSCommon1,056,827-88,58661,295,966,0006,235,963,0001.57  Hist 06/30/2023
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