INVESTOR RADAR

What the biggest fund managers are actually buying and selling, straight from their SEC 13F filings. Updated quarterly.

13F data is 45-135 days old by law. These are the latest known positions, not real-time portfolios.

WARREN BUFFETTQ4 2025 · Portfolio $228349.7B
Added

AMERICAN EXPRESS CO

$55145.1B

Added

APPLE INC

$21929.5B

Added

COCA COLA CO

$19765.1B

Added

BANK AMERICA CORP

$17094.0B

Added

APPLE INC

$16731.1B

New

OCCIDENTAL PETE CORP

$10894.4B

New

CHUBB LIMITED

$10689.9B

Added

APPLE INC

$9440.1B

Added

CHEVRON CORP NEW

$9385.3B

View all 50 positions →
KEN GRIFFINQ4 2025 · Portfolio $207906.2B
New

INVESCO QQQ TR

$22243.6B

New

SPDR S&P 500 ETF TR

$19744.3B

Added

TESLA INC

$19649.6B

Reduced

SPDR S&P 500 ETF TR

$18269.9B

New

TESLA INC

$14433.0B

Added

NVIDIA CORPORATION

$14432.5B

Reduced

INVESCO QQQ TR

$13765.3B

New

NVIDIA CORPORATION

$10254.5B

Added

META PLATFORMS INC

$9722.1B

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BILL GATESQ4 2025 · Portfolio $35275.0B
New

BERKSHIRE HATHAWAY INC DEL

$9754.8B

New

WASTE MGMT INC DEL

$6357.2B

New

CANADIAN NATL RY CO

$5123.1B

New

MICROSOFT CORP

$3719.6B

New

CATERPILLAR INC

$3639.8B

New

DEERE & CO

$1656.2B

New

ECOLAB INC

$1369.8B

New

WALMART INC

$934.8B

New

FEDEX CORP

$688.7B

View all 23 positions →
BILL ACKMANQ4 2025 · Portfolio $15526.7B
New

BROOKFIELD CORP

$2817.8B

New

UBER TECHNOLOGIES INC

$2468.3B

New

AMAZON COM INC

$2217.7B

New

ALPHABET INC

$1934.2B

New

META PLATFORMS INC

$1764.8B

New

RESTAURANT BRANDS INTL INC

$1560.2B

New

HOWARD HUGHES HOLDINGS INC

$1503.8B

New

HILTON WORLDWIDE HLDGS INC

$870.0B

Reduced

ALPHABET INC

$212.3B

View all 11 positions →
CATHIE WOODQ4 2025 · Portfolio $9118.0B
New

Tesla Inc

$1310.7B

New

Shopify Inc

$640.5B

New

Roku Inc

$638.1B

New

Coinbase Global Inc

$574.8B

New

Palantir Technologies Inc

$574.5B

New

CRISPR Therapeutics AG

$551.8B

New

Advanced Micro Devices Inc

$551.4B

New

Robinhood Markets Inc

$543.6B

New

Teradyne Inc

$456.1B

View all 50 positions →
CARL ICAHNQ4 2025 · Portfolio $8445.2B
Added

Icahn Enterprises LP

$2078.5B

Added

CVR Energy Inc

$1719.0B

Added

Icahn Enterprises LP

$886.2B

Added

Icahn Enterprises LP

$570.2B

New

Southwest Gas Holdings Inc.

$482.7B

Added

Icahn Enterprises LP

$458.2B

Added

CVR Partners, LP

$398.9B

New

EchoStar Corporation

$364.6B

New

Centuri Holdings, Inc.

$362.0B

View all 19 positions →
GEORGE SOROSQ4 2025 · Portfolio $3586.8B
Added

AMAZON COM INC

$544.6B

New

SPDR SERIES TRUST

$415.5B

New

SPOTIFY USA INC

$221.2B

New

ALPHABET INC

$200.0B

Added

RIVIAN AUTOMOTIVE INC

$180.3B

New

GLOBAL PMTS INC

$175.7B

New

JAZZ INVESTMENTS I LTD

$173.2B

New

SELECT SECTOR SPDR TR

$162.7B

New

CONFLUENT INC

$160.8B

View all 50 positions →
JOHN PAULSONQ4 2025 · Portfolio $3262.0B
New

MADRIGAL PHARMACEUTICALS INC

$994.4B

New

PERPETUA RESOURCES CORP

$783.1B

New

BAUSCH HEALTH COS INC

$509.1B

New

ACADIAN ASSET MANAGEMENT INC

$363.9B

New

NOVAGOLD RES INC

$253.9B

New

AGNICO EAGLE MINES LTD

$132.8B

New

INTERNATIONAL TOWER HILL MIN

$130.6B

New

SOLSTICE ADVANCED MATLS INC

$67.8B

New

THRYV HLDGS INC

$26.3B

DAVID EINHORNQ4 2023 · Portfolio $1421.8B
Added

GREEN BRICK PARTNERS INC

$406.7B

New

GREEN BRICK PARTNERS INC

$142.3B

Added

CONSOL ENERGY INC NEW

$107.3B

Added

BRIGHTHOUSE FINL INC

$86.7B

Added

KYNDRYL HLDGS INC

$69.7B

New

CONSOL ENERGY INC NEW

$68.0B

New

TENET HEALTHCARE CORP

$51.9B

Added

THE ODP CORP

$49.6B

Added

ALIGHT INC

$44.6B

View all 50 positions →
MICHAEL BURRYQ3 2025 · Portfolio $1381.2B
New

PALANTIR TECHNOLOGIES INC

$912.1B

New

NVIDIA CORPORATION

$186.6B

New

PFIZER INC

$152.9B

New

HALLIBURTON CO

$61.5B

New

MOLINA HEALTHCARE INC

$23.9B

New

LULULEMON ATHLETICA INC

$17.8B

New

SLM CORP

$13.3B

New

BRUKER CORP

$13.1B

STANLEY DRUCKENMILLERQ4 2025 · Portfolio $3.3B
New

Natera Inc

$575M

New

Select Sector Spdr Tr

$301M

New

Insmed Inc

$258M

New

Invesco Exchange Traded Fd T

$225M

New

Teva Pharmaceutical Inds Ltd

$183M

New

Woodward Inc

$179M

Added

Amazon Com Inc

$170M

New

Taiwan Semiconductor Mfg Ltd

$165M

New

Coupang Inc

$160M

View all 50 positions →