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Portfolio (Quarterly) Guide ↗

Point72 Asset Management

· CIK 0001603466
13F Portfolio $89.4B AUM 3,862 positions Filed Feb 17, 2026 ← All Funds
Q1 2026 Q4 2025 · All 3862 New
Page 20 of 194  ·  3,862 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
381 NXST NEXSTAR MEDIA GROUP INC Communication Services 260,215.0 $52.8M 0.06% NEW $203.05 -7.1%
382 HOOD CALL ROBINHOOD MKTS INC Financial Services 465,600.0 $52.7M 0.06% NEW $113.10 -34.4%
383 ADBE CALL ADOBE INC Technology 150,000.0 $52.5M 0.06% NEW $349.99 -27.6%
384 PR PERMIAN RESOURCES CORP Energy 3,741,264.0 $52.5M 0.06% NEW $14.03 +51.2%
385 CRDO PUT CREDO TECHNOLOGY GROUP HOLDI Technology 362,900.0 $52.2M 0.06% NEW $143.89 +17.4%
386 AAPL CALL APPLE INC Technology 191,400.0 $52.0M 0.06% NEW $271.86 +11.2%
387 B BARRICK MNG CORP Basic Materials 1,194,182.0 $52.0M 0.06% NEW $43.55 -6.0%
388 STRATEGY INC 63,000,000.0 $51.9M 0.06% NEW $0.82
389 WDC CALL WESTERN DIGITAL CORP Technology 300,200.0 $51.7M 0.06% NEW $172.27 +164.6%
390 CNI CANADIAN NATL RY CO Industrials 522,622.0 $51.6M 0.06% NEW $98.82 +14.5%
391 NFLX CALL NETFLIX INC Communication Services 550,200.0 $51.6M 0.06% NEW $93.76 -4.7%
392 AMZN PUT AMAZON COM INC Consumer Cyclical 221,800.0 $51.2M 0.06% NEW $230.82 +14.8%
393 GD GENERAL DYNAMICS CORP Industrials 152,068.0 $51.2M 0.06% NEW $336.66 +1.0%
394 XLV PUT SELECT SECTOR SPDR TR 330,600.0 $51.2M 0.06% NEW $154.80 -5.0%
395 TNET TRINET GROUP INC Industrials 864,942.0 $51.1M 0.06% NEW $59.13 -27.9%
396 AXTA AXALTA COATING SYS LTD Basic Materials 1,581,402.0 $51.1M 0.06% NEW $32.31 -11.0%
397 SHOP PUT SHOPIFY INC Technology 317,300.0 $51.1M 0.06% NEW $160.97 -37.2%
398 BURL BURLINGTON STORES INC Consumer Cyclical 176,820.0 $51.1M 0.06% NEW $288.85 +7.4%
399 ABT CALL ABBOTT LABS Healthcare 406,100.0 $50.9M 0.06% NEW $125.29 -29.5%
400 IMVT IMMUNOVANT INC Healthcare 2,000,000.0 $50.8M 0.06% NEW $25.42 +3.4%
Page 20 of 194  ·  3,862 positions

Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Technology 32.4%
Healthcare 15.3%
Consumer Cyclical 11.6%
Industrials 9.5%
Financial Services 9.0%
Consumer Defensive 4.8%
Communication Services 4.6%
Energy 4.1%
Utilities 3.5%
Basic Materials 2.9%