Stephen Mandel - Lone Pine Capital
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    36
Portfolio value:    $12,543,849,391
Holdings Activity Buys Sells    History
Holding/activity history for  Wynn Resorts Ltd (WYNN)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2019   Q3 0 0.00 Sell 100.00% 4.34 SEC
2019   Q2 5,406,697 4.34 Reduce 9.22% 0.40 $123.99 $670,376,000 SEC
2019   Q1 5,955,497 4.32 $119.32 $710,610,000 SEC
2018   Q4 5,955,497 4.16 $98.91 $589,058,000 SEC
2018   Q3 5,955,497 4.07 Add 56.79% 1.47 $127.06 $756,705,000 SEC
2018   Q2 3,798,454 3.46 Add 68.02% 1.40 $167.34 $635,633,000 SEC
2018   Q1 2,260,749 2.09 Add 78.00% 0.92 $182.36 $412,270,000 SEC
2017   Q4 1,270,051 1.12 Reduce 52.61% 1.09 $168.59 $214,118,000 SEC
2017   Q3 2,680,127 2.08 Buy 2.08 $148.92 $399,125,000 SEC
2015   Q1 0 0.00 Sell 100.00% 0.22 SEC
2014   Q4 285,023 0.22 Reduce 89.84% 2.31 $148,760.00 $42,400,021,000 SEC
2014   Q3 2,804,989 2.57 Add 35.44% 0.67 $187.08 $524,757,000 SEC
2014   Q2 2,071,053 2.21 Add 74.79% 0.95 $207.56 $429,868,000 SEC
2014   Q1 1,184,878 1.43 Buy 1.43 $222.15 $263,221,000 SEC
2012   Q2 0 0.00 Sell 100.00% 0.59 SEC
2012   Q1 695,207 0.59 Buy 0.59 $124.88 $86,817,000 SEC