13F / manager view

How similar are
these two books?

PMCIOQuantLPGP
Compare complete normalized common-stock issuer overlap across Q1 and Q2, then inspect opposing actions in the bounded Q2 evidence window.
  • Q1 → Q2 2026
  • 16 managers
  • Common stock only
Pair selector

Choose two different managers. Each pair has a permanent URL. Cohort badges stay visible so unlike books are not read as equivalent conviction.

FundamentalDuquesne Family Office
SEC ↗Up to 100 Q2 common issuers plus 7 featured issuers. This is not the entire book.
FundamentalPershing Square
SEC ↗Up to 100 Q2 common issuers plus 1 featured issuer. This is not the entire book.
Duquesne Family Office92issuers in coverage
Pershing Square15issuers in coverage
01 / portfolio similarityfull normalized common books · Q1 and Q2
Fundamental · same-cohort comparison
Q2 shared issuers
1
of 98 in the union
Q2 issuer overlap
1.0%
Jaccard · shared / union
Q2 weighted overlap
3.0%
sum of smaller normalized weights
Q1 → Q2 weighted change
+1.5 pp
Q1 1.5%
Q1 → Q2 issuer change
-1.7 pp
Q1 2.7%

Similarity describes disclosed common-stock issuer overlap. It does not measure live exposure, intent, conviction or fund returns.

Largest shared Q2 issuer weights
Shared issuerDuquesne Family Office weightPershing Square weightOverlap contribution
AMAZON COM INCCUSIP prefix 0231353.0%10.5%3.0%
02 / bounded action windowcurrent common issuers within coverage
Shared current issuers within coverage
1
Left-only current issuers within coverage
84
Right-only current issuers within coverage
13
Opposing actions
2
03 / opposing actionssame issuer · opposite direction
Issuer values by manager
IssuerDuquesne Family OfficePershing Square
Amazon Com IncCUSIP prefix 023135increased541,600 shares · $129,085,000decreased8,563,857 shares · $2,041,109,677
Alphabet IncCUSIP prefix 02079Knew336,300 shares · $120,184,000closed0 shares · $0
04 / side-by-side coveragetop 50 displayed
Issuer values by manager
IssuerDuquesne Family OfficePershing Square
UBER TECHNOLOGIES INCCUSIP prefix 90353TNot in coverageincreased34,326,200 shares · $2,476,978,592
BROOKFIELD CORPCUSIP prefix 11271JNot in coveragedecreased57,481,047 shares · $2,448,117,792
MICROSOFT CORPCUSIP prefix 594918Not in coverageincreased6,206,730 shares · $2,315,234,425
Amazon Com IncCUSIP prefix 023135increased541,600 shares · $129,085,000decreased8,563,857 shares · $2,041,109,677
HOWARD HUGHES HOLDINGS INCCUSIP prefix 44267TNot in coverageincreased27,852,064 shares · $1,991,144,055
RESTAURANT BRANDS INTL INCCUSIP prefix 76131DNot in coverageincreased25,821,284 shares · $1,872,301,303
META PLATFORMS INCCUSIP prefix 30303MNot in coverageincreased3,196,062 shares · $1,800,309,764
VISA INCCUSIP prefix 92826CNot in coveragenew3,270,470 shares · $1,122,065,552
MASTERCARD INCORPORATEDCUSIP prefix 57636QNot in coveragenew2,124,646 shares · $1,091,218,186
S&P GLOBAL INCCUSIP prefix 78409VNot in coveragenew2,593,155 shares · $1,056,088,305
NETFLIX INC.CUSIP prefix 64110LNot in coveragenew13,081,465 shares · $934,016,601
Natera IncCUSIP prefix 632307increased3,186,306 shares · $864,923,000Not in coverage
Taiwan Semiconductor ManufacCUSIP prefix 874039increased589,680 shares · $281,613,000Not in coverage
Stmicroelectronics N VCUSIP prefix 861012increased3,102,880 shares · $232,375,000Not in coverage
Insmed IncCUSIP prefix 457669increased1,424,690 shares · $151,900,000Not in coverage
PERSHING SQUARE USA LTDCUSIP prefix 71531TNot in coveragenew4,000,000 shares · $149,520,000
Fox CorpCUSIP prefix 35137Lnew2,837,200 shares · $144,623,000Not in coverage
Ypf Sociedad AnonimaCUSIP prefix 984245decreased3,138,897 shares · $142,726,000Not in coverage
SEAPORT ENTMT GROUP INCCUSIP prefix 812215Not in coverageunchanged5,023,780 shares · $133,632,548
Bbb Foods IncCUSIP prefix G0896Cdecreased2,901,733 shares · $120,915,000Not in coverage
Alphabet IncCUSIP prefix 02079Knew336,300 shares · $120,184,000closed0 shares · $0
Ishares IncCUSIP prefix 464286unchanged3,436,170 shares · $118,548,000Not in coverage
Seagate Technology Hldngs PlCUSIP prefix G7997Rincreased122,000 shares · $117,730,000Not in coverage
United Airls Hldgs IncCUSIP prefix 910047increased794,795 shares · $108,084,000Not in coverage
Sea LtdCUSIP prefix 81141Runchanged1,099,905 shares · $105,404,000Not in coverage
Cdw CorpCUSIP prefix 12514Gnew743,950 shares · $104,629,000Not in coverage
Newamsterdam Pharma CompanyCUSIP prefix N62509unchanged3,070,146 shares · $104,047,000Not in coverage
Sandisk CorpCUSIP prefix 80004Cdecreased34,900 shares · $79,353,000Not in coverage
Revolution Medicines IncCUSIP prefix 76155Xincreased399,587 shares · $74,835,000Not in coverage
Bitdeer Technologies GroupCUSIP prefix G11448new4,074,993 shares · $64,670,000Not in coverage
Crh PlcCUSIP prefix G25508increased553,555 shares · $59,230,000Not in coverage
Delta Air Lines IncCUSIP prefix 247361new603,000 shares · $56,477,000Not in coverage
Fluor CorpCUSIP prefix 343412new982,200 shares · $51,457,000Not in coverage
D R Horton IncCUSIP prefix 23331Anew299,000 shares · $48,701,000Not in coverage
Coupang IncCUSIP prefix 22266Tunchanged2,667,485 shares · $46,334,000Not in coverage
Advanced Micro Devices IncCUSIP prefix 007903new72,900 shares · $42,348,000Not in coverage
Palo Alto Networks IncCUSIP prefix 697435new116,650 shares · $39,780,000Not in coverage
Cleveland-Cliffs Inc NewCUSIP prefix 185899increased4,216,184 shares · $39,590,000Not in coverage
Hut 8 CorpCUSIP prefix 44812Jnew314,150 shares · $36,267,000Not in coverage
HERTZ GLOBAL HLDGS INCCUSIP prefix 42806JNot in coveragedecreased14,991,599 shares · $33,955,972
Caris Life Sciences IncCUSIP prefix 142152unchanged1,894,450 shares · $33,759,000Not in coverage
Global X FdsCUSIP prefix 37950Edecreased328,800 shares · $30,019,000Not in coverage
Woodward IncCUSIP prefix 980745decreased67,194 shares · $28,587,000Not in coverage
Nuvation Bio IncCUSIP prefix 67080Nunchanged4,539,800 shares · $25,786,000Not in coverage
Protagonist Therapeutics IncCUSIP prefix 74366Eincreased208,900 shares · $25,607,000Not in coverage
Roku IncCUSIP prefix 77543Rdecreased184,055 shares · $25,425,000Not in coverage
Cavco Inds Inc DelCUSIP prefix 149568new39,500 shares · $24,268,000Not in coverage
Adma Biologics IncCUSIP prefix 000899increased2,784,110 shares · $23,303,000Not in coverage
Hyperliquid Strategies IncCUSIP prefix 44916Ynew2,941,500 shares · $23,150,000Not in coverage
Rambus Inc DelCUSIP prefix 750917new173,000 shares · $22,964,000Not in coverage
Coverage / method

Similarity metrics use the complete normalized common-stock issuer book for each manager in Q1 and Q2. The action tables provide a separate bounded evidence window. Each manager contributes up to 100 current Q2 common issuers by reported value. The window also includes featured issuers that the manager holds or changed. Both views exclude CALL and PUT rows.