PDT Partners, LLC

13F Filings History

Latest 13F report
Q4 2024 - Feb 14, 2025
Value $
$1.13B
Signature - Title
Ajay Salhotra - Chief Compliance Officer
Location
New York, NY
Summary
This page shows a list of all the recent 13F filings made by PDT Partners, LLC. Form 13F is required to be filed within 45 days of the end of a calendar quarter. PDT Partners, LLC reported 700 stock holdings with total value $1.13B as of Q4 2024. Top holdings included CME, LOGI, RBLX, FTNT, and MTB.
Holdings Value
Quarter Holdings Value $ Bought Sold Net Top Holdings Form Type Date Filed
Q4 2024 700 $1.13B +$316M -$373M -$57.2M CME, LOGI, RBLX, FTNT, MTB 13F-HR 2/14/2025, 04:32 PM
Q3 2024 710 $1.13B +$382M -$366M +$16.1M CME, MTB, SMG, FTNT, DASH 13F-HR 11/14/2024, 04:23 PM
Q2 2024 654 $1.06B +$271M -$250M +$20.6M CME, HOOD, SPOT, MEDP, BJ 13F-HR 8/15/2024, 04:09 PM
Q1 2024 611 $1.05B +$344M -$261M +$82.1M CME, RACE, HOOD, MU, MEDP 13F-HR 5/15/2024, 04:14 PM
Q4 2023 529 $905M +$306M -$289M +$16.6M RACE, CME, STLA, ATKR, ABNB 13F-HR 2/14/2024, 04:59 PM
Q3 2023 707 $792M +$278M -$184M +$94M CME, STLA, RACE, NVT, MEDP 13F-HR 11/14/2023, 04:34 PM
Q2 2023 688 $727M +$198M -$240M -$42.3M CME, RACE, CNHI, GH, MPWR 13F-HR 8/14/2023, 06:02 PM
Q1 2023 554 $737M +$313M -$60.7M +$252M CME, STLA, ELF, SLAB, JPM 13F-HR 5/15/2023, 04:59 PM
Q4 2022 600 $618M +$236M -$87.7M +$148M CME, INSP, FTI, AZO, DPZ 13F-HR 2/14/2023, 03:52 PM
Q3 2022 814 $660M +$183M -$366M -$183M CME, ALB, TTEK, AGL, ENPH 13F-HR 11/14/2022, 03:45 PM
Q2 2022 925 $1.13B +$526M -$135M +$391M CME, VRTX, MASI, MRO, GM 13F-HR 8/15/2022, 06:13 PM
Q1 2022 908 $1.16B +$465M -$202M +$263M CME, EOG, PSTG, BG, GM 13F-HR 5/16/2022, 04:39 PM
Q4 2021 852 $1.31B +$385M -$266M +$118M CNHI, CME, ZTS, PSTG, ANET 13F-HR 2/14/2022, 04:15 PM
Q3 2021 751 $1.39B +$312M -$392M -$80.4M CNH, CME, DDOG, CRL, ZS 13F-HR 11/15/2021, 05:08 PM
Q2 2021 776 $1.51B +$466M -$432M +$34.7M CNH, CME, STLA, NTLA, CRL 13F-HR 8/16/2021, 05:14 PM
Q1 2021 758 $1.39B +$335M -$534M -$199M CNH, RACE, CME, AMAT, BX 13F-HR 5/17/2021, 04:59 PM
Q4 2020 672 $1.48B +$299M -$448M -$149M RACE, CME, LYFT, GH, TSLA 13F-HR 2/16/2021, 03:23 PM
Q3 2020 702 $1.51B +$361M -$269M +$92.2M RACE, CGNX, LOGI, CME, LH 13F-HR 11/16/2020, 02:23 PM
Q2 2020 653 $1.47B +$500M -$324M +$177M RACE, CGNX, AVLR, BE, ZEN 13F-HR 8/14/2020, 03:22 PM
Q1 2020 636 $1.26B +$398M -$104M +$294M RACE, ABBV, HUM, EOG, CGNX 13F-HR 5/15/2020, 11:45 AM
Q4 2019 703 $1.62B +$411M -$342M +$69.2M RACE, HUM, CGNX, EOG, YNDX 13F-HR 2/14/2020, 10:15 AM
Q3 2019 446 $1.68B +$449M -$154M +$295M LINXXXX, RACE, ABBV, BMY, HUM 13F-HR 11/14/2019, 09:58 AM
Q2 2019 408 $1.69B +$401M -$92.9M +$308M ABBV, MTD, BMY, HUM, EOG 13F-HR 8/14/2019, 11:29 AM
Q1 2019 429 $1.77B +$348M -$196M +$152M MTD, BMY, AMZN, PANW, BSX 13F-HR 5/15/2019, 02:28 PM
Q4 2018 457 $1.79B +$316M -$154M +$162M PANW, HUM, BSX, MTD, AMZN 13F-HR 2/14/2019, 03:12 PM
Q3 2018 468 $2.41B +$310M -$374M -$64.5M DXCM, PANW, HUM, SRPT, AMZN 13F-HR 11/14/2018, 01:05 PM
Q2 2018 502 $2.63B +$292M -$425M -$133M HUM, PANW, DXCM, BMRN, W 13F-HR 8/14/2018, 11:08 AM
Q1 2018 550 $2.96B +$629M -$608M +$20.5M PANW, URI, HUM, CY, DXCM 13F-HR 5/15/2018, 11:52 AM
Q4 2017 528 $3.45B +$1.01B -$360M +$649M DHI, SQ, URI, KORS, SCHW 13F-HR 2/14/2018, 09:15 AM
Q3 2017 510 $3.02B +$900M -$202M +$698M RACE, SQ, ALNY, SU, CNC 13F-HR 11/14/2017, 09:23 AM
Q2 2017 507 $2.48B +$1.12B -$123M +$994M SQ, MAS, GLW, EA, C 13F-HR 8/14/2017, 12:03 PM
Q1 2017 466 $1.91B +$768M -$165M +$603M AMD, LRCX, SQ, AXP, FBIN 13F-HR 5/15/2017, 11:00 AM
Q4 2016 492 $1.53B +$402M -$410M -$8.23M AMD, RACE, UAL, RDN, AMTD 13F-HR 2/14/2017, 01:26 PM
Q3 2016 471 $1.71B +$594M -$93.9M +$500M EXEL, COTY, KEY, SLCA, BIIB 13F-HR 11/14/2016, 12:00 PM
Q2 2016 441 $1.26B +$400M -$108M +$292M RF, HBAN, KEY, MPW, YELP 13F-HR 8/15/2016, 04:10 PM
Q1 2016 556 $1.6B +$999M -$48.6M +$950M JCPNQ, BIDU, JD, LLTC, CRI 13F-HR 5/16/2016, 02:59 PM
Q4 2015 389 $730M +$291M -$442M -$151M JCPNQ, BYD, ZTS, RDN, MDVN 13F-HR 2/16/2016, 02:07 PM
Q3 2015 1,225 $4.47B +$3.14B -$611M +$2.53B MRK, SHW, MYL, AMGN, PANW 13F-HR 11/16/2015, 01:21 PM
Q2 2015 1,311 $3.82B +$2.44B -$1.04B +$1.39B KO, AMBA, SUNEQ, A104PS, NFLX 13F-HR 8/14/2015, 02:57 PM
Q1 2015 47 $139M DUK, GSKXXXX, ULTA, META, GME New Holdings 6/11/2015, 02:46 PM
Q1 2015 1,344 $4.03B +$3.46B -$194M +$3.27B GM, V, MDLZ, SWKS, CSCO 13F-HR 5/15/2015, 10:58 AM
Q4 2014 25 $45.6M WFM, LLTC, AN, CMPRXXXX, LNCOQ New Holdings 6/11/2015, 02:44 PM
Q4 2014 603 $1.05B +$499M -$776M -$277M COR, BRCM, BAX, MON, MA Restatement 6/11/2015, 02:44 PM
Q3 2014 45 $116M VLO, AVGOXXXX, BG, LNKD, WPGXXXX New Holdings 6/11/2015, 02:39 PM
Q3 2014 1,259 $3.94B +$2.56B -$951M +$1.61B X, YHOO, GILD, MRK, WFC Restatement 6/11/2015, 02:39 PM
Q2 2014 7 $49.7M CTXS, CSCO, PNR, IHG, CTAS New Holdings 6/11/2015, 02:37 PM
Q2 2014 1,380 $3.75B +$2.31B -$1.26B +$1.05B WMB, COST, PCLN, MU, MRK Restatement 6/11/2015, 02:36 PM
Q1 2014 9 $16.6M P105PS, LOGI, INSYQ, IQNT, ECPG New Holdings 6/11/2015, 02:32 PM
Q1 2014 1,287 $4.15B +$3.69B -$165M +$3.53B FSLR, WFC, ILMN, ITW, MCD Restatement 6/11/2015, 02:32 PM
Q4 2013 58 $89.7M VMW, CMG, ALGN, SINA, CTCT New Holdings 6/11/2015, 02:29 PM
Q4 2013 614 $831M +$267M -$931M -$664M CTXS, FFIV, NVS, CCK, VMW Restatement 6/11/2015, 02:29 PM
Q3 2013 2 $1.14M LOGI, MNKKQ New Holdings 6/11/2015, 02:25 PM
Q3 2013 1,449 $3.65B +$1.88B -$1.5B +$382M META, MU, CTRA, AAPL, GEXXXX Restatement 6/11/2015, 02:25 PM
Q2 2013 71 $201M CLFXXXX, WMB, ALXN, MGM, ADT New Holdings 6/11/2015, 02:20 PM
Q2 2013 1,376 $3.82B LLY, TSLA, AGN, YHOO, CAG Restatement 6/11/2015, 02:19 PM