Holdings Channel
Size ($ in 1000's)
At 12/31/2023: $798,118
At 09/30/2023: $1,631,072

Combined Holding Report Includes:
Point72 Europe London LLP
Point72 Asset Management L.P.

Point72 Europe London LLP holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Point72 Europe London LLP 13F filings. Link to 13F filings: SEC filings

Point72 Europe London LLP Top Holdings
As of  12/31/2023, below is a summary of the Point72 Europe London LLP top holdings by largest position size, as per the latest 13f filing made by Point72 Europe London LLP. In the Point72 Europe London LLP-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Point72 Europe London LLP in that top holding, then the share count change between reporting periods, and finally the Point72 Europe London LLP top holding position size for that row.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
INTEGRA LIFESCIENCES HLDGS C 719,663 +255,201 $31,341
     IART719,663+255,201$31,341
BANK AMERICA CORP 808,461 +150,635 $27,221
     BAC808,461+150,635$27,221
MEDTRONIC PLC 309,484 +44,642 $25,495
     MDT309,484+44,642$25,495
DISCOVER FINL SVCS 215,964 +52,733 $24,274
     DFS215,964+52,733$24,274
QIAGEN NV 518,641 +50,277 $22,525
     QGEN518,641+50,277$22,525
PROCEPT BIOROBOTICS CORP 530,071 +123,800 $22,215
     PRCT530,071+123,800$22,215
INARI MED INC 332,202 +158,997 $21,567
     NARI332,202+158,997$21,567
COCA COLA EUROPACIFIC PARTNE 320,061 +171,297 $21,361
     CCEP320,061+171,297$21,361
KKR & CO INC 250,957 +158,657 $20,792
     KKR250,957+158,657$20,792
BECTON DICKINSON & CO 79,987 +79,987 $19,503
     BDX79,987+79,987$19,503
BAXTER INTL INC 503,731 +100,631 $19,474
     BAX503,731+100,631$19,474
OPTION CARE HEALTH INC 575,005 -67,146 $19,372
     OPCH575,005-67,146$19,372
MARAVAI LIFESCIENCES HLDGS I 2,604,487 +2,604,487 $17,059
     MRVI2,604,487+2,604,487$17,059
SHOCKWAVE MED INC 75,690 +75,690 $14,423
     SWAV75,690+75,690$14,423
BIO RAD LABS INC 39,449 +39,449 $12,738
     BIO39,449+39,449$12,738
SCHWAB CHARLES CORP 176,640 +84,240 $12,153
     SCHW176,640+84,240$12,153
WELLS FARGO CO NEW 242,114 +242,114 $11,917
     WFC242,114+242,114$11,917
CHEVRON CORP NEW 76,432 +76,432 $11,401
     CVX76,432+76,432$11,401
COREBRIDGE FINL INC 515,767 +515,767 $11,172
     CRBG515,767+515,767$11,172
AMERICAN INTL GROUP INC 159,430 +46,423 $10,801
     AIG159,430+46,423$10,801
ASML HOLDING N V 13,600 +13,600 $10,294
     ASML13,600+13,600$10,294
BRUKER CORP 134,000 +134,000 $9,846
     BRKR134,000+134,000$9,846
MOODYS CORP 25,095 +8,995 $9,801
     MCO25,095+8,995$9,801
MORGAN STANLEY 103,360 +103,360 $9,638
     MS103,360+103,360$9,638
MCKESSON CORP 20,723 -5,102 $9,594
     MCK20,723-5,102$9,594
STATE STR CORP 119,116 +40,216 $9,227
     STT119,116+40,216$9,227
ARAMARK 325,602 +220,202 $9,149
     ARMK325,602+220,202$9,149
INTERCONTINENTAL EXCHANGE IN (ICE) 66,300 +6,500 $8,515
     ICE66,300+6,500$8,515
FISERV INC 62,900 +62,900 $8,356
     FI62,900+62,900$8,356
ANALOG DEVICES INC 40,810 -9,790 $8,103
     ADI40,810-9,790$8,103
TRUIST FINL CORP 218,820 +218,820 $8,079
     TFC218,820+218,820$8,079
BOSTON SCIENTIFIC CORP 139,667 -166,126 $8,074
     BSX139,667-166,126$8,074
FIFTH THIRD BANCORP 223,816 -21,364 $7,719
     FITB223,816-21,364$7,719
PNC FINL SVCS GROUP INC 49,400 +9,300 $7,650
     PNC49,400+9,300$7,650
MASTERCARD INCORPORATED 17,314 +1,214 $7,385
     MA17,314+1,214$7,385
LPL FINL HLDGS INC 31,332 +10,756 $7,132
     LPLA31,332+10,756$7,132
BLACKROCK INC 8,740 +240 $7,095
     BLK8,740+240$7,095
BILL HOLDINGS INC 86,633 +86,633 $7,068
     BILL86,633+86,633$7,068
TRAVELERS COMPANIES INC 37,008 -34,492 $7,050
     TRV37,008-34,492$7,050
EXXON MOBIL CORP 69,888 -37,781 $6,987
     XOM69,888-37,781$6,987
FIRST HORIZON CORPORATION 479,187 +479,187 $6,785
     FHN479,187+479,187$6,785
METLIFE INC 99,771 -13,629 $6,598
     MET99,771-13,629$6,598
WARBY PARKER INC 450,429 +163,437 $6,351
     WRBY450,429+163,437$6,351
REINSURANCE GRP OF AMERICA I 35,970 +8,170 $5,819
     RGA35,970+8,170$5,819
COOPER COS INC 14,613 +14,613 $5,530
     COO14,613+14,613$5,530
AMERICAN EXPRESS CO 28,661 +28,661 $5,369
     AXP28,661+28,661$5,369
ARES MANAGEMENT CORPORATION 40,800 +10,000 $4,852
     ARES40,800+10,000$4,852
NVIDIA CORPORATION 9,565 -16,254 $4,737
     NVDA9,565-16,254$4,737
ADVANCED MICRO DEVICES INC 31,767 +31,767 $4,683
     AMD31,767+31,767$4,683
AEGON LTD 714,949 +714,949 $4,118
     AEG714,949+714,949$4,118

See Full List: All Stocks Held By Point72 Europe London LLP
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Point72 Europe London LLP

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