Woodline Partners LP
13F filer · CIK 1784547 · San Francisco, CA
Summary
Woodline Partners LP reported $32.35B across 1,011 positions in its 13F for 2026 Q2, filed Aug 14, 2026. The largest holdings are NVDA (3.3%), AAPL (2.9%), MSFT (1.9%). Versus 2026 Q1, leaving options aside, it opened 170 new positions, added to 543, trimmed 214 and sold out of 181.
Reported value$32.35B
Positions1,011
Report period2026 Q2
FiledAug 14, 2026
New positions170
Added543
Trimmed214
Sold out181
Top 25 holdings
By reported value, options listed separately · change vs 2026 Q1
Weight 3.3%Value $1.08BPrice $227.21Shares 5.40M +12.16%Since Jun 30 +13.55%
Weight 2.9%Value $927.50MPrice $329.40Shares 3.21M +11.44%Since Jun 30 +13.84%
Weight 1.9%Value $606.77MPrice $508.96Shares 1.63M +15.21%Since Jun 30 +36.44%
Weight 1.8%Value $588.44MPrice $246.67Shares 2.47M -8.58%Since Jun 30 +3.50%
Weight 1.4%Value $463.31MPrice $738.79Shares 823K +108.14%Since Jun 30 +31.16%
Weight 1.4%Value $444.48MPrice $355.10Shares 1.18M +29.93%Since Jun 30 -6.00%
Weight 1.2%Value $396.40MPrice $340.92Shares 1.11M -22.56%Since Jun 30 -4.60%
Weight 1.2%Value $375.10MPrice $204.48Shares 2.00M -20.10%Since Jun 30 +9.18%
Weight 1.1%Value $362.40MPrice $337.32Shares 1.03M +11.07%Since Jun 30 -4.53%
Weight 1.0%Value $317.08MPrice $1065Shares 275K -15.68%Since Jun 30 -7.73%
Weight 0.9%Value $293.69MPrice $1185Shares 245K +6.24%Since Jun 30 -1.23%
Weight 0.8%Value $270.19MPrice $352.84Shares 642K +18.65%Since Jun 30 -16.11%
Weight 0.8%Value $266.80MPrice $267.57Shares 1.05M -31.16%Since Jun 30 +5.35%
Weight 0.8%Value $255.97MPrice $45.98Shares 6.05M +24.98%Since Jun 30 +8.60%
Weight 0.7%Value $241.67MPrice $78.78Shares 2.65M +641.01%Since Jun 30 -13.62%
Weight 0.7%Value $228.33MPrice $263.29Shares 907K +162.11%Since Jun 30 +4.63%
Weight 0.7%Value $215.31MPrice $193.90Shares 1.19M +290.35%Since Jun 30 +7.18%
Weight 0.6%Value $204.87MPrice $210.52Shares 938K +226.40%Since Jun 30 -3.63%
Weight 0.6%Value $193.80MPrice $230.23Shares 908K -16.00%Since Jun 30 +7.88%
Weight 0.6%Value $191.49MPrice $334.98Shares 585K +10.56%Since Jun 30 +2.34%
Weight 0.6%Value $189.30MPrice $973.49Shares 221K +1479.77%Since Jun 30 +13.45%
Weight 0.6%Value $188.88MPrice $607.57Shares 325K -7.57%Since Jun 30 +4.59%
Weight 0.6%Value $187.59MPrice $502.35Shares 375K +9.86%Since Jun 30 +0.39%
Weight 0.5%Value $173.35MPrice $140.97Shares 1.41MSince Jun 30 +15.00%
Weight 0.5%Value $167.67MPrice $323.86Shares 387K +155.10%Since Jun 30 -25.26%
| Stock | Weight | Value | Since Jun 30 | Shares change | Action |
|---|---|---|---|---|---|
| 3.3% | $1.08B | +13.55% | +12.16% | Add | |
| 2.9% | $927.50M | +13.84% | +11.44% | Add | |
| 1.9% | $606.77M | +36.44% | +15.21% | Add | |
| 1.8% | $588.44M | +3.50% | -8.58% | Trim | |
| 1.4% | $463.31M | +31.16% | +108.14% | Add | |
| 1.4% | $444.48M | -6.00% | +29.93% | Add | |
| 1.2% | $396.40M | -4.60% | -22.56% | Trim | |
| 1.2% | $375.10M | +9.18% | -20.10% | Trim | |
| 1.1% | $362.40M | -4.53% | +11.07% | Add | |
| 1.0% | $317.08M | -7.73% | -15.68% | Trim | |
| 0.9% | $293.69M | -1.23% | +6.24% | Add | |
| 0.8% | $270.19M | -16.11% | +18.65% | Add | |
| 0.8% | $266.80M | +5.35% | -31.16% | Trim | |
| 0.8% | $255.97M | +8.60% | +24.98% | Add | |
| 0.7% | $241.67M | -13.62% | +641.01% | Add | |
| 0.7% | $228.33M | +4.63% | +162.11% | Add | |
| 0.7% | $215.31M | +7.18% | +290.35% | Add | |
| 0.6% | $204.87M | -3.63% | +226.40% | Add | |
| 0.6% | $193.80M | +7.88% | -16.00% | Trim | |
| 0.6% | $191.49M | +2.34% | +10.56% | Add | |
| 0.6% | $189.30M | +13.45% | +1479.77% | Add | |
| 0.6% | $188.88M | +4.59% | -7.57% | Trim | |
| 0.6% | $187.59M | +0.39% | +9.86% | Add | |
| 0.5% | $173.35M | +15.00% | — | Hold | |
| 0.5% | $167.67M | -25.26% | +155.10% | Add |
Weight is the share of the reported 13F value, including options at notional value. “Since Jun 30” compares the latest close with the quarter-end price implied by the filing (value ÷ shares).
Largest buys in 2026 Q2
Largest sells in 2026 Q2
Source: SEC Form 13F, values as reported by the filer. Filings lag up to 45 days after quarter end and cover only certain long positions. Research only, not investment advice.