D.E. Shaw & Co

D.E. Shaw & Co Portfolio holdings

AUM $100B
1-Year Return 23.04%
 

D. E. Shaw & Co., L.P., founded in 1988 by David E. Shaw, a former Columbia University computer science professor, is a New York City-based global investment management firm renowned for pioneering quantitative investing, managing over $70 billion in assets as of late 2024. Starting with $28 million from Paloma Partners and private investors, the firm employs sophisticated mathematical models and proprietary algorithms—initially developed by a team of scientists and programmers—to exploit market anomalies across public and private markets, including equities, fixed income, and alternatives. Headquartered above a Greenwich Village bookstore in its early days, it now boasts over 2,500 employees across offices in North America, Europe, and Asia, led by a seven-member Executive Committee since Shaw stepped back in 2001 to focus on D. E. Shaw Research. Despite setbacks like the 1998 Russia debt crisis and the 2008 financial downturn, the firm has maintained a reputation for analytical rigor, risk management, and innovation, balancing its computational roots with discretionary strategies.

This Quarter Return
+6.17%
1 Year Return
+23.04%
3 Year Return
+72.12%
5 Year Return
+130.88%
10 Year Return
+299.18%
AUM
$81.5B
AUM Growth
-$1.52B
Cap. Flow
-$14B
Cap. Flow %
-17.12%
Top 10 Hldgs %
12.26%
Holding
3,377
New
588
Increased
867
Reduced
1,288
Closed
382

Top Buys

1
TSLA icon
Tesla
TSLA
+$765M
2
BIDU icon
Baidu
BIDU
+$627M
3
KO icon
Coca-Cola
KO
+$444M
4
NVDA icon
NVIDIA
NVDA
+$380M
5
TME icon
Tencent Music
TME
+$344M

Sector Composition

1 Technology 20.29%
2 Consumer Discretionary 13.32%
3 Healthcare 10.88%
4 Communication Services 10.66%
5 Financials 8.15%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
FSTR icon
1976
Foster
FSTR
$290M
$1.14M ﹤0.01%
63,935
-275
-0.4% -$4.92K
OMCL icon
1977
Omnicell
OMCL
$1.51B
$1.14M ﹤0.01%
8,806
+6,898
+362% +$896K
TBPH icon
1978
Theravance Biopharma
TBPH
$724M
$1.14M ﹤0.01%
56,014
+20,954
+60% +$428K
ECOM
1979
DELISTED
CHANNELADVISOR CORPORATION
ECOM
$1.14M ﹤0.01%
48,433
-51,191
-51% -$1.21M
IPOF.WS
1980
DELISTED
Social Capital Hedosophia Holdings Corp. VI Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50
IPOF.WS
$1.14M ﹤0.01%
433,098
+126,848
+41% +$334K
MFA
1981
MFA Financial
MFA
$1.04B
$1.13M ﹤0.01%
69,471
-34,987
-33% -$570K
CAC icon
1982
Camden National
CAC
$680M
$1.13M ﹤0.01%
23,568
+11,291
+92% +$540K
BZUN
1983
Baozun
BZUN
$262M
$1.13M ﹤0.01%
29,506
-54,876
-65% -$2.09M
STRL icon
1984
Sterling Infrastructure
STRL
$9.52B
$1.12M ﹤0.01%
48,422
-32,297
-40% -$749K
LXU icon
1985
LSB Industries
LXU
$581M
$1.12M ﹤0.01%
282,784
+242,147
+596% +$956K
HLNE icon
1986
Hamilton Lane
HLNE
$6.58B
$1.12M ﹤0.01%
12,594
-11,727
-48% -$1.04M
AQUA
1987
DELISTED
Evoqua Water Technologies Corp. Common Stock
AQUA
$1.11M ﹤0.01%
42,366
-72,106
-63% -$1.9M
KELYA icon
1988
Kelly Services Class A
KELYA
$480M
$1.11M ﹤0.01%
49,865
+29,772
+148% +$663K
PICC.U
1989
DELISTED
Pivotal Investment Corporation III Units, each consisting of one share of Class A common stock and one-fifth of one redeemable warrant
PICC.U
$1.11M ﹤0.01%
+110,798
New +$1.11M
SCTL
1990
DELISTED
Societal CDMO, Inc. Common Stock
SCTL
$1.11M ﹤0.01%
396,584
-364,480
-48% -$1.02M
SCVX
1991
DELISTED
SCVX Corp.
SCVX
$1.11M ﹤0.01%
+112,187
New +$1.11M
OHPAU
1992
DELISTED
Orion Acquisition Corp. Unit
OHPAU
$1.1M ﹤0.01%
+110,558
New +$1.1M
UMBF icon
1993
UMB Financial
UMBF
$9.16B
$1.1M ﹤0.01%
11,930
-13,655
-53% -$1.26M
ATR icon
1994
AptarGroup
ATR
$8.98B
$1.1M ﹤0.01%
7,757
-19,513
-72% -$2.76M
NVTS icon
1995
Navitas Semiconductor
NVTS
$1.34B
$1.09M ﹤0.01%
+109,249
New +$1.09M
QCRH icon
1996
QCR Holdings
QCRH
$1.31B
$1.09M ﹤0.01%
23,104
+6,224
+37% +$294K
GLS
1997
DELISTED
Gelesis Holdings, Inc.
GLS
$1.09M ﹤0.01%
+111,652
New +$1.09M
BXP icon
1998
Boston Properties
BXP
$12.1B
$1.09M ﹤0.01%
10,735
-244,289
-96% -$24.7M
CAMT icon
1999
Camtek
CAMT
$3.91B
$1.09M ﹤0.01%
36,314
+20,780
+134% +$621K
VSEC icon
2000
VSE Corp
VSEC
$3.44B
$1.09M ﹤0.01%
+27,496
New +$1.09M