Alyeska Investment Group, L.P.

13F Portfolio Filings

  • Most recent 13F
    Q1 2025
  • Location
    chicago, IL
  • CIK
    0001453072
  • All SEC filings
Q1 2025
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

493

$25.10B
IVV, AMZN, MSFT, CSCO
13F-HR
May 15, 2025
000117266125002312

536

$26.62B
IVV, META, BA, CSCO
13F-HR
Feb 14, 2025
000117266125001146

509

$19.59B
BABA, ADBE, MSFT, UAL
13F-HR
Nov 14, 2024
000117266124005186

556

$17.49B
ADBE, AMZN, ZM, QCOM
13F-HR
Aug 14, 2024
000117266124003532

444

$16.25B
ORCL, GOOGL, ULTA, TWLO
13F-HR
May 15, 2024
000117266124002473

510

$15.09B
META, AER, TTWO, EPAM
13F-HR
Feb 14, 2024
000117266124001424

472

$14.72B
AER, TTWO, ULTA, BA
13F-HR
Nov 14, 2023
000117266123003995

528

$13.44B
NVDA, META, GOOGL, EPAM
13F-HR
Aug 14, 2023
000117266123003118

440

$11.42B
ADBE, META, TTWO, GOOGL
13F-HR
May 15, 2023
000117266123002235

402

$9.66B
META, TTWO, CRM, TWLO
13F-HR
Feb 14, 2023
000117266123001129

377

$8.58B
ADBE, TTWO, TWLO, CIEN
13F-HR
Nov 14, 2022
000117266122002521

560

$8.74B
TTWO, TEAM , ADBE, GOOGL
13F-HR
Aug 15, 2022
000117266122001967

571

$9.07B
PAYC, TTWO, MSFT, UAA
RESTATEMENT
May 17, 2022
000117266122001499

5

$212.04M
NUAN, IHS MARKIT LTD, ARNA, CONE
NEW HOLDINGS
May 19, 2022
000117266122001504

584

$8.47B
MIR, DLTR, GOOGL, ZNGA
13F-HR
Feb 14, 2022
000117266122000772

2

$108.42M
IHS MARKIT LTD, NUAN
NEW HOLDINGS
May 19, 2022
000117266122001505

5

$77.31M
KSU, ACCELERON PHARMA INC, SJR, WBT
NEW HOLDINGS
Feb 17, 2022
000117266122000993

657

$7.90B
PANW, GOOGL, TTWO, MSFT
13F-HR
Nov 15, 2021
000117266121002302

2

$84.68M
IHS MARKIT LTD, NUAN
NEW HOLDINGS
May 19, 2022
000117266122001506

1

$77.93M
KSU
NEW HOLDINGS
Feb 17, 2022
000117266122000994

688

$8.49B
PAYC, GOOGL, WDAY, EA
13F-HR
Aug 16, 2021
000117266121001767

7

$236.57M
WTW, WORK, XLNX, ALXN
NEW HOLDINGS
Aug 24, 2021
000117266121001905

704

$7.51B
EA, APPHQ, CRM, ADBE
13F-HR
May 17, 2021
000117266121001314

5

$174.99M
WTW, WORK, XLNX, MXIM
NEW HOLDINGS
Aug 24, 2021
000117266121001904

2

$65.55M
IPHI, VAR
NEW HOLDINGS
May 21, 2021
000117266121001374

6

$238.04M
QS, MP MATERIALS CORP, GCMG, OPEN
NEW HOLDINGS
Feb 24, 2021
000117266121000884

484

$6.60B
SPY, VRT, ADV, MSFT
13F-HR
Feb 16, 2021
000117266121000854

2

$34.40M
WTW, MXIM
NEW HOLDINGS
Aug 24, 2021
000117266121001903

3

$42.08M
TCO, BMY-R, FIT
NEW HOLDINGS
Feb 24, 2021
000117266121000883

443

$6.50B
SPY, MSFT, AZEK, PAYC
13F-HR
Nov 16, 2020
000117266120002194

2

$38.53M
TCO, BMY-R
NEW HOLDINGS
Feb 24, 2021
000117266121000882

3

$124.79M
TIFFANY & CO NEW, WRIGHT MED GROUP N V, DELPHI TECHNOLOGIES PLC
NEW HOLDINGS
Nov 23, 2020
000117266120002352

458

$6.43B
TEXAS INSTRS INC, GOOGL, PFPT, CRM
13F-HR
Aug 14, 2020
000117266120001754

1

$7.44M
BMY-R
NEW HOLDINGS
Feb 24, 2021
000117266121000881

2

$47.49M
WRIGHT MED GROUP N V, TIFFANY & CO NEW
NEW HOLDINGS
Nov 23, 2020
000117266120002351

2

$61.29M
ETRA, 1816375D
NEW HOLDINGS
Aug 18, 2020
000117266120001880

356

$4.91B
CSCO, AIY, GOOGL, ALS
13F-HR
May 15, 2020
000117266120001248

1

$43.95M
1816375D
NEW HOLDINGS
Aug 18, 2020
000117266120001879

14

$385.19M
CY, ZAYO, UTX, 1981718D
NEW HOLDINGS
May 22, 2020
000117266120001419

377

$7.16B
CTSH, LHX, GWW, PANW
13F-HR
Feb 14, 2020
000117266120000582

1

$1.93M
1816375D
NEW HOLDINGS
Aug 18, 2020
000117266120001878

6

$145.00M
ZAYO, CY, TMUS, ADSW
NEW HOLDINGS
May 22, 2020
000117266120001421

5

$151.50M
CELG, WCG, ONCE, PVTL
NEW HOLDINGS
Feb 20, 2020
000117266120000938

381

$6.62B
AIY, NXPI, MSFT, CRM
13F-HR
Nov 14, 2019
000117266119002294

1

$23.65M
1816375D
NEW HOLDINGS
Aug 18, 2020
000117266120001877

4

$141.51M
ZAYO, CY, TMUS, ADSW
NEW HOLDINGS
May 22, 2020
000117266120001422

4

$205.91M
CELG, WCG, ONCE, RRN
NEW HOLDINGS
Feb 20, 2020
000117266120000937

6

$37.26M
VSM, PACB, TOTAL SYS SVCS INC, CRAY
NEW HOLDINGS
Nov 18, 2019
000117266119002391

412

$7.34B
UBER, INGERSOLL-RAND PLC, HON, HRS
13F-HR
Aug 14, 2019
000117266119001729

1

$10.61M
TMUS
NEW HOLDINGS
May 22, 2020
000117266120001418

3

$179.47M
CELG, WCG, ONCE
NEW HOLDINGS
Feb 20, 2020
000117266120000936

1

$14.10M
PACB
NEW HOLDINGS
Nov 18, 2019
000117266119002390

3

$193.62M
RHT, FDC, 2370058D
NEW HOLDINGS
Aug 15, 2019
000117266119001896

360

$7.17B
AIY, CHECK POINT SOFTWARE TECH LT, 1848782D, LOGM
13F-HR
May 15, 2019
000117266119001262

1

$13.05M
TMUS
NEW HOLDINGS
May 22, 2020
000117266120001420

1

$16.45M
PACB
NEW HOLDINGS
Nov 18, 2019
000117266119002389

1

$16.45M
PACB
NEW HOLDINGS
Nov 18, 2019
000117266119002388

1

$79.04M
RHT
NEW HOLDINGS
Aug 15, 2019
000117266119001894

9

$238.43M
NWS/A, USG, NXTM, ASPEN INSURANCE HOLDINGS LTD
NEW HOLDINGS
May 21, 2019
000117266119001408

342

$6.51B
CHECK POINT SOFTWARE TECH LT, AWM, LOGM, CTSH
13F-HR
Feb 14, 2019
000117266119000660

3

$115.85M
NWS/A, ASPEN INSURANCE HOLDINGS LTD, NXTM
NEW HOLDINGS
May 21, 2019
000117266119001407

12

$543.89M
RWC, AETNA INC NEW, EGN, SHPG
NEW HOLDINGS
Feb 21, 2019
000117266119000918

385

$8.47B
CHECK POINT SOFTWARE TECH LT, EA, INGERSOLL-RAND PLC, EMR
13F-HR
Nov 14, 2018
000117266118002110

1

$94.41M
NWS/A
NEW HOLDINGS
May 21, 2019
000117266119001406

6

$377.22M
RWC, AETNA INC NEW, SHPG, ESRX
NEW HOLDINGS
Feb 21, 2019
000117266119000917

8

$275.83M
XL GROUP LTD, ANDV, UTX, EVHC
NEW HOLDINGS
Nov 19, 2018
000117266118002222

429

$10.40B
PANW, CHECK POINT SOFTWARE TECH LT, GOOGL, EMR
13F-HR
Aug 14, 2018
000116469118000112

2

$274.10M
RWC, AETNA INC NEW
NEW HOLDINGS
Feb 21, 2019
000117266119000916

3

$110.86M
XL GROUP LTD, SCHULMAN A INC, AKRXQ
NEW HOLDINGS
Nov 19, 2018
000117266118002221

12

$686.04M
NXPI, OA, MSCC, 1856613D
NEW HOLDINGS
Aug 20, 2018
000116469118000143

422

$11.01B
BROADCOM LTD, PANW, CHECK POINT SOFTWARE TECH LT, ADI
13F-HR
May 15, 2018
000116469118000074

2

$239.86M
RWC, AETNA INC NEW
NEW HOLDINGS
Feb 21, 2019
000117266119000915

1

$38.68M
AKRXQ
NEW HOLDINGS
Nov 19, 2018
000117266118002220

8

$514.68M
NXPI, 1856613D, TIME WARNER INC, TRIBUNE MEDIA CO
NEW HOLDINGS
Aug 20, 2018
000116469118000141

4

$137.58M
SNY, CJ3A, CBI, FFBC
NEW HOLDINGS
May 17, 2018
000116469118000094

405

$11.65B
AZO, IBM, LOW, AYI
13F-HR
Feb 14, 2018
000145307218000038

1

$130.71M
RWC
NEW HOLDINGS
Feb 21, 2019
000117266119000914

1

$29.74M
AKRXQ
NEW HOLDINGS
Nov 19, 2018
000117266118002218

5

$512.11M
NXPI, TIME WARNER INC, 1856613D, TRIBUNE MEDIA CO
NEW HOLDINGS
Aug 20, 2018
000116469118000139

2

$41.50M
CJ3A, FFBC
NEW HOLDINGS
May 17, 2018
000116469118000093

7

$284.90M
BCR, T, BRCD, STRAIGHT PATH COMMUNICATNS I
NEW HOLDINGS
Feb 20, 2018
000145307218000075

441

$12.39B
LOW, CRM, TEXAS INSTRS INC, PANW
13F-HR
Nov 14, 2017
000116469117000176

4

$434.44M
NXPI, TIME WARNER INC, 1856613D, TRIBUNE MEDIA CO
NEW HOLDINGS
Aug 20, 2018
000116469118000137

4

$104.62M
BCR, BRCD, 1850242D, STRAIGHT PATH COMMUNICATNS I
NEW HOLDINGS
Feb 20, 2018
000145307218000074

7

$264.64M
VCA, ALR, LVLT, WFM
NEW HOLDINGS
Nov 15, 2017
000116469117000190

431

$11.15B
CRM, PANW, GGP, DAL
13F-HR
Aug 14, 2017
000116469117000134

3

$283.11M
NXPI, TIME WARNER INC, 1856613D
NEW HOLDINGS
Aug 20, 2018
000116469118000135

1

$24.96M
BRCD
NEW HOLDINGS
Feb 20, 2018
000145307218000073

1

$36.60M
VCA
NEW HOLDINGS
Nov 15, 2017
000116469117000189

8

$488.03M
RAI, SYT, MOBILEYE N V AMSTELVEEN, VALSPAR CORP
NEW HOLDINGS
Aug 17, 2017
000116469117000155

1

$26.98M
DVMT
NEW HOLDINGS
Jul 13, 2017
000116469117000125

455

$11.45B
CRM, C, PANW, ORCL
13F-HR
May 15, 2017
000116469117000099

2

$130.89M
NXPI, TIME WARNER INC
NEW HOLDINGS
Aug 20, 2018
000116469118000133

1

$37.23M
BRCD
NEW HOLDINGS
Feb 20, 2018
000145307218000072

3

$271.36M
SYT, RADG, RAI
NEW HOLDINGS
Aug 17, 2017
000116469117000153

1

$23.42M
DVMT
NEW HOLDINGS
Jul 13, 2017
000116469117000124

11

$476.17M
WWAV, BEAV, LVLT, WR
NEW HOLDINGS
May 17, 2017
000116469117000114

445

$11.14B
CRM, CSCO, GOOGL, SYK
13F-HR
Feb 14, 2017
000145307217000025

2

$165.60M
SYT, RADG
NEW HOLDINGS
Aug 17, 2017
000116469117000151

6

$145.43M
WR, 1539941D, WWAV, IOC
NEW HOLDINGS
May 17, 2017
000116469117000113

9

$416.70M
LNKD, STJ, IM, MEDIA GEN INC NEW
NEW HOLDINGS
Feb 17, 2017
000145307217000031

428

$10.08B
AAPL, GOOG, PANW, CTSH
13F-HR
Nov 14, 2016
000116469116000315

2

$129.58M
RADG, SYT
NEW HOLDINGS
Aug 17, 2017
000116469117000149

2

$79.42M
WR, APOL
NEW HOLDINGS
May 17, 2017
000116469117000112

6

$352.10M
LNKD, STJ, IM, MEDIA GEN INC NEW
NEW HOLDINGS
Feb 17, 2017
000145307217000030

10

$295.28M
2258717D, VA, AXLL, FCS
NEW HOLDINGS
Nov 18, 2016
000116469116000327

401

$9.79B
WFM, PANW, MHK, ALXN
13F-HR
Aug 15, 2016
000116469116000288

1

$65.20M
RADG
NEW HOLDINGS
Aug 17, 2017
000116469117000147

2

$104.75M
IM, MEDIA GEN INC NEW
NEW HOLDINGS
Feb 17, 2017
000145307217000029

2

$172.06M
2258717D, FCS
NEW HOLDINGS
Nov 18, 2016
000116469116000326

5

$379.22M
TIME WARNER CABLE INC, BXLT, HUM, CVC
NEW HOLDINGS
Aug 17, 2016
000116469116000299

370

$10.16B
DVN, CSCO, CELG, SSK
13F-HR
May 16, 2016
000116469116000263

1

$15.68M
RADG
NEW HOLDINGS
Aug 17, 2017
000116469117000145

2

$97.75M
2258717D, FCS
NEW HOLDINGS
Nov 18, 2016
000116469116000329

3

$182.37M
CVC, TIME WARNER CABLE INC, HUM
NEW HOLDINGS
Aug 17, 2016
000116469116000298

9

$339.15M
ARG, GMCR, SSK, CAM
NEW HOLDINGS
May 19, 2016
000116469116000273

354

$8.78B
MHK, SYF, HPE, ISRG
13F-HR
Feb 16, 2016
000116469116000220

2

$133.03M
TIME WARNER CABLE INC, CVC
NEW HOLDINGS
Aug 17, 2016
000116469116000297

3

$53.59M
CAM, SOLERA HOLDINGS INC, VSLR
NEW HOLDINGS
May 19, 2016
000116469116000272

11

$343.23M
SIAL, PCP, 1541931D, BDMA
NEW HOLDINGS
Feb 18, 2016
000116469116000243

443

$7.99B
WDC, GE, NORTHSTAR RLTY FIN CORP, CTSH
13F-HR
Nov 16, 2015
000116469115000164

1

$44.54M
TIME WARNER CABLE INC
NEW HOLDINGS
Aug 17, 2016
000116469116000296

6

$210.27M
SIAL, FREESCALE SEMICONDUCTOR LTD, BHI, BDMA
NEW HOLDINGS
Feb 18, 2016
000116469116000242

9

$191.02M
OCR, HOS, HCBK, HME
NEW HOLDINGS
Nov 19, 2015
000116469115000182

467

$8.39B
IBB, WMT, GE, WFC
RESTATEMENT
Aug 14, 2015
000116469115000132

3

$86.26M
SIAL, BHI, FREESCALE SEMICONDUCTOR LTD
NEW HOLDINGS
Feb 18, 2016
000116469116000241

3

$73.47M
HOS, HCBK, ORBITZ WORLDWIDE INC
NEW HOLDINGS
Nov 19, 2015
000116469115000181

6

$224.12M
PCYC, 1448062D, DRC, XLS
NEW HOLDINGS
Aug 17, 2015
000116469115000142

477

$6.83B
XLU, SPY, XLE, NORTHSTAR RLTY FIN CORP
13F-HR
May 15, 2015
000116469115000090

2

$45.53M
SIAL, BHI
NEW HOLDINGS
Feb 18, 2016
000116469116000240

1

$20.24M
HCBK
NEW HOLDINGS
Nov 19, 2015
000116469115000180

2

$71.64M
1448062D, DRC
NEW HOLDINGS
Aug 17, 2015
000116469115000141

5

$136.89M
1284849D, TRW AUTOMOTIVE HLDGS CORP, CFN, 1895042D
NEW HOLDINGS
May 21, 2015
000116469115000102

463

$5.60B
HDS, COVIDIEN PLC, BUNGE LIMITED, APD
13F-HR
Feb 17, 2015
000116469115000038

1

$25.25M
HCBK
NEW HOLDINGS
Nov 19, 2015
000116469115000179

2

$69.36M
1448062D, DRC
NEW HOLDINGS
Aug 17, 2015
000116469115000140

2

$47.60M
TRW AUTOMOTIVE HLDGS CORP, 1895042D
NEW HOLDINGS
May 21, 2015
000116469115000101

8

$338.75M
COVIDIEN PLC, CNQR, TRIQUINT SEMICONDUCTOR INC, TIME WARNER CABLE INC
NEW HOLDINGS
Feb 18, 2015
000116469115000056

365

$4.38B
SPY, SHPG, BHI, WEATHERFORD INTL PLC
13F-HR
Nov 14, 2014
000116469114000207

1

$26.74M
HCBK
NEW HOLDINGS
Nov 19, 2015
000116469115000178

1

$16.82M
1448062D
NEW HOLDINGS
Aug 17, 2015
000116469115000139

1

$10.24M
1895042D
NEW HOLDINGS
May 21, 2015
000116469115000100

3

$85.61M
COVIDIEN PLC, TIME WARNER CABLE INC, TRIQUINT SEMICONDUCTOR INC
NEW HOLDINGS
Feb 18, 2015
000116469115000055

7

$89.94M
QPH, SUSS, 1284849D, MCRS
NEW HOLDINGS
Nov 20, 2014
000116469114000221

380

$4.27B
SPY, BAX, AMSG, JOY
13F-HR
Aug 14, 2014
000116469114000169

1

$18.42M
HCBK
NEW HOLDINGS
Nov 19, 2015
000116469115000177

1

$9.12M
1895042D
NEW HOLDINGS
May 21, 2015
000116469115000099

1

$15.23M
TIME WARNER CABLE INC
NEW HOLDINGS
Feb 18, 2015
000116469115000054

4

$43.16M
1858968D, EPL, 3GA, TOWER GROUP INTL LTD
NEW HOLDINGS
Aug 25, 2014
000116469114000183

307

$3.56B
RL, BAX, BLMN, AAPL
13F-HR
May 15, 2014
000116469114000114

1

$12.26M
HCBK
NEW HOLDINGS
Nov 19, 2015
000116469115000176

5

$16.67M
CSE, 1431816D, BPO, JNY
NEW HOLDINGS
May 15, 2014
000116469114000116

288

$2.50B
1023767D, RRC, AER, ROK
13F-HR
Feb 14, 2014
000116469114000031

1

$11.00K
HCBK
NEW HOLDINGS
Nov 19, 2015
000116469115000175

1

$4.16M
CSE
NEW HOLDINGS
May 15, 2014
000116469114000115

7

$53.41M
ELN, 2071296D, MOLXA, 1255459D
NEW HOLDINGS
Feb 20, 2014
000116469114000073

2

$15.68M
2071296D, 1255459D
NEW HOLDINGS
Feb 20, 2014
000116469114000072

1

$5.80M
2071296D
NEW HOLDINGS
Feb 20, 2014
000116469114000071