Follow-The-Filings

Featured 13F manager

Paulson & Co. Inc. John Paulson

Jersey City, NJ 20 processed 13Fs on this site · 2021 Q3–2026 Q2

  • $2.6B
  • 8 Positions
  • 2026 Q2
  • −17.2% QoQ
  • Top 5 92.3%

John Paulson files Paulson & Co. Inc. as a Form 13F. The latest book is 2026 Q2 at $2.6B, down 17.2% QoQ, led by Madrigal Pharmaceuticals, Perpetua Resources, and Acadian Asset Management.

Portfolio

2026 Q2 · filed 8/14/2026 · 8 long

top 5 92.3% · top 10 100.0%

AUM over time

2026 Q2 $2.6B −17.2% QoQ
2021 Q3 · $3.5B 2021 Q3 · $3.5B
Q3 2021
2021 Q4 · $3.2B · −7.6% QoQ 2021 Q4 · $3.2B · −7.6% QoQ
Q4
2022 Q1 · $3.2B · +0.2% QoQ 2022 Q1 · $3.2B · +0.2% QoQ
Q1 2022
2022 Q2 · $2B · −37.6% QoQ 2022 Q2 · $2B · −37.6% QoQ
Q2
2022 Q3 · $1.4B · −32.6% QoQ 2022 Q3 · $1.4B · −32.6% QoQ
Q3
2022 Q4 · $1.1B · −18.7% QoQ 2022 Q4 · $1.1B · −18.7% QoQ
Q4
2023 Q1 · $1.2B · +8.3% QoQ 2023 Q1 · $1.2B · +8.3% QoQ
Q1 2023
2023 Q2 · $1B · −14.9% QoQ 2023 Q2 · $1B · −14.9% QoQ
Q2
2023 Q3 · $1.1B · +9.2% QoQ 2023 Q3 · $1.1B · +9.2% QoQ
Q3
2023 Q4 · $1.1B · −0.9% QoQ 2023 Q4 · $1.1B · −0.9% QoQ
Q4
2024 Q1 · $1.4B · +30.7% QoQ 2024 Q1 · $1.4B · +30.7% QoQ
Q1 2024
2024 Q2 · $1.4B · −6.6% QoQ 2024 Q2 · $1.4B · −6.6% QoQ
Q2
2024 Q3 · $1.4B · +5.3% QoQ 2024 Q3 · $1.4B · +5.3% QoQ
Q3
2024 Q4 · $1.7B · +15.9% QoQ 2024 Q4 · $1.7B · +15.9% QoQ
Q4
2025 Q1 · $1.7B · +5.8% QoQ 2025 Q1 · $1.7B · +5.8% QoQ
Q1 2025
2025 Q2 · $2B · +15.1% QoQ 2025 Q2 · $2B · +15.1% QoQ
Q2
2025 Q3 · $3B · +47.6% QoQ 2025 Q3 · $3B · +47.6% QoQ
Q3
2025 Q4 · $3.3B · +9.9% QoQ 2025 Q4 · $3.3B · +9.9% QoQ
Q4
2026 Q1 · $3.1B · −4.6% QoQ 2026 Q1 · $3.1B · −4.6% QoQ
Q1 2026
2026 Q2 · $2.6B · −17.2% QoQ 2026 Q2 · $2.6B · −17.2% QoQ
Q2

Book

2023 Q1 2022 Q4 · filed 15 May · long equity

BHC - Bausch Health Cos 17.80% Hold 26,439,035 $8.10 $214M
AAMI - Brightsphere Invt Group 17.55% Hold 8,950,121 $23.58 $211M
NG - Novagold Res 11.49% Hold 22,226,300 $6.22 $138M
PPTA - Perpetua Resources 9.16% Hold 24,771,542 $4.45 $110M
Horizon Therapeutics Pub L 9.07% Reduce −33.3% 1,000,000 $109.14 $109M −500,000 −$62M
AU - Anglogold Ashanti 7.71% Hold 3,833,492 $24.19 $93M
Shaw Communications · CL B 4.10% New 1,650,000 $29.92 $49M +1,650,000 +$49M
THRY - Thryv 3.83% Hold 2,000,000 $23.06 $46M
AEM - Agnico Eagle Mines 3.32% Hold 783,561 $50.97 $40M
THM — 3.09% Hold 61,930,724 $0.5993 $37M
Yamana Gold 2.82% New 5,801,500 $5.85 $34M +5,801,500 +$34M
Ssr Mining In 2.51% Hold 2,000,000 $15.12 $30M
SA - Seabridge Gold 2.23% Hold 2,070,000 $12.95 $27M
BALL - Ballys 1.45% Hold 891,852 $19.52 $17M
EQX - Equinox Gold 1.07% Hold 2,500,000 $5.15 $13M
Newmark Group · CL A 0.76% Hold 1,284,625 $7.08 $9M
Trilogy Metals 0.63% Hold 14,326,996 $0.5330 $8M
Tellurian 0.55% Hold 5,340,663 $1.23 $7M
BABA - Alibaba Group 0.42% Hold 50,000 $102.18 $5M
Iamgold 0.42% Hold 1,850,000 $2.71 $5M

Exits / last held

not current holdings · last reported size, unchanged · gone vs 2022 Q4

Stock % of portfolio Recent activity Shares Reported price* Value Share change $ change
KWEB - Kraneshares Tr 6.34% Exit 0 $30.20 $70M −2,332,064 −$70M
Holding · CL A 0.73% Exit 0 $2.89 $8M −2,809,718 −$8M
Poshmark · CL A 0.47% Exit 0 $17.88 $5M −293,976 −$5M
BIDU - Baidu 0.21% Exit 0 $114.38 $2M −20,327 −$2M

* Reported price is value ÷ shares from the 13F as of period end — not a live market quote. Weight % is each long-equity position ÷ full 13F AUM, so rows may not sum to 100% when the filing includes options or other non-equity (excluded from this table). Share change and $ change are vs 2022 Q4. Click column headers to sort · click New / Hold / Add / Reduce to promote that move type to the top. Exit opens the last-held block below.

Filings history

20 periods · normalized AUM · open a period for holdings

Period Holdings AUM QoQ Form Filed Filing ID
2026 Q2 8 $2.6B −17.2% 13F-HR 8/14/2026 000101359426000913
2026 Q1 9 $3.1B −4.6% 13F-HR 5/15/2026 000101359426000611
2025 Q4 9 $3.3B +9.9% 13F-HR 2/17/2026 000101359426000257
2025 Q3 10 $3B +47.6% 13F-HR 11/14/2025 000101359425001436
2025 Q2 15 $2B +15.1% 13F-HR 8/14/2025 000101359425001044
2025 Q1 14 $1.7B +5.8% 13F-HR 5/15/2025 000101359425000679
2024 Q4 13 $1.7B +15.9% 13F-HR 2/14/2025 000101359425000309
2024 Q3 15 $1.4B +5.3% 13F-HR 11/14/2024 000101359424000980
2024 Q2 16 $1.4B −6.6% 13F-HR 8/14/2024 000101359424000667
2024 Q1 18 $1.4B +30.7% 13F-HR 5/15/2024 000101359424000487
2023 Q4 17 $1.1B −0.9% 13F-HR 2/14/2024 000101359424000197
2023 Q3 18 $1.1B +9.2% 13F-HR 11/14/2023 000101359423000930
2023 Q2 21 $1B −14.9% 13F-HR 8/14/2023 000101359423000696
2023 Q1 20 $1.2B +8.3% 13F-HR 5/15/2023 000101359423000494
2022 Q4 22 $1.1B −18.7% 13F-HR 2/14/2023 000101359423000262
2022 Q3 28 $1.4B −32.6% 13F-HR 11/14/2022 000156761922020074
2022 Q2 32 $2B −37.6% 13F-HR 8/15/2022 000156761922016238
2022 Q1 33 $3.2B +0.2% 13F-HR 5/16/2022 000156761922011018
2021 Q4 36 $3.2B −7.6% 13F-HR 2/14/2022 000156761922004409
2021 Q3 38 $3.5B 13F-HR 11/15/2021 000156761921020479

About

Paulson & Co. Inc.

20 processed 13Fs on this site · 2021 Q3–2026 Q2

Entity
Paulson & Co. Inc.
Notable person
John Paulson
Location
Jersey City, NJ
All SEC filings
View on sec.gov