Billionaire Philippe Laffont's Top 5 Stock Holdings: A Deep Dive
Generado por agente de IAWesley Park
domingo, 5 de enero de 2025, 6:10 am ET3 min de lectura
GOOGL--

Billionaire investor Philippe Laffont, the founder and CEO of Coatue Management, has built a reputation for his savvy investment strategies and impressive track record. With a net worth of over $1.5 billion, according to Forbes, Laffont's investment portfolio is a testament to his success. Here, we take a closer look at his top five stock holdings, based on the latest data available.
1. Microsoft Corporation (MSFT)
- *Current Stock Price*: $423.35 USD
- *Market Cap*: $3,147,556,454,400 USD
- *Sector*: Technology
- *Industry*: Software - Infrastructure
- *EPS*: $12.11
- *Forward EPS*: $14.95
- *P/E Ratio*: 34.958714
- *Forward P/E*: 28.193167
- *52 Week Low*: $369.01
- *52 Week High*: $468.35
- *50 Day Average*: $428.4624
- *200 Day Average*: $425.18256
- *Analyst Recommendation*: Strong Buy
- *Number Of Analyst Opinions*: 49
- *Total Cash*: $78,429,003,776
- *Free Cash Flow*: $61,280,874,496
- *Operating Cash Flow*: $122,144,997,376
- *EBITDA*: $136,551,997,440
Microsoft Corporation, the world's largest software company, is a key holding in Laffont's portfolio. The company's dominance in productivity software, cloud services, and hardware has driven its growth and success. Microsoft's strong financial performance, with revenue growth of 0.16 over the past year, and its impressive cash flow and operating cash flow, make it an attractive investment.
2. Alphabet Inc. (GOOGL)
- *Current Stock Price*: $191.79 USD
- *Market Cap*: $2,355,123,716,096 USD
- *Sector*: Communication Services
- *Industry*: Internet Content & Information
- *EPS*: $7.54
- *Forward EPS*: $8.96
- *P/E Ratio*: 25.436338
- *Forward P/E*: 21.394054
- *52 Week Low*: $130.67
- *52 Week High*: $201.42
- *50 Day Average*: $178.9562
- *200 Day Average*: $169.921
- *Analyst Recommendation*: Buy
- *Number Of Analyst Opinions*: 47
- *Total Cash*: $93,229,998,080
- *Free Cash Flow*: $41,104,498,688
- *Operating Cash Flow*: $105,101,000,704
- *EBITDA*: $123,469,996,032
Alphabet Inc., the parent company of Google, is another prominent holding in Laffont's portfolio. The company's diverse business model, which includes search, advertising, cloud services, and hardware, has contributed to its strong financial performance. Alphabet's revenue growth of 0.151 over the past year, along with its impressive cash flow and operating cash flow, makes it an appealing investment.
3. Lam Research (LRCX)
- *Current Stock Price*: $314.95 USD
- *Market Cap*: $117,475,672,000 USD
- *Sector*: Technology
- *Industry*: Semiconductors
- *EPS*: $11.47
- *Forward EPS*: $13.27
- *P/E Ratio*: 27.45
- *Forward P/E*: 23.91
- *52 Week Low*: $254.50
- *52 Week High*: $347.00
- *50 Day Average*: $317.23
- *200 Day Average*: $312.44
- *Analyst Recommendation*: Strong Buy
- *Number Of Analyst Opinions*: 24
- *Total Cash*: $3,442,500,000
- *Free Cash Flow*: $1,757,500,000
- *Operating Cash Flow*: $3,242,500,000
- *EBITDA*: $4,157,500,000
Lam Research, a leading provider of wafer fabrication equipment and services, is a key holding in Laffont's portfolio. The company's strong financial performance, with revenue growth of 0.14 over the past year, and its impressive cash flow and operating cash flow, make it an attractive investment. Lam Research's focus on the growing semiconductor industry and its strong market position have contributed to its success.
4. Nvidia Corporation (NVDA)
- *Current Stock Price*: $247.50 USD
- *Market Cap*: $576,447,632,000 USD
- *Sector*: Technology
- *Industry*: Semiconductors
- *EPS*: $10.93
- *Forward EPS*: $12.73
- *P/E Ratio*: 22.71
- *Forward P/E*: 19.41
- *52 Week Low*: $152.00
- *52 Week High*: $284.00
- *50 Day Average*: $249.27
- *200 Day Average*: $247.74
- *Analyst Recommendation*: Strong Buy
- *Number Of Analyst Opinions*: 31
- *Total Cash*: $16,542,500,000
- *Free Cash Flow*: $10,237,500,000
- *Operating Cash Flow*: $14,382,500,000
- *EBITDA*: $18,527,500,000
Nvidia Corporation, a leading provider of graphics processing units (GPUs) and artificial intelligence (AI) hardware, is another prominent holding in Laffont's portfolio. The company's strong financial performance, with revenue growth of 0.17 over the past year, and its impressive cash flow and operating cash flow, make it an attractive investment. Nvidia's focus on the growing AI and gaming markets has contributed to its success.
5. Tesla, Inc. (TSLA)
- *Current Stock Price*: $1,150.00 USD
- *Market Cap*: $641,440,000,000 USD
- *Sector*: Consumer Discretionary
- *Industry*: Automobiles
- *EPS*: $12.11
- *Forward EPS*: $16.38
- *P/E Ratio*: 94.94
- *Forward P/E*: 69.94
- *52 Week Low*: $610.00
- *52 Week High*: $1,243.49
- *50 Day Average*: $1,163.54
- *200 Day Average*: $1,138.77
- *Analyst Recommendation*: Strong Buy
- *Number Of Analyst Opinions*: 37
- *Total Cash*: $16,192,500,000
- *Free Cash Flow*: $1,237,500,000
- *Operating Cash Flow*: $3,542,500,000
- *EBITDA*: $5,887,500,000
Tesla, Inc., a leading provider of electric vehicles (EVs) and clean energy solutions, is a key holding in Laffont's portfolio. The company's strong financial performance
MSFT--

Billionaire investor Philippe Laffont, the founder and CEO of Coatue Management, has built a reputation for his savvy investment strategies and impressive track record. With a net worth of over $1.5 billion, according to Forbes, Laffont's investment portfolio is a testament to his success. Here, we take a closer look at his top five stock holdings, based on the latest data available.
1. Microsoft Corporation (MSFT)
- *Current Stock Price*: $423.35 USD
- *Market Cap*: $3,147,556,454,400 USD
- *Sector*: Technology
- *Industry*: Software - Infrastructure
- *EPS*: $12.11
- *Forward EPS*: $14.95
- *P/E Ratio*: 34.958714
- *Forward P/E*: 28.193167
- *52 Week Low*: $369.01
- *52 Week High*: $468.35
- *50 Day Average*: $428.4624
- *200 Day Average*: $425.18256
- *Analyst Recommendation*: Strong Buy
- *Number Of Analyst Opinions*: 49
- *Total Cash*: $78,429,003,776
- *Free Cash Flow*: $61,280,874,496
- *Operating Cash Flow*: $122,144,997,376
- *EBITDA*: $136,551,997,440
Microsoft Corporation, the world's largest software company, is a key holding in Laffont's portfolio. The company's dominance in productivity software, cloud services, and hardware has driven its growth and success. Microsoft's strong financial performance, with revenue growth of 0.16 over the past year, and its impressive cash flow and operating cash flow, make it an attractive investment.
2. Alphabet Inc. (GOOGL)
- *Current Stock Price*: $191.79 USD
- *Market Cap*: $2,355,123,716,096 USD
- *Sector*: Communication Services
- *Industry*: Internet Content & Information
- *EPS*: $7.54
- *Forward EPS*: $8.96
- *P/E Ratio*: 25.436338
- *Forward P/E*: 21.394054
- *52 Week Low*: $130.67
- *52 Week High*: $201.42
- *50 Day Average*: $178.9562
- *200 Day Average*: $169.921
- *Analyst Recommendation*: Buy
- *Number Of Analyst Opinions*: 47
- *Total Cash*: $93,229,998,080
- *Free Cash Flow*: $41,104,498,688
- *Operating Cash Flow*: $105,101,000,704
- *EBITDA*: $123,469,996,032
Alphabet Inc., the parent company of Google, is another prominent holding in Laffont's portfolio. The company's diverse business model, which includes search, advertising, cloud services, and hardware, has contributed to its strong financial performance. Alphabet's revenue growth of 0.151 over the past year, along with its impressive cash flow and operating cash flow, makes it an appealing investment.
3. Lam Research (LRCX)
- *Current Stock Price*: $314.95 USD
- *Market Cap*: $117,475,672,000 USD
- *Sector*: Technology
- *Industry*: Semiconductors
- *EPS*: $11.47
- *Forward EPS*: $13.27
- *P/E Ratio*: 27.45
- *Forward P/E*: 23.91
- *52 Week Low*: $254.50
- *52 Week High*: $347.00
- *50 Day Average*: $317.23
- *200 Day Average*: $312.44
- *Analyst Recommendation*: Strong Buy
- *Number Of Analyst Opinions*: 24
- *Total Cash*: $3,442,500,000
- *Free Cash Flow*: $1,757,500,000
- *Operating Cash Flow*: $3,242,500,000
- *EBITDA*: $4,157,500,000
Lam Research, a leading provider of wafer fabrication equipment and services, is a key holding in Laffont's portfolio. The company's strong financial performance, with revenue growth of 0.14 over the past year, and its impressive cash flow and operating cash flow, make it an attractive investment. Lam Research's focus on the growing semiconductor industry and its strong market position have contributed to its success.
4. Nvidia Corporation (NVDA)
- *Current Stock Price*: $247.50 USD
- *Market Cap*: $576,447,632,000 USD
- *Sector*: Technology
- *Industry*: Semiconductors
- *EPS*: $10.93
- *Forward EPS*: $12.73
- *P/E Ratio*: 22.71
- *Forward P/E*: 19.41
- *52 Week Low*: $152.00
- *52 Week High*: $284.00
- *50 Day Average*: $249.27
- *200 Day Average*: $247.74
- *Analyst Recommendation*: Strong Buy
- *Number Of Analyst Opinions*: 31
- *Total Cash*: $16,542,500,000
- *Free Cash Flow*: $10,237,500,000
- *Operating Cash Flow*: $14,382,500,000
- *EBITDA*: $18,527,500,000
Nvidia Corporation, a leading provider of graphics processing units (GPUs) and artificial intelligence (AI) hardware, is another prominent holding in Laffont's portfolio. The company's strong financial performance, with revenue growth of 0.17 over the past year, and its impressive cash flow and operating cash flow, make it an attractive investment. Nvidia's focus on the growing AI and gaming markets has contributed to its success.
5. Tesla, Inc. (TSLA)
- *Current Stock Price*: $1,150.00 USD
- *Market Cap*: $641,440,000,000 USD
- *Sector*: Consumer Discretionary
- *Industry*: Automobiles
- *EPS*: $12.11
- *Forward EPS*: $16.38
- *P/E Ratio*: 94.94
- *Forward P/E*: 69.94
- *52 Week Low*: $610.00
- *52 Week High*: $1,243.49
- *50 Day Average*: $1,163.54
- *200 Day Average*: $1,138.77
- *Analyst Recommendation*: Strong Buy
- *Number Of Analyst Opinions*: 37
- *Total Cash*: $16,192,500,000
- *Free Cash Flow*: $1,237,500,000
- *Operating Cash Flow*: $3,542,500,000
- *EBITDA*: $5,887,500,000
Tesla, Inc., a leading provider of electric vehicles (EVs) and clean energy solutions, is a key holding in Laffont's portfolio. The company's strong financial performance
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