The Big Short Michael Burry’s full portfolio: heavily long consumer and healthcare stocks, shorting AI infrastructure.
1 hours ago
The real-life inspiration for *The Big Short*, Michael Burry, disclosed his full long positions include stocks such as Lululemon, MercadoLibre, Molina Healthcare, and Temple & Webster. Lululemon accounts for 17.4% of his portfolio, while MercadoLibre makes up 12%. Burry also holds stakes in Zoetis, Adobe, PayPal, and JD.com. His short portfolio constitutes over 21% of his total holdings, primarily consisting of AI and semiconductor-related assets including Oracle, Palantir, Nebius, NVIDIA, SOXX, Micron, and CoreWeave. Additionally, he retains call options on NVIDIA expiring in December 2026, as well as put options on Palantir and QQQ for hedging purposes. Furthermore, Burry has liquidated his positions in Flutter, his short Tesla position, short Applied Materials, and some put options on NVIDIA and Palantir. The proceeds from his Flutter stake have been reallocated to Lululemon. Overall, his current portfolio leans on value stocks in the consumer and healthcare sectors for long positions, while reducing risk via short positions in AI infrastructure-related assets. He has stated he is willing to hold cash to await market developments this fall.
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