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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Shire plc SHPGSPONSORED ADR4,961,899-1,039,785837,569,000-59,023,00006/30/2018
DowDuPont Inc. DWDPCommon Stock11,548,793-1,458,478761,296,000-67,397,00006/30/2018
FMC CORP FMCCommon8,015,410-2,193,488715,055,000-66,640,00006/30/2018
MCKESSON CORP MCKCommon4,710,544312,273628,387,0008,803,00006/30/2018
TENET HEALTHCARE CORP THCCommon17,895,3140600,746,000166,785,00006/30/2018
Quintiles IMS Holdings, Inc. IQVCOM5,961,345-1,758,638595,061,000-162,347,00006/30/2018
AETNA INC /PA/ AETCommon3,104,322270,105569,643,00090,660,00006/30/2018
FIRST DATA CORP FDCCommon26,695,2741,222,666558,732,000151,170,00006/30/2018
HCA Holdings, Inc. HCACOM5,332,923-6,526,669547,158,000-603,222,00006/30/2018
Express Scripts Holding Co. ESRXCommon6,979,5692,337,583538,893,000218,225,00006/30/2018
THERMO FISHER SCIENTIFIC INC. TMOCommon2,546,601-416,142527,503,000-84,185,00006/30/2018
NEWELL BRANDS INC NWLCommon19,996,871-5,972,116515,719,000-145,971,00006/30/2018
FLEX LTD. FLEXCommon33,071,960416,523466,645,000-66,618,00006/30/2018
EBAY INC EBAYCommon11,938,688443,931432,897,000-29,652,00006/30/2018
Everett SpinCo, Inc. DXCCOM5,282,33119,633425,809,000-103,250,00006/30/2018
Walgreens Boots Alliance, Inc. WBACOM7,022,969-1,161,958421,483,000-114,384,00006/30/2018
Alphabet Inc. GOOGLCOM330,101-71,627372,747,000-43,901,00006/30/2018
CVS HEALTH Corp CVSCommon5,422,240-2,372,148348,921,000-135,968,00006/30/2018
UNIVERSAL HEALTH SERVICES INC UHSCommon2,923,093-1,147,625325,749,000-156,265,00006/30/2018
Anthem, Inc. ANTMCOM1,275,662-1,005,673303,646,000-197,563,00006/30/2018
Allergan plc AGNSHS1,772,481245,591295,508,00038,548,00006/30/2018
CIGNA CORP CICommon1,670,007-480,771283,818,000-76,954,00006/30/2018
CBS CORP CBSCommon4,763,287-1,809,827267,792,000-70,000,00006/30/2018
FEDEX CORP FDXCommon1,173,426-13,791266,438,000-18,625,00006/30/2018
WILLIAMS COMPANIES INC WMBCommon9,648,585-750,937261,573,0003,041,00006/30/2018
Endo International plc ENDPSHS22,288,422800,000210,180,00082,539,00006/30/2018
Aramark ARMKCOM5,056,734635,404187,605,00012,697,00006/30/2018
LOWES COMPANIES INC LOWCommon1,792,707-413,213171,329,000-22,240,00006/30/2018
nVent Electric plc NVTCommon6,368,5006,368,500159,849,000159,849,00006/30/2018
Liberty Global plc LBTYACommon5,692,865-1,025,725156,782,000-53,577,00006/30/2018
CHARTER COMMUNICATIONS, INC. /MO/ CHTRCOM529,758347,016155,330,00098,457,00006/30/2018
PENTAIR plc PNRCommon3,496,053-451,263147,114,000-121,817,00006/30/2018
Platform Specialty Products Corp PAHCOM12,494,222-917,205144,933,00015,781,00006/30/2018
Delphi Automotive PLC APTVSHS1,515,792-1,168,624138,892,000-89,203,00006/30/2018
Liberty Global plc LBTYKCommon5,080,421-552,477135,190,000-36,219,00006/30/2018
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