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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
CIGNA CORP CICom2,065,551225,610579,593,611,000-30,052,440,00006/30/2023
SPDR S&P 500 ETF TRUST SPYUNIT SER 11,200,000481,100531,936,000,000257,007,073,00006/30/2023
TENET HEALTHCARE CORP THCCommon6,468,798-2,427,313526,430,781,00092,389,525,00006/30/2023
DXC Technology Co DXCCOM9,734,41129,858260,103,462,0002,932,807,00006/30/2023
UNIVERSAL HEALTH SERVICES INC UHSCommon1,410,525504,777222,538,529,00094,927,693,00006/30/2023
GLOBAL PAYMENTS INC GPNCommon2,244,174-147,138221,096,022,000-16,409,086,00006/30/2023
CLARIVATE Plc CLVTCommon17,315,4457,237,864165,016,191,00080,969,165,00006/30/2023
MCKESSON CORP MCKCommon378,193-272,450161,605,651,000-82,463,551,00006/30/2023
Alight, Inc. / Delaware ALITCommon15,097,1937,271,219139,498,063,00074,072,920,00006/30/2023
Corteva, Inc. CTVACommon Stock2,093,2601,413,766119,943,798,00080,003,141,00006/30/2023
iSHARES TRUST IWMPut600,000600,000112,362,000,000112,362,000,00006/30/2023
US Foods Holding Corp. USFDCommon2,553,354-1,290,748112,347,576,000-18,428,774,00006/30/2023
FISERV INC FISVCommon881,068-1,642,150111,146,728,000-143,874,915,00006/30/2023
VALVOLINE INC VVVCOM2,802,581-691,105105,124,813,000-8,944,035,00006/30/2023
FMC CORP FMCCommon852,243130,24788,923,035,000-1,182,066,00006/30/2023
MYRIAD GENETICS INC MYGNCommon3,744,888647,12086,806,504,00041,857,890,00006/30/2023
Aptiv PLC APTVSHS827,937-93,33484,524,088,000-1,273,880,00006/30/2023
HCA Healthcare, Inc. HCACOM263,624-176,36180,004,612,000-25,574,189,00006/30/2023
Brookdale Senior Living Inc. BKDCommon18,644,6734,800,00078,680,520,00040,884,563,00006/30/2023
DuPont de Nemours, Inc. DDCommon Stock1,042,200-102,84674,454,768,000-4,129,739,00006/30/2023
CIGNA CORP CICALL244,50044,50068,606,700,0002,338,700,00006/30/2023
Uber Technologies, Inc UBERCommon Stock1,558,119-2,446,88767,263,997,000-31,779,801,00006/30/2023
Activision Blizzard, Inc. ATVISTOCK683,849-286,42457,648,471,000-16,625,927,00006/30/2023
Element Solutions Inc ESICommon2,546,619-552,76648,895,085,000-7,482,728,00006/30/2023
Expedia Group, Inc. EXPECommon383,038-121,50841,900,527,000-2,297,703,00006/30/2023
Evolv Technologies Holdings, Inc. EVLVCommon4,829,195-1,149,91628,975,170,00013,489,273,00006/30/2023
CARDINAL HEALTH INC CAHCommon257,330257,33024,335,698,00024,335,698,00006/30/2023
FEDEX CORP FDXCommon95,62895,62823,706,181,00023,706,181,00006/30/2023
Hewlett Packard Enterprise Co HPECOM1,250,0001,250,00021,000,000,00021,000,000,00006/30/2023
Warner Bros. Discovery, Inc. WBDCommon1,624,3001,624,30020,368,722,00020,368,722,00006/30/2023
Match Group, Inc. MTCHCommon Stock474,886474,88619,873,979,00019,873,979,00006/30/2023
Butterfly Network, Inc. BFLYCOMMON STOCK8,033,5012,568,75018,477,052,0005,033,765,00006/30/2023
FLEX LTD. FLEXCommon621,859-3,429,37817,188,183,000-69,751,363,00006/30/2023
Bausch Health Companies Inc. BHCcom1,766,395266,39514,131,160,0004,711,160,00006/30/2023
AMAZON COM INC AMZNCommon100,017100,01713,038,216,00013,038,216,00006/30/2023
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