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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
HCA Holdings, Inc. HCACOM5,964,853624,137881,665,000238,536,00012/31/2019
CIGNA CORP CICom4,176,524-955,257854,057,00075,104,00012/31/2019
TENET HEALTHCARE CORP THCCommon19,735,625261,540750,546,000319,779,00012/31/2019
CBS CORP CBSCommon15,080,75815,080,758632,939,000632,939,00012/31/2019
TAKEDA PHARMACEUTICAL CO LTD TAKSPONSORED ADS30,582,7213,138,875603,397,000131,363,00012/31/2019
Quintiles IMS Holdings, Inc. IQVCOM3,751,602133,905579,660,00039,248,00012/31/2019
HOLOGIC INC HOLXCommon10,066,8411,856,654525,590,000111,058,00012/31/2019
MCKESSON CORP MCKCommon3,712,589-292,029513,525,000-33,746,00012/31/2019
Valeant Pharmaceuticals International, Inc. BHCcom16,617,0082,806,494497,181,000195,421,00012/31/2019
Everett SpinCo, Inc. DXCCOM10,986,562-809,770412,985,00064,993,00012/31/2019
HUMANA INC HUMCommon1,059,787-539,682388,433,000-20,503,00012/31/2019
FMC CORP FMCCommon3,032,464-1,251,368302,701,000-72,905,00012/31/2019
Walt Disney Co DISCommon2,088,178211,242302,013,00057,411,00012/31/2019
Alphabet Inc. GOOGLCOM219,919-515294,557,00025,376,00012/31/2019
FLEX LTD. FLEXCommon20,338,9961,000,000256,678,00054,295,00012/31/2019
NUANCE COMMUNICATIONS NUANCommon13,698,1185,796,101244,237,000115,355,00012/31/2019
AVIS BUDGET GROUP, INC. CARCommon7,199,3192,873,849232,106,000109,868,00012/31/2019
Anthem, Inc. ANTMCOM751,142-116,885226,867,00018,454,00012/31/2019
UNITEDHEALTH GROUP INC UNHCommon757,12130,653222,578,00064,702,00012/31/2019
FISERV INC FISVCommon1,782,886-934,856206,155,000-75,376,00012/31/2019
AMERISOURCEBERGEN CORP ABCCommon2,397,3181,136,712203,820,000100,034,00012/31/2019
MERITOR INC MTORCOM7,207,4350188,763,00055,425,00012/31/2019
WILLIAMS COMPANIES INC WMBCommon7,844,612302,063186,074,0004,600,00012/31/2019
DAVITA INC. DVACommon1,914,754-1,320,958143,664,000-40,998,00012/31/2019
LOWES COMPANIES INC LOWCommon1,193,686409,695142,956,00056,748,00012/31/2019
Univar Inc. UNVRCOM5,765,724-277,685139,761,00014,300,00012/31/2019
BOEING CO BACommon416,863416,863135,797,000135,797,00012/31/2019
Brookdale Senior Living Inc. BKDCommon17,633,5720128,196,068-5,465,93212/31/2019
T-Mobile US, Inc. TMUSCOM1,358,164-63,594106,507,000-5,485,00012/31/2019
Corteva, Inc. CTVACommon Stock3,500,0003,500,000103,460,000103,460,00012/31/2019
MYRIAD GENETICS INC MYGNCommon3,444,795-238,51193,802,000-11,651,00012/31/2019
EBAY INC EBAYCommon2,481,7272,481,72789,615,00089,615,00012/31/2019
Platform Specialty Products Corp ESICommon7,542,401-4,149,66488,095,000-30,930,00012/31/2019
Endo International plc ENDPSHS18,470,405-2,580,48686,626,00019,053,00012/31/2019
Elanco Animal Health Inc ELANCOMMON STOCK2,618,2322,618,23277,107,00077,107,00012/31/2019
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