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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
CIGNA CORP CICom1,839,941-100,000609,646,051,000609,107,776,00012/31/2022
TENET HEALTHCARE CORP THCCommon8,896,111796,463434,041,256,000433,623,476,00012/31/2022
SPDR S&P 500 ETF TRUST SPYUNIT SER 1718,900718,900274,928,927,000274,928,927,00012/31/2022
DXC Technology Co DXCCOM9,704,55357,096257,170,655,000256,934,485,00012/31/2022
FISERV INC FISVCommon2,523,218-123,620255,021,643,000254,773,978,00012/31/2022
MCKESSON CORP MCKCommon650,643-2,156244,069,202,000243,847,335,00012/31/2022
GLOBAL PAYMENTS INC GPNCommon2,391,312229,302237,505,108,000237,271,503,00012/31/2022
US Foods Holding Corp. USFDCommon3,844,102-780,760130,776,350,000130,654,069,00012/31/2022
UNIVERSAL HEALTH SERVICES INC UHSCommon905,748905,748127,610,836,000127,610,836,00012/31/2022
COCA-COLA EUROPACIFIC PARTNERS plc CCESHS2,068,8779,554114,450,276,000114,362,508,00012/31/2022
VALVOLINE INC VVVCOM3,493,686100,000114,068,848,000113,982,852,00012/31/2022
HCA Healthcare, Inc. HCACOM439,985123,156105,578,801,000105,520,571,00012/31/2022
BAXTER INTERNATIONAL INC BAXCommon2,009,973-247,046102,448,324,000102,326,761,00012/31/2022
Uber Technologies, Inc UBERCommon Stock4,005,006-87,33799,043,798,00098,935,351,00012/31/2022
FMC CORP FMCCommon721,996-95,35790,105,101,00090,018,707,00012/31/2022
FLEX LTD. FLEXCommon4,051,237754,34386,939,546,00086,884,620,00012/31/2022
Aptiv PLC APTVSHS921,271-1,353,73185,797,968,00085,620,040,00012/31/2022
CLARIVATE Plc CLVTCommon10,077,5815,553,39784,047,026,00084,004,544,00012/31/2022
DuPont de Nemours, Inc. DDCommon Stock1,145,046-687,43678,584,507,00078,492,150,00012/31/2022
Activision Blizzard, Inc. ATVISTOCK970,273504,82374,274,398,00074,239,796,00012/31/2022
CIGNA CORP CICALL200,000066,268,000,00066,212,506,00012/31/2022
Alight, Inc. / Delaware ALITCommon7,825,9746,105,26465,425,143,00065,412,530,00012/31/2022
Meta Platforms, Inc. FBCommon526,142526,14263,315,928,00063,315,928,00012/31/2022
Element Solutions Inc ESICommon3,099,385-757,29856,377,813,00056,315,065,00012/31/2022
NORFOLK SOUTHERN CORP NSCCommon227,578-22,90156,079,771,00056,027,258,00012/31/2022
ZoomInfo Technologies Inc. ZICOM CL A1,746,519997,80952,587,687,00052,556,496,00012/31/2022
MYRIAD GENETICS INC MYGNCommon3,097,7681,636,28444,948,614,00044,920,729,00012/31/2022
Expedia Group, Inc. EXPECommon504,546266,14644,198,230,00044,175,894,00012/31/2022
LENNOX INTERNATIONAL INC LIICommon176,39627,18842,199,215,00042,165,991,00012/31/2022
Corteva, Inc. CTVACommon Stock679,494-672,88439,940,657,00039,863,369,00012/31/2022
Brookdale Senior Living Inc. BKDCommon13,844,6734,000,00037,795,957,00037,753,920,00012/31/2022
Booking Holdings Inc. BKNGCOMMON STOCK18,589037,462,040,00037,431,494,00012/31/2022
LAS VEGAS SANDS CORP LVSCommon765,576-377,13336,801,238,00036,758,364,00012/31/2022
WILLIS TOWERS WATSON PLC WLTWSHS144,152-207,07135,256,696,00035,186,121,00012/31/2022
Alphabet Inc. GOOGLCOM354,036354,03631,236,596,00031,236,596,00012/31/2022
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