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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
HCA Holdings, Inc. HCACOM14,265,265-3,916,1761,269,466,000-76,324,00003/31/2017
HUMANA INC HUMCommon5,315,768-998,0221,095,792,000-192,411,00003/31/2017
Anthem, Inc. ANTMCOM4,711,645-1,162,404779,212,000-65,300,00003/31/2017
DOW CHEMICAL CO /DE/ DOWCommon11,864,1323,066,049753,847,000250,421,00003/31/2017
FMC CORP FMCCommon10,577,6241,029,806736,097,000196,072,00003/31/2017
CIGNA CORP CICommon4,905,428-756,658718,596,000-36,670,00003/31/2017
AETNA INC /PA/ AETCommon5,029,073-164,991641,458,000-2,658,00003/31/2017
COMPUTER SCIENCES CORP CSCCommon8,320,463-334,793574,195,00059,900,00003/31/2017
Quintiles IMS Holdings, Inc. QCOM6,897,637-29,698555,467,00028,643,00003/31/2017
Alphabet Inc. GOOGLCOM633,368-130,237536,969,000-68,150,00003/31/2017
FLEX LTD. FLEXCommon31,479,691-5,690,898528,859,000-5,282,00003/31/2017
AbbVie Inc. ABBVCOM7,301,967-1,815,002475,796,000-95,109,00003/31/2017
THERMO FISHER SCIENTIFIC INC. TMOCommon2,972,060-687,674456,508,000-59,880,00003/31/2017
APPLE INC AAPLCommon3,143,258-9,837451,560,00086,369,00003/31/2017
LOWES COMPANIES INC LOWCommon5,452,6591,376,540448,263,000158,369,00003/31/2017
LABORATORY CORP OF AMERICA HOLDINGS LHCommon2,664,988-1,523,272382,346,000-155,343,00003/31/2017
CBS CORP CBSCommon5,471,963343,424379,535,00053,257,00003/31/2017
TENET HEALTHCARE CORP THCCommon17,890,2300316,836,00051,345,00003/31/2017
Liberty Global plc LBTYACommon7,783,565-36,794279,196,00039,971,00003/31/2017
AVIS BUDGET GROUP, INC. CARCommon8,298,0040245,455,000-58,916,00003/31/2017
WILLIAMS COMPANIES INC WMBCommon7,241,362-1,198,596214,272,000-48,548,00003/31/2017
UNIVERSAL HEALTH SERVICES INC UHSCommon1,714,464-48,451213,365,00025,826,00003/31/2017
Liberty Global plc LBTYKCommon5,824,640-16,304204,095,00030,619,00003/31/2017
Brookdale Senior Living Inc. BKDCommon14,730,718-1,899,697197,834,000-8,716,00003/31/2017
REALOGY HOLDINGS CORP. RLGYCommon6,301,426-700,159187,719,0007,568,00003/31/2017
VISA INC. VCL A2,111,904232,121187,685,00041,024,00003/31/2017
INTEL CORP INTCCommon4,931,5574,931,557177,881,000177,881,00003/31/2017
Shire plc SHPGSPONSORED ADR1,015,4771,015,477176,927,000176,927,00003/31/2017
FIRST DATA CORP FDCCommon10,719,432-2,827,951166,151,000-26,086,00003/31/2017
COCA-COLA EUROPEAN PARTNERS LTD CCESHS4,321,0742,307,013162,861,00099,619,00003/31/2017
Platform Specialty Products Corp PAHCOM11,203,633-2,643,479145,871,00010,031,00003/31/2017
VEREIT, Inc. VERCommon16,946,243-972,570143,874,000-7,719,00003/31/2017
MCKESSON CORP MCKCommon917,776234,260136,069,00040,069,00003/31/2017
CHARTER COMMUNICATIONS, INC. /MO/ CHTRCOM379,000-393,597124,054,000-98,392,00003/31/2017
MERITOR INC MTORCOM7,126,817-1,000,000122,082,00021,147,00003/31/2017
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