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Viking Global Investors (Andreas Halvorsen) - FilingSpy
Viking Global Investors
Andreas Halvorsen
$22.91B
13F
2014 Q2
47 of 53 quarters
Overview
Activity
Holdings
Buys
NFLX
NEW
Netflix Inc
$580.50M
+1.32M shares
NFX
NEW
Newfield Exploration Company
$237.13M
+5.36M shares
AAPL
NEW
Apple Inc
$212.46M
+2.29M shares
CTSH
NEW
Cognizant Technology Solutions Corp
$191.50M
+3.92M shares
HLT
NEW
Hilton Worldwide Holdings Inc
$178.98M
+7.68M shares
RL
NEW
Ralph Lauren Corp
$168.47M
+1.05M shares
AGN
NEW
Allergan Inc
$135.95M
+803.4K shares
WLP
NEW
Wellpoint Inc
$102.69M
+954.3K shares
RAD
NEW
Rite Aid Corporation
$96.50M
+13.46M shares
PCP
NEW
Precision Castparts Corp
$82.99M
+328.8K shares
CTRP
NEW
Trip.com Group Limited
$75.47M
+1.18M shares
XEC
NEW
Cimarex Energy Co
$71.54M
+498.7K shares
ZBH
NEW
Zimmer Biomet Holdings, Inc.
$62.65M
+603.2K shares
PFG
NEW
Principal Financial Group Inc
$57.67M
+1.14M shares
MLCO
NEW
Melco Resorts & Entertainment Limited (formerly Melco Crown Entertainment Limited)
$55.04M
+1.54M shares
CNC
NEW
Centene Corp
$53.58M
+708.7K shares
MYGN
NEW
Myriad Genetics Inc
$51.77M
+1.33M shares
AAL
NEW
American Airlines Group Inc
$21.89M
+509.6K shares
SBAC
NEW
Sba Communications Corporation
$15.31M
+149.7K shares
ALLE
NEW
Allegion Plc
$13.28M
+234.2K shares
Show all 36 buys (16 more)
Sells
AIG
EXIT
American International Group Inc
$316.23M
- $316.23M
=
Closed
-6.32M shares (100%)
BAC
EXIT
Bank of America Corporation
$151.15M
- $151.15M
=
Closed
-8.79M shares (100%)
BIIB
EXIT
Biogen Inc
$118.95M
- $118.95M
=
Closed
-388.9K shares (100%)
CME
EXIT
Cme Group Inc
$41.33M
- $41.33M
=
Closed
-558.3K shares (100%)
CTXS
EXIT
Citrix Systems Inc
$10.34M
- $10.34M
=
Closed
-180.0K shares (100%)
HP
EXIT
Helmerich & Payne Inc
$32.17M
- $32.17M
=
Closed
-299.1K shares (100%)
VOYA
EXIT
Ing U.s., Inc.
$66.51M
- $66.51M
=
Closed
-1.83M shares (100%)
MET
EXIT
Metlife, Inc.
$45.75M
- $45.75M
=
Closed
-866.5K shares (100%)
MYL
EXIT
Mylan N.v.
$86.73M
- $86.73M
=
Closed
-1.78M shares (100%)
NRF
EXIT
Northstar Realty Finance Corp.
$58.34M
- $58.34M
=
Closed
-3.61M shares (100%)
PCLN
EXIT
Booking Holdings Inc
$120.76M
- $120.76M
=
Closed
-101.3K shares (100%)
QIHU
EXIT
Qihoo 360 Technology Co Ltd
$32.05M
- $32.05M
=
Closed
-321.9K shares (100%)
STJ
EXIT
St. Jude Medical Inc
$124.36M
- $124.36M
=
Closed
-1.90M shares (100%)
SHPG
EXIT
Shire Plc
$59.39M
- $59.39M
=
Closed
-399.8K shares (100%)
USB
EXIT
U.s. Bancorp
$148.68M
- $148.68M
=
Closed
-3.47M shares (100%)
VZ
EXIT
Verizon Communications Inc
$210.29M
- $210.29M
=
Closed
-4.42M shares (100%)
YHOO
EXIT
Altaba Inc.
$108.21M
- $108.21M
=
Closed
-3.01M shares (100%)
NXPI
EXIT
Nxp Semiconductors N.v.
$52.53M
- $52.53M
=
Closed
-893.2K shares (100%)
WAG
Walgreen Co.
$1.59B
- $98.94M
=
$1.49B
20.14M left
-3.97M (-16.46%)
ILMN
Illumina Inc
$1.32B
+ $108.99M
=
$1.43B
7.99M left
-873.4K (-9.85%)
Show all 43 sells (23 more)