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Viking Global Investors (Andreas Halvorsen) - FilingSpy
Viking Global Investors
Andreas Halvorsen
$26.47B
13F
2015 Q2
43 of 53 quarters
Overview
Activity
Holdings
Buys
AGN
NEW
Allergan Plc
$2.06B
+6.80M shares
AMZN
NEW
Amazon.com Inc
$990.84M
+2.28M shares
AVGO
NEW
Avago Technologies Ltd (now Broadcom Inc.)
$633.95M
+4.77M shares
CI
NEW
Cigna Corporation
$472.20M
+2.91M shares
AET
NEW
Aetna Inc.
$394.82M
+3.10M shares
ELV
NEW
Anthem Inc.
$312.97M
+1.91M shares
WLL
NEW
Whiting Petroleum Corporation
$290.75M
+8.65M shares
FOXA
NEW
Twenty-First Century Fox, Inc.
$263.40M
+8.09M shares
BIIB
NEW
Biogen Inc
$207.40M
+513.4K shares
AMP
NEW
Ameriprise Financial Inc
$201.73M
+1.61M shares
UHS
NEW
Universal Health Services, Inc.
$173.47M
+1.22M shares
MCK
NEW
Mckesson Corporation
$140.63M
+625.6K shares
BALL
NEW
Ball Corporation
$128.57M
+1.83M shares
TDG
NEW
Transdigm Group Inc
$102.94M
+458.2K shares
ALL
NEW
The Allstate Corporation
$92.98M
+1.43M shares
COO
NEW
The Cooper Companies Inc
$48.69M
+273.6K shares
KITE
NEW
Kite Pharma Inc
$41.30M
+677.3K shares
ALXN
NEW
Alexion Pharmaceuticals Inc
$36.47M
+201.8K shares
DE
NEW
Deere & Company
$25.23M
+260.0K shares
WBA
Walgreens Boots Alliance Inc
$1.24B
+ $842.79M
=
$2.08B
14.60M
+10.02M (+68.63%)
Show all 38 buys (18 more)
Sells
ABEV
EXIT
Ambev SA
$193.42M
- $193.42M
=
Closed
-33.58M shares (100%)
AXP
EXIT
American Express Company
$232.25M
- $232.25M
=
Closed
-2.97M shares (100%)
BRCM
EXIT
Broadcom Corporation
$131.97M
- $131.97M
=
Closed
-3.05M shares (100%)
CNI
EXIT
Canadian National Railway Company
$420.06M
- $420.06M
=
Closed
-6.28M shares (100%)
DLTR
EXIT
Dollar Tree Inc
$97.25M
- $97.25M
=
Closed
-1.20M shares (100%)
HCA
EXIT
HCA Healthcare, Inc.
$76.48M
- $76.48M
=
Closed
-1.02M shares (100%)
HIG
EXIT
The Hartford Insurance Group, Inc.
$118.28M
- $118.28M
=
Closed
-2.83M shares (100%)
HLT
EXIT
Hilton Worldwide Holdings Inc
$203.02M
- $203.02M
=
Closed
-6.85M shares (100%)
KFT
EXIT
Kraft Foods Group Inc
$119.40M
- $119.40M
=
Closed
-1.37M shares (100%)
LLY
EXIT
Eli Lilly and Co.
$101.62M
- $101.62M
=
Closed
-1.40M shares (100%)
MU
EXIT
Micron Technology Inc
$844.99M
- $844.99M
=
Closed
-31.15M shares (100%)
MDLZ
EXIT
Mondelez International Inc
$865.07M
- $865.07M
=
Closed
-23.97M shares (100%)
QIHU
EXIT
Qihoo 360 Technology Co Ltd
$21.45M
- $21.45M
=
Closed
-419.0K shares (100%)
HOT
EXIT
Starwood HOTELS&RESORTS Worldwide Inc
$260.85M
- $260.85M
=
Closed
-3.12M shares (100%)
TMUS
EXIT
T-Mobile U.s., Inc.
$253.36M
- $253.36M
=
Closed
-7.99M shares (100%)
TEVA
EXIT
Teva Pharmaceutical Industries Ltd
$14.24M
- $14.24M
=
Closed
-228.6K shares (100%)
W
EXIT
Wayfair Inc
$36.44M
- $36.44M
=
Closed
-1.13M shares (100%)
XPO
EXIT
Xpo, Inc.
$39.66M
- $39.66M
=
Closed
-872.3K shares (100%)
ACT
EXIT
Allergan Plc
$1.82B
- $1.82B
=
Closed
-6.11M shares (100%)
ETN
EXIT
Eaton Corp Plc
$127.61M
- $127.61M
=
Closed
-1.88M shares (100%)
Show all 39 sells (19 more)