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Viking Global Investors (Andreas Halvorsen) - FilingSpy
Viking Global Investors
Andreas Halvorsen
$22.72B
13F
2016 Q1
40 of 53 quarters
Overview
Activity
Holdings
Buys
META
NEW
Meta Platforms Inc
$2.30B
+20.13M shares
AVGO
NEW
Broadcom Inc.
$1.52B
+9.83M shares
LLY
NEW
Eli Lilly and Co.
$847.11M
+11.76M shares
JD
NEW
Jd.com Inc
$399.64M
+15.08M shares
NWL
NEW
Newell Brands Inc
$209.52M
+4.73M shares
DVA
NEW
DaVita Inc.
$128.01M
+1.74M shares
STZ
NEW
Constellation Brands Inc
$124.91M
+826.7K shares
CB
NEW
Chubb Limited
$118.56M
+995.0K shares
MET
NEW
Metlife, Inc.
$112.60M
+2.56M shares
TMUS
NEW
T-Mobile U.s., Inc.
$102.68M
+2.68M shares
JAH
NEW
Jarden Corporation
$82.91M
+1.41M shares
EDIT
NEW
Editas Medicine Inc
$73.76M
+2.14M shares
HD
NEW
The Home Depot Inc
$65.59M
+491.6K shares
AON
NEW
Aon Plc
$59.70M
+571.6K shares
PGR
NEW
The Progressive Corporation
$56.30M
+1.60M shares
CI
NEW
Cigna Corporation
$54.94M
+400.3K shares
UHS
NEW
Universal Health Services, Inc.
$53.62M
+429.9K shares
BMRN
NEW
Biomarin Pharmaceutical Inc.
$49.66M
+602.1K shares
DXCM
NEW
Dexcom, Inc.
$33.04M
+486.5K shares
MDVN
NEW
Medivation Inc
$32.52M
+707.3K shares
Show all 43 buys (23 more)
Sells
AFL
EXIT
Aflac Incorporated
$63.69M
- $63.69M
=
Closed
-1.06M shares (100%)
BK
EXIT
The Bank of New York Mellon Corporation
$362.96M
- $362.96M
=
Closed
-8.81M shares (100%)
BRCM
EXIT
Broadcom Corporation
$1.95B
- $1.95B
=
Closed
-33.75M shares (100%)
CMG
EXIT
Chipotle Mexican Grill Inc
$330.80M
- $330.80M
=
Closed
-689.4K shares (100%)
C
EXIT
Citigroup Inc
$221.07M
- $221.07M
=
Closed
-4.27M shares (100%)
XRAY
EXIT
Dentsply Sirona Inc.
$63.00M
- $63.00M
=
Closed
-1.04M shares (100%)
DOV
EXIT
Dover Corp
$32.27M
- $32.27M
=
Closed
-526.4K shares (100%)
ET
EXIT
Energy Transfer LP
$23.46M
- $23.46M
=
Closed
-1.71M shares (100%)
HAL
EXIT
Halliburton Co.
$226.95M
- $226.95M
=
Closed
-6.67M shares (100%)
KHC
EXIT
Kraft Heinz Co. (the)
$151.54M
- $151.54M
=
Closed
-2.08M shares (100%)
LM
EXIT
Legg Mason Inc
$96.86M
- $96.86M
=
Closed
-2.47M shares (100%)
MCD
EXIT
Mcdonald'S Corporation
$61.91M
- $61.91M
=
Closed
-524.0K shares (100%)
MCK
EXIT
Mckesson Corporation
$544.75M
- $544.75M
=
Closed
-2.76M shares (100%)
MON
EXIT
Monsanto Company
$88.25M
- $88.25M
=
Closed
-895.8K shares (100%)
NKE
EXIT
Nike Inc
$328.92M
- $328.92M
=
Closed
-5.26M shares (100%)
PCLN
EXIT
Booking Holdings Inc
$501.33M
- $501.33M
=
Closed
-393.2K shares (100%)
QUNR
EXIT
Qunar Cayman Islands Limited
$449.49M
- $449.49M
=
Closed
-8.52M shares (100%)
SIRO
EXIT
Sirona Dental Systems Inc
$3.80M
- $3.80M
=
Closed
-34.7K shares (100%)
TXT
EXIT
Textron Inc
$244.38M
- $244.38M
=
Closed
-5.82M shares (100%)
VRX
EXIT
Valeant Pharmaceuticals International, Inc.
$792.20M
- $792.20M
=
Closed
-7.79M shares (100%)
Show all 45 sells (25 more)