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Viking Global Investors (Andreas Halvorsen) - FilingSpy
Viking Global Investors
Andreas Halvorsen
$23.54B
13F
2016 Q2
39 of 53 quarters
Overview
Activity
Holdings
Buys
ICE
NEW
Intercontinental Exchange Inc
$290.13M
+1.13M shares
MSFT
NEW
Microsoft Corporation
$288.28M
+5.63M shares
RICE
NEW
Rice Energy Inc
$278.00M
+12.61M shares
AIG
NEW
American International Group Inc
$176.39M
+3.33M shares
HIG
NEW
The Hartford Insurance Group, Inc.
$159.81M
+3.60M shares
TYC
NEW
Tyco International Plc
$158.00M
+3.71M shares
JAZZ
NEW
Jazz Pharmaceuticals Plc
$87.45M
+618.9K shares
HCA
NEW
HCA Healthcare, Inc.
$83.90M
+1.09M shares
GWPH
NEW
Gw Pharmaceuticals Plc
$76.14M
+831.5K shares
NRG
NEW
Nrg Energy Inc
$53.40M
+3.56M shares
CNC
NEW
Centene Corp
$34.92M
+489.3K shares
SC
NEW
Santander Consumer USA Holdings Inc.
$10.89M
+1.05M shares
CLDEUR
NEW
Cloud Peak Energy Inc
$6.04M
+2.93M shares
META
Meta Platforms Inc
$2.30B
+ $4.96M
=
$2.30B
20.13M
+11.7K (+0.06%)
AVGO
Broadcom Inc.
$1.52B
+ $68.98M
=
$1.59B
9.83M
+387.0K (+3.94%)
APD
Air Products & Chemicals, Inc.
$995.12M
- $8.74M
=
$986.38M
6.91M
+36.2K (+0.52%)
BIIB
Biogen Inc
$60.12M
+ $716.25M
=
$776.37M
230.9K
+2.98M (+1290.15%)
TMUS
T-Mobile U.s., Inc.
$102.68M
+ $501.65M
=
$604.33M
2.68M
+11.29M (+420.94%)
MA
Mastercard Incorporated
$184.52M
+ $381.90M
=
$566.42M
1.95M
+4.48M (+229.42%)
NWL
Newell Brands Inc
$209.52M
+ $273.10M
=
$482.62M
4.73M
+5.21M (+110.04%)
Show all 36 buys (16 more)
Sells
AKRX
EXIT
Akorn Inc
$48.98M
- $48.98M
=
Closed
-2.08M shares (100%)
ELV
EXIT
Anthem Inc.
$673.99M
- $673.99M
=
Closed
-4.85M shares (100%)
BMRN
EXIT
Biomarin Pharmaceutical Inc.
$49.66M
- $49.66M
=
Closed
-602.1K shares (100%)
LNG
EXIT
Cheniere Energy Inc
$49.33M
- $49.33M
=
Closed
-1.46M shares (100%)
CCI
EXIT
Crown Castle Inc
$46.40M
- $46.40M
=
Closed
-536.4K shares (100%)
DXCM
EXIT
Dexcom, Inc.
$33.04M
- $33.04M
=
Closed
-486.5K shares (100%)
HLT
EXIT
Hilton Worldwide Holdings Inc
$29.57M
- $29.57M
=
Closed
-1.31M shares (100%)
HD
EXIT
The Home Depot Inc
$65.59M
- $65.59M
=
Closed
-491.6K shares (100%)
JAH
EXIT
Jarden Corporation
$82.91M
- $82.91M
=
Closed
-1.41M shares (100%)
KSU
EXIT
Kansas City Southern
$24.49M
- $24.49M
=
Closed
-286.6K shares (100%)
LH
EXIT
Labcorp Holdings Inc
$78.83M
- $78.83M
=
Closed
-673.0K shares (100%)
MDVN
EXIT
Medivation Inc
$32.52M
- $32.52M
=
Closed
-707.3K shares (100%)
MET
EXIT
Metlife, Inc.
$112.60M
- $112.60M
=
Closed
-2.56M shares (100%)
PFE
EXIT
Pfizer Inc.
$33.13M
- $33.13M
=
Closed
-1.12M shares (100%)
PGR
EXIT
The Progressive Corporation
$56.30M
- $56.30M
=
Closed
-1.60M shares (100%)
PRU
EXIT
Prudential Financial Inc
$163.10M
- $163.10M
=
Closed
-2.26M shares (100%)
TDG
EXIT
Transdigm Group Inc
$242.66M
- $242.66M
=
Closed
-1.10M shares (100%)
UHS
EXIT
Universal Health Services, Inc.
$53.62M
- $53.62M
=
Closed
-429.9K shares (100%)
ENDP
EXIT
Endo Intl Plc
$125.80M
- $125.80M
=
Closed
-4.47M shares (100%)
CB
EXIT
Chubb Limited
$118.56M
- $118.56M
=
Closed
-995.0K shares (100%)
Show all 37 sells (17 more)