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Viking Global Investors (Andreas Halvorsen) - FilingSpy
Viking Global Investors
Andreas Halvorsen
$22.01B
13F
2016 Q4
37 of 53 quarters
Overview
Activity
Holdings
Buys
DOW
NEW
Dow Inc.
$1.12B
+19.65M shares
DE
NEW
Deere & Company
$959.41M
+9.31M shares
UNH
NEW
UnitedHealth Group Incorporated
$354.21M
+2.21M shares
FOXA
NEW
Twenty-First Century Fox, Inc.
$344.54M
+12.29M shares
SCHW
NEW
The Charles Schwab Corporation
$318.03M
+8.06M shares
DIS
NEW
Walt Disney Co. (the)
$250.51M
+2.40M shares
UNP
NEW
Union Pacific Corporation
$217.66M
+2.10M shares
CHK
NEW
Chesapeake Energy Corporation
$160.50M
+22.86M shares
WYNN
NEW
Wynn Resorts Ltd
$122.72M
+1.42M shares
MRSH
NEW
Marsh & Mclennan Companies Inc
$114.69M
+1.70M shares
EVHC
NEW
Envision Healthcare Corp
$114.20M
+1.80M shares
ICE
NEW
Intercontinental Exchange Inc
$104.79M
+1.86M shares
TJX
NEW
The Tjx Companies Inc
$98.56M
+1.31M shares
WDC
NEW
Western Digital Corp
$95.47M
+1.41M shares
MFC
NEW
Manulife Financial Corporation
$95.36M
+5.36M shares
ALL
NEW
The Allstate Corporation
$89.50M
+1.21M shares
PGR
NEW
The Progressive Corporation
$61.23M
+1.72M shares
RTX
NEW
United Technologies Corporation
$59.35M
+541.4K shares
XOG
NEW
Extraction Oil & Gas, Inc.
$54.24M
+2.71M shares
NUVA
NEW
Nuvasive Inc
$46.86M
+695.7K shares
Show all 43 buys (23 more)
Sells
APD
EXIT
Air Products & Chemicals, Inc.
$724.99M
- $724.99M
=
Closed
-4.82M shares (100%)
AIG
EXIT
American International Group Inc
$147.94M
- $147.94M
=
Closed
-2.49M shares (100%)
AMSG
EXIT
Amsurg Corp
$70.19M
- $70.19M
=
Closed
-1.05M shares (100%)
APC
EXIT
Anadarko Petroleum Corporation
$540.98M
- $540.98M
=
Closed
-8.54M shares (100%)
AAPL
EXIT
Apple Inc
$27.95M
- $27.95M
=
Closed
-247.3K shares (100%)
CPN
EXIT
Calpine Corp
$267.80M
- $267.80M
=
Closed
-21.19M shares (100%)
DOV
EXIT
Dover Corp
$3.91M
- $3.91M
=
Closed
-53.0K shares (100%)
DYN
EXIT
Dynegy Inc
$138.22M
- $138.22M
=
Closed
-11.16M shares (100%)
ECR
EXIT
Eclipse Resources Corp
$23.97M
- $23.97M
=
Closed
-7.29M shares (100%)
EVHC
EXIT
Envision Healthcare Holdings Inc
$76.15M
- $76.15M
=
Closed
-3.42M shares (100%)
HD
EXIT
The Home Depot Inc
$18.13M
- $18.13M
=
Closed
-140.9K shares (100%)
KITE
EXIT
Kite Pharma Inc
$28.87M
- $28.87M
=
Closed
-516.8K shares (100%)
LLY
EXIT
Eli Lilly and Co.
$488.96M
- $488.96M
=
Closed
-6.09M shares (100%)
LOW
EXIT
Lowe'S Companies Inc
$195.51M
- $195.51M
=
Closed
-2.71M shares (100%)
MAR
EXIT
Marriott International Inc
$70.18M
- $70.18M
=
Closed
-1.04M shares (100%)
MET
EXIT
Metlife, Inc.
$71.37M
- $71.37M
=
Closed
-1.61M shares (100%)
PSTG
EXIT
Pure Storage Inc
$3.05M
- $3.05M
=
Closed
-225.0K shares (100%)
CRM
EXIT
Salesforce, Inc.
$214.92M
- $214.92M
=
Closed
-3.01M shares (100%)
SEE
EXIT
Sealed Air Corporation
$199.52M
- $199.52M
=
Closed
-4.35M shares (100%)
SWN
EXIT
Southwestern Energy Co
$584.93M
- $584.93M
=
Closed
-42.26M shares (100%)
Show all 42 sells (22 more)