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Viking Global Investors (Andreas Halvorsen) - FilingSpy
Viking Global Investors
Andreas Halvorsen
$23.14B
13F
2020 Q2
23 of 53 quarters
Overview
Activity
Holdings
Buys
TMO
NEW
Thermo Fisher Scientific Inc
$628.35M
+1.73M shares
AON
NEW
Aon Plc
$569.33M
+2.96M shares
HLT
NEW
Hilton Worldwide Holdings Inc
$534.16M
+7.27M shares
APG
NEW
Api Group Corp
$405.00M
+33.33M shares
NUAN
NEW
Nuance Communications Inc
$323.89M
+12.80M shares
MCO
NEW
Moody'S Corporation
$268.51M
+977.3K shares
PH
NEW
Parker-Hannifin Corp
$264.42M
+1.44M shares
ADI
NEW
Analog Devices Inc
$240.37M
+1.96M shares
SHW
NEW
The Sherwin-Williams Company
$229.89M
+397.8K shares
DRI
NEW
Darden Restaurants Inc
$226.68M
+2.99M shares
ZNTL
NEW
Zentalis Pharmaceuticals Inc
$213.37M
+4.44M shares
ALL
NEW
The Allstate Corporation
$171.63M
+1.77M shares
LIN
NEW
Linde Plc
$170.47M
+803.7K shares
DHR
NEW
Danaher Corporation
$159.84M
+903.9K shares
BABA
NEW
Alibaba Group Holding Limited
$150.03M
+695.5K shares
ALGN
NEW
Align Technology Inc
$148.02M
+539.3K shares
RPRX
NEW
Royalty Pharma Plc
$122.10M
+2.51M shares
NVST
NEW
Envista Holdings Corporation
$95.42M
+4.52M shares
EG
NEW
Everest Group, Ltd.
$86.24M
+418.2K shares
TJX
NEW
The Tjx Companies Inc
$76.85M
+1.52M shares
Show all 39 buys (19 more)
Sells
A
EXIT
Agilent Technologies Inc
$199.78M
- $199.78M
=
Closed
-2.79M shares (100%)
GOOGL
EXIT
Alphabet Inc. (formerly Google Inc.)
$363.90M
- $363.90M
=
Closed
-313.2K shares (100%)
ELV
EXIT
Anthem Inc.
$411.09M
- $411.09M
=
Closed
-1.81M shares (100%)
BMRN
EXIT
Biomarin Pharmaceutical Inc.
$122.83M
- $122.83M
=
Closed
-1.45M shares (100%)
CSX
EXIT
Csx Corp
$48.37M
- $48.37M
=
Closed
-844.2K shares (100%)
GOOS
EXIT
Canada Goose Holdings Inc
$27.72M
- $27.72M
=
Closed
-1.39M shares (100%)
CVET
EXIT
Covetrus Inc
$5.15M
- $5.15M
=
Closed
-632.5K shares (100%)
META
EXIT
Meta Platforms Inc
$335.12M
- $335.12M
=
Closed
-2.01M shares (100%)
AJG
EXIT
Arthur J. Gallagher & Co.
$94.45M
- $94.45M
=
Closed
-1.16M shares (100%)
MCHP
EXIT
Microchip Technology Incorporated
$27.68M
- $27.68M
=
Closed
-408.2K shares (100%)
MRNA
EXIT
Moderna, Inc.
$29.80M
- $29.80M
=
Closed
-994.9K shares (100%)
NSC
EXIT
Norfolk Southern Corp
$258.10M
- $258.10M
=
Closed
-1.77M shares (100%)
ORLY
EXIT
O'Reilly Automotive Inc
$201.50M
- $201.50M
=
Closed
-669.3K shares (100%)
PGR
EXIT
The Progressive Corporation
$154.24M
- $154.24M
=
Closed
-2.09M shares (100%)
NOW
EXIT
Servicenow Inc
$191.58M
- $191.58M
=
Closed
-668.5K shares (100%)
SDCCQ
EXIT
Smiledirectclub Inc
$10.67M
- $10.67M
=
Closed
-2.28M shares (100%)
AON
EXIT
Aon Plc
$378.03M
- $378.03M
=
Closed
-2.29M shares (100%)
AMZN
Amazon.com Inc
$1.72B
- $25.09M
=
$1.69B
612.9K left
-267.2K (-30.36%)
CNC
Centene Corp
$964.26M
+ $59.32M
=
$1.02B
16.11M left
-124.0K (-0.76%)
MSFT
Microsoft Corporation
$772.83M
- $17.67M
=
$755.16M
3.71M left
-1.19M (-24.28%)
Show all 46 sells (26 more)