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Viking Global Investors (Andreas Halvorsen) - FilingSpy
Viking Global Investors
Andreas Halvorsen
$24.74B
13F
2022 Q1
16 of 53 quarters
Overview
Activity
Holdings
Buys
MA
NEW
Mastercard Incorporated
$640.96M
+1.79M shares
XP
NEW
Xp Inc.
$284.24M
+9.44M shares
OTIS
NEW
Otis Worldwide Corporation
$272.26M
+3.54M shares
SHOP
NEW
Shopify Inc
$151.23M
+223.7K shares
PGR
NEW
The Progressive Corporation
$118.24M
+1.04M shares
PRGO
NEW
Perrigo Company Plc
$97.05M
+2.53M shares
MET
NEW
Metlife, Inc.
$95.73M
+1.36M shares
AMLX
NEW
Amylyx Pharmaceuticals Inc
$92.14M
+7.17M shares
DG
NEW
Dollar General Corp.
$86.45M
+388.3K shares
INSP
NEW
Inspire Medical Systems Inc
$79.80M
+310.9K shares
ELV
NEW
Anthem Inc.
$69.21M
+140.9K shares
BX
NEW
Blackstone Inc.
$64.69M
+509.6K shares
BA
NEW
Boeing Company (the)
$58.47M
+305.3K shares
UNH
NEW
UnitedHealth Group Incorporated
$39.22M
+76.9K shares
UNM
NEW
Unum Group
$35.85M
+1.14M shares
JPM
NEW
JPMorgan Chase & Co.
$16.32M
+119.7K shares
TMUS
T-Mobile U.s., Inc.
$1.52B
+ $197.28M
=
$1.72B
13.15M
+269.9K (+2.05%)
AMZN
Amazon.com Inc
$927.61M
+ $450.87M
=
$1.38B
278.2K
+144.7K (+52.00%)
MSFT
Microsoft Corporation
$986.35M
+ $36.97M
=
$1.02B
2.93M
+386.4K (+13.17%)
PH
Parker-Hannifin Corp
$972.47M
- $74.27M
=
$898.20M
3.06M
+108.4K (+3.55%)
Show all 47 buys (27 more)
Sells
ABMD
EXIT
Abiomed Inc
$29.66M
- $29.66M
=
Closed
-82.6K shares (100%)
AHCO
EXIT
Adapthealth Corp
$96.61M
- $96.61M
=
Closed
-3.95M shares (100%)
AMED
EXIT
Amedisys Inc
$63.32M
- $63.32M
=
Closed
-391.1K shares (100%)
AIG
EXIT
American International Group Inc
$165.08M
- $165.08M
=
Closed
-2.90M shares (100%)
APO
EXIT
Apollo Global Management, Inc.
$38.98M
- $38.98M
=
Closed
-538.2K shares (100%)
AIZ
EXIT
Assurant Inc
$268.67M
- $268.67M
=
Closed
-1.72M shares (100%)
BMY
EXIT
Bristol-Myers Squibb Co.
$113.20M
- $113.20M
=
Closed
-1.82M shares (100%)
COUP
EXIT
Coupa Software Inc
$658.76M
- $658.76M
=
Closed
-4.17M shares (100%)
COUP
EXIT
Coupa Software Inc
$95.00M
- $95.00M
=
Closed
-100.00M shares (100%)
FIGS
EXIT
Figs Inc
$406.31M
- $406.31M
=
Closed
-14.74M shares (100%)
FDX
EXIT
Fedex Corp.
$169.47M
- $169.47M
=
Closed
-655.2K shares (100%)
FLT
EXIT
Fleetcor Technologies, Inc.
$220.12M
- $220.12M
=
Closed
-983.4K shares (100%)
GRCL
EXIT
Gracell Biotechnologies Inc.
$2.97M
- $2.97M
=
Closed
-491.6K shares (100%)
HUM
EXIT
Humana Inc
$1.24B
- $1.24B
=
Closed
-2.66M shares (100%)
ICVX
EXIT
Icosavax Inc
$41.11M
- $41.11M
=
Closed
-1.80M shares (100%)
KKR
EXIT
Kkr & Co Inc
$60.05M
- $60.05M
=
Closed
-806.1K shares (100%)
MCD
EXIT
Mcdonald'S Corporation
$256.88M
- $256.88M
=
Closed
-958.2K shares (100%)
PANW
EXIT
Palo Alto Networks Inc
$220.01M
- $220.01M
=
Closed
-395.2K shares (100%)
PTON
EXIT
Peloton Interactive Inc
$141.31M
- $141.31M
=
Closed
-3.95M shares (100%)
PHM
EXIT
Pultegroup Inc
$52.23M
- $52.23M
=
Closed
-913.7K shares (100%)
Show all 62 sells (42 more)