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GLENVIEW CAPITAL MANAGEMENT, LLC
13F-HR

Q2 2023

Period Jun 30, 2023Filed Aug 14, 2023View on EDGAR ↗
Compare vsprevious quarter (Q1 2023)
Positions
49
Total value
$4.44B
Top 10 concentration
66.0%
New positions
8

Holdings · 49

#Class
1THE CIGNA GROUP
CI · 125523100
COM$579.59M13.07%2,065,551+11.6%
2
SPDR S&P 500 ETF TR
78462F103 · Put
TR UNIT$531.94M11.99%1,200,000+0.1%
3TENET HEALTHCARE CORP
THC · 88033G407
COM NEW$526.43M11.87%6,468,798-11.0%
4DXC TECHNOLOGY CO
DXC · 23355L106
COM$260.1M5.86%9,734,411+8.7%
5UNIVERSAL HLTH SVCS INC
UHS · 913903100
CL B$222.54M5.02%1,410,525+63.6%
6GLOBAL PMTS INC
GPN · 37940X102
COM$221.1M4.98%2,244,174
7CLARIVATE PLC
CLVT · G21810109
ORD SHS$165.02M3.72%17,315,445+48.9%
8MCKESSON CORP
MCK · 58155Q103
COM$161.61M3.64%378,193-40.9%
9ALIGHT INC
ALIT · 01626W101
COM CL A$139.5M3.14%15,097,193+6.7%
10CORTEVA INC
CTVA · 22052L104
COM$119.94M2.70%2,093,260+27.7%
11
ISHARES TR
464287655 · Put
RUSSELL 2000 ETF$112.36M2.53%600,000New
12US FOODS HLDG CORP
USFD · 912008109
COM$112.35M2.53%2,553,354-28.9%
13FISERV INC
FISV · 337738108
COM$111.15M2.51%881,068-59.0%
14VALVOLINE INC
VVV · 92047W101
COM$105.12M2.37%2,802,581-26.3%
15FMC CORP
FMC · 302491303
COM NEW$88.92M2.00%852,243+6.2%
16MYRIAD GENETICS INC
MYGN · 62855J104
COM$86.81M1.96%3,744,888-10.7%
17APTIV PLC
APTV · G6095L109
SHS$84.52M1.91%827,937-11.3%
18HCA HEALTHCARE INC
HCA · 40412C101
COM$80M1.80%263,624-41.7%
19BROOKDALE SR LIVING INC
BKD · 112463104
COM$78.68M1.77%18,644,673
20DUPONT DE NEMOURS INC
DD · 26614N102
COM$74.45M1.68%1,042,200-14.4%
21
THE CIGNA GROUP
125523100 · Call
COM$68.61M1.55%244,500New
22UBER TECHNOLOGIES INC
UBER · 90353T100
COM$67.26M1.52%1,558,119-47.7%
23ACTIVISION BLIZZARD INC
ATVIEUR · 00507V109
COM$57.65M1.30%683,849-18.5%
24ELEMENT SOLUTIONS INC
ESI · 28618M106
COM$48.9M1.10%2,546,619-15.8%
25EXPEDIA GROUP INC
EXPE · 30212P303
COM NEW$41.9M0.94%383,038
26EVOLV TECHNOLOGIES HLDNGS IN
EVLV · 30049H102
COM CL A$28.98M0.65%4,829,195-23.6%
27CARDINAL HEALTH INC
CAH · 14149Y108
COM$24.34M0.55%257,330+82.5%
28FEDEX CORP
FDX · 31428X106
COM$23.71M0.53%95,628-41.2%
29HEWLETT PACKARD ENTERPRISE C
HPE · 42824C109
COM$21M0.47%1,250,000New
30WARNER BROS DISCOVERY INC
WBD · 934423104
COM SER A$20.37M0.46%1,624,300New
31
BROOKDALE SR LIVING INC
112463AC8
NOTE 2.000%10/1$20.03M0.45%25,450,000
32MATCH GROUP INC NEW
MTCH · 57667L107
COM$19.87M0.45%474,886
33BUTTERFLY NETWORK INC
BFLY · 124155102
COM CL A$18.48M0.42%8,033,501
34
FLEX LTD
Y2573F102
ORD$17.19M0.39%621,859-67.7%
35BAUSCH HEALTH COS INC
BHC · 071734107
COM$14.13M0.32%1,766,395New
36AMAZON COM INC
AMZN · 023135106
COM$13.04M0.29%100,017-78.0%
37DIGIMARC CORP NEW
DMRC · 25381B101
COM$12.79M0.29%434,497
38UNION PAC CORP
UNP · 907818108
COM$12.79M0.29%62,504
39COCA-COLA EUROPACIFIC PARTNE
KO · G25839104
SHS$12.1M0.27%187,810-84.4%
40CHARTER COMMUNICATIONS INC N
CHTR · 16119P108
CL A$11.52M0.26%31,366New
41KNIGHT-SWIFT TRANSN HLDGS IN
KNX · 499049104
CL A$5.56M0.13%100,000-73.4%
42QUANTUM SI INC
QSI · 74765K105
COM CL A$4.32M0.10%2,415,990-42.7%
43
CANO HEALTH INC
13781Y103
COM CL A$2.36M0.05%1,700,127+78.9%
44PHENOMEX INC
BLIUSD · 084310101
COM$1.87M0.04%3,816,313
45DUN & BRADSTREET HLDGS INC
DNB · 26484T106
COM$1.79M0.04%154,374
46RAPID MICRO BIOSYSTEMS INC
RPID · 75340L104
CLASS A COM$1.32M0.03%1,318,288+61.1%
47CIBUS INC
CBUS · 17166A101
CL A COM STK$1.26M0.03%119,963New
48BUTTERFLY NETWORK INC
BFLY · 124155110
*W EXP 02/12/202$403.49K0.01%1,713,333
49
DOMA HOLDINGS INC
25703A203
COM NEW$98.77K0.00%19,994New
Total filing value: $4.44B