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GLENVIEW CAPITAL MANAGEMENT, LLC
13F-HR

Q4 2017

Period Dec 31, 2017Filed Feb 14, 2018View on EDGAR ↗
Compare vsprevious quarter (Q3 2017)
Positions
58
Total value
$18.5B
Top 10 concentration
44.2%
New positions
10

Holdings · 58

#Class
1HCA HEALTHCARE INC
HCA · 40412C101
COM$1.08B5.86%12,351,122-18.5%
2
DOWDUPONT INC
26078J100
COM$1.06B5.75%14,933,459-8.0%
3F M C CORP
FMC · 302491303
COM NEW$1.01B5.46%10,668,384-9.0%
4
SHIRE PLC
82481R106
SPONSORED ADR$890.17M4.81%5,738,610-2.2%
5IQVIA HLDGS INC
IQV · 46266C105
COM$839.68M4.54%8,576,935New
6
FLEX LTD
Y2573F102
ORD$709.4M3.83%39,432,751
7ANTHEM INC
ELV · 036752103
COM$687.97M3.72%3,057,497-19.6%
8DXC TECHNOLOGY CO
DXC · 23355L106
COM$656.97M3.55%6,922,784-11.5%
9THERMO FISHER SCIENTIFIC INC
TMO · 883556102
COM$631.84M3.42%3,327,576+21.9%
10MCKESSON CORP
MCK · 58155Q103
COM$592.92M3.21%3,801,966+39.7%
11CIGNA CORPORATION
CI · 125509109
COM$531.91M2.88%2,619,078-15.1%
12NEWELL BRANDS INC
NWL · 651229106
COM$525.7M2.84%17,012,932New
13ALPHABET INC
GOOGL · 02079K305
CAP STK CL A$518.01M2.80%491,752-19.1%
14
AETNA INC NEW
00817Y108
COM$517.62M2.80%2,869,460-24.4%
15EBAY INC
EBAY · 278642103
COM$500.78M2.71%13,269,082+26.9%
16WALGREENS BOOTS ALLIANCE INC
WBA · 931427108
COM$495.97M2.68%6,829,696+13725.3%
17CVS HEALTH CORP
CVS · 126650100
COM$494.57M2.67%6,821,631+398.3%
18UNIVERSAL HLTH SVCS INC
UHS · 913903100
CL B$467.75M2.53%4,126,555+79.5%
19FIRST DATA CORP NEW
FDC · 32008D106
COM CL A$459.07M2.48%27,472,976+61.9%
20
LABORATORY CORP AMER HLDGS
50540R409
COM NEW$425.96M2.30%2,670,426-8.2%
21
CBS CORP NEW
124857202
CL B$399.18M2.16%6,765,742+3.0%
22AVIS BUDGET GROUP
CAR · 053774105
COM$333.4M1.80%7,598,004
23WILLIAMS COS INC DEL
WMB · 969457100
COM$309.46M1.67%10,149,408+34.8%
24TENET HEALTHCARE CORP
THC · 88033G407
COM NEW$271.29M1.47%17,895,314+0.0%
25APTIV PLC
APTV · G6095L109
SHS$249.04M1.35%2,935,720New
26LIBERTY GLOBAL PLC
LBTYA · G5480U104
SHS CL A$246.45M1.33%6,876,465-11.4%
27APPLE INC
AAPL · 037833100
COM$213.5M1.15%1,261,612-49.3%
28LIBERTY GLOBAL PLC
LBTYA · G5480U120
SHS CL C$211.13M1.14%6,239,140-4.5%
29
ALLERGAN PLC
G0177J108
SHS$188.87M1.02%1,154,576New
30VISA INC
V · 92826C839
COM CL A$182.75M0.99%1,602,813-21.0%
31BROOKDALE SR LIVING INC
BKD · 112463104
COM$177.03M0.96%18,250,718+15.9%
32CHARTER COMMUNICATIONS INC N
CHTR · 16119P108
CL A$160.23M0.87%476,929New
33VEREIT INC
ARCPEUR · 92339V100
COM$159.49M0.86%20,473,142+7.3%
34PENTAIR PLC
PNR · G7S00T104
SHS$157.82M0.85%2,234,747+26.2%
35
VANTIV INC
92210H105
CL A$153.83M0.83%2,091,464+1176.1%
36
ENDO INTL PLC
G30401106
SHS$149.1M0.81%19,238,422+75.6%
37
PLATFORM SPECIALTY PRODS COR
72766Q105
COM$142.14M0.77%14,328,633
38FEDEX CORP
FDX · 31428X106
COM$132.04M0.71%529,127+314.9%
39ABBVIE INC
ABBV · 00287Y109
COM$131.96M0.71%1,364,449-74.5%
40
DUN & BRADSTREET CORP DEL NE
26483E100
COM$130.87M0.71%1,105,262-39.0%
41LOWES COS INC
LOW · 548661107
COM$125.59M0.68%1,351,331-67.8%
42
DELPHI TECHNOLOGIES PLC
G2709G107
SHS$122.08M0.66%2,326,629New
43COCA COLA EUROPEAN PARTNERS
KO · G25839104
SHS$116.28M0.63%2,917,898-7.6%
44MERITOR INC
MTOR · 59001K100
COM$114.09M0.62%4,863,111-17.2%
45COMCAST CORP NEW
CMCSA · 20030N101
CL A$110.63M0.60%2,762,360+20.0%
46
REALOGY HLDGS CORP
75605Y106
COM$103.26M0.56%3,896,651
47HERTZ GLOBAL HLDGS INC
HTZ · 42806J106
COM$95.19M0.51%4,307,353-14.9%
48MICHAELS COS INC
MIKUSD · 59408Q106
COM$87.98M0.48%3,636,818New
49CONDUENT INC
CNDT · 206787103
COM$82.12M0.44%5,081,773+27.0%
50MOHAWK INDS INC
MHK · 608190104
COM$80.72M0.44%292,551-30.7%
51ARAMARK
ARMK · 03852U106
COM$73.3M0.40%1,715,109New
52CARDINAL HEALTH INC
CAH · 14149Y108
COM$46.02M0.25%751,018New
53LYONDELLBASELL INDUSTRIES N
LYB · N53745100
SHS - A -$43.16M0.23%391,230New
54
MONSANTO CO NEW
61166W101
COM$37.97M0.21%325,149-8.6%
55KINDER MORGAN INC DEL
KMI · 49456B101
COM$32.88M0.18%1,819,630
56
KINDRED HEALTHCARE INC
494580103
COM$19.31M0.10%1,990,247-52.8%
57TAILORED BRANDS INC
TLRDQ · 87403A107
COM$2.89M0.02%132,517-94.5%
58CITIGROUP INC
C · 172967226
*W EXP 01/04/201$804K0.00%8,031,020
Total filing value: $18.5B