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GLENVIEW CAPITAL MANAGEMENT, LLC
13F-HR

Q1 2018

Period Mar 31, 2018Filed May 15, 2018View on EDGAR ↗
Compare vs4 quarters back (Q1 2017)
Positions
54
Total value
$17.1B
Top 10 concentration
43.2%
New positions
20

Exited positions· 18 vs. Q1 2017

Holdings · 54

#Class
1HCA HEALTHCARE INC
HCA · 40412C101
COM$1.15B6.73%11,859,592-16.9%
2
SHIRE PLC
82481R106
SPONSORED ADR$896.59M5.24%6,001,684+491.0%
3
DOWDUPONT INC
26078J100
COM$828.69M4.85%13,007,271New
4F M C CORP
FMC · 302491303
COM NEW$781.7M4.57%10,208,898-3.5%
5IQVIA HLDGS INC
IQV · 46266C105
COM$757.41M4.43%7,719,983New
6NEWELL BRANDS INC
NWL · 651229106
COM$661.69M3.87%25,968,987New
7MCKESSON CORP
MCK · 58155Q103
COM$619.58M3.62%4,398,271+379.2%
8THERMO FISHER SCIENTIFIC INC
TMO · 883556102
COM$611.69M3.58%2,962,743-0.3%
9WALGREENS BOOTS ALLIANCE INC
WBA · 931427108
COM$535.87M3.13%8,184,927New
10
FLEX LTD
Y2573F102
ORD$533.26M3.12%32,655,437+3.7%
11DXC TECHNOLOGY CO
DXC · 23355L106
COM$529.06M3.09%5,262,698New
12ANTHEM INC
ELV · 036752103
COM$501.21M2.93%2,281,335-51.6%
13CVS HEALTH CORP
CVS · 126650100
COM$484.89M2.84%7,794,388New
14UNIVERSAL HLTH SVCS INC
UHS · 913903100
CL B$482.01M2.82%4,070,718+137.4%
15
AETNA INC NEW
00817Y108
COM$478.98M2.80%2,834,217-43.6%
16EBAY INC
EBAY · 278642103
COM$462.55M2.71%11,494,757+599.6%
17TENET HEALTHCARE CORP
THC · 88033G407
COM NEW$433.96M2.54%17,895,314+0.0%
18ALPHABET INC
GOOGL · 02079K305
CAP STK CL A$416.65M2.44%401,728-36.6%
19FIRST DATA CORP NEW
FDC · 32008D106
COM CL A$407.56M2.38%25,472,608+137.6%
20CIGNA CORPORATION
CI · 125509109
COM$360.77M2.11%2,150,778-56.2%
21
CBS CORP NEW
124857202
CL B$337.79M1.98%6,573,114+20.1%
22
EXPRESS SCRIPTS HLDG CO
30219G108
COM$320.67M1.88%4,641,986New
23
LABORATORY CORP AMER HLDGS
50540R409
COM NEW$300.34M1.76%1,856,832-30.3%
24AVIS BUDGET GROUP
CAR · 053774105
COM$289.92M1.70%6,189,555-25.4%
25FEDEX CORP
FDX · 31428X106
COM$285.06M1.67%1,187,217New
26T MOBILE US INC
TMUS · 872590104
COM$274.77M1.61%4,501,420+470.0%
27PENTAIR PLC
PNR · G7S00T104
SHS$268.93M1.57%3,947,316New
28WILLIAMS COS INC DEL
WMB · 969457100
COM$258.53M1.51%10,399,522+43.6%
29
ALLERGAN PLC
G0177J108
SHS$256.96M1.50%1,526,890New
30APTIV PLC
APTV · G6095L109
SHS$228.1M1.33%2,684,416New
31LIBERTY GLOBAL PLC
LBTYA · G5480U104
SHS CL A$210.36M1.23%6,718,590-13.7%
32LOWES COS INC
LOW · 548661107
COM$193.57M1.13%2,205,920-59.5%
33CARDINAL HEALTH INC
CAH · 14149Y108
COM$189.06M1.11%3,016,195New
34ARAMARK
ARMK · 03852U106
COM$174.91M1.02%4,421,330New
35LIBERTY GLOBAL PLC
LBTYA · G5480U120
SHS CL C$171.41M1.00%5,632,898-3.3%
36
PLATFORM SPECIALTY PRODS COR
72766Q105
COM$129.15M0.76%13,411,427+19.7%
37
ENDO INTL PLC
G30401106
SHS$127.64M0.75%21,488,422+107.0%
38
DELPHI TECHNOLOGIES PLC
G2709G107
SHS$122.21M0.71%2,564,770New
39BROOKDALE SR LIVING INC
BKD · 112463104
COM$112.53M0.66%16,769,719+13.8%
40MERITOR INC
MTOR · 59001K100
COM$109.31M0.64%5,316,836-25.4%
41VEREIT INC
ARCPEUR · 92339V100
COM$107.59M0.63%15,458,526-8.8%
42
REALOGY HLDGS CORP
75605Y106
COM$97.16M0.57%3,561,472-43.5%
43HERTZ GLOBAL HLDGS INC
HTZ · 42806J106
COM$97.03M0.57%4,888,272+12.0%
44AMERISOURCEBERGEN CORP
COR · 03073E105
COM$83.79M0.49%971,936New
45COMCAST CORP NEW
CMCSA · 20030N101
CL A$75.51M0.44%2,209,921New
46MICHAELS COS INC
MIKUSD · 59408Q106
COM$74.65M0.44%3,787,143New
47CHARTER COMMUNICATIONS INC N
CHTR · 16119P108
CL A$56.87M0.33%182,742-51.8%
48VISA INC
V · 92826C839
COM CL A$47.84M0.28%399,915-81.1%
49MOHAWK INDS INC
MHK · 608190104
COM$43.24M0.25%186,190-48.1%
50HUMANA INC
HUM · 444859102
COM$39.4M0.23%146,560-97.2%
51FACEBOOK INC
META · 30303M102
CL A$33.95M0.20%212,473New
52CONDUENT INC
CNDT · 206787103
COM$22.9M0.13%1,228,671New
53
DOWDUPONT INC
26078J100 · Call
COM$19.11M0.11%300,000New
54CITIGROUP INC
C · 172967226
*W EXP 01/04/201$369K0.00%8,031,020
Total filing value: $17.1B