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GLENVIEW CAPITAL MANAGEMENT, LLC
13F-HR

Q3 2019

Period Sep 30, 2019Filed Nov 14, 2019View on EDGAR ↗
Compare vsprevious quarter (Q2 2019)
Positions
49
Total value
$9.51B
Top 10 concentration
52.2%
New positions
9

Holdings · 49

#Class
1CIGNA CORP NEW
CI · 125523100
COM$778.95M8.19%5,131,781+3.6%
2HCA HEALTHCARE INC
HCA · 40412C101
COM$643.13M6.77%5,340,716+5.8%
3MCKESSON CORP
MCK · 58155Q103
COM$547.27M5.76%4,004,618-11.1%
4IQVIA HLDGS INC
IQV · 46266C105
COM$540.41M5.69%3,617,697-6.6%
5TAKEDA PHARMACEUTICAL CO LTD
TAK · 874060205
SPONSORED ADS$472.03M4.97%27,443,846+3.8%
6TENET HEALTHCARE CORP
THC · 88033G407
COM NEW$430.77M4.53%19,474,085+8.7%
7HOLOGIC INC
HO1 · 436440101
COM$414.53M4.36%8,210,187-16.0%
8HUMANA INC
HUM · 444859102
COM$408.94M4.30%1,599,469-9.0%
9F M C CORP
FMC · 302491303
COM NEW$375.61M3.95%4,283,832-42.7%
10DXC TECHNOLOGY CO
DXC · 23355L106
COM$347.99M3.66%11,796,332+7.8%
11BAUSCH HEALTH COS INC
BHC · 071734107
COM$301.76M3.17%13,810,514+42.2%
12FISERV INC
FISV · 337738108
COM$281.53M2.96%2,717,742New
13ALPHABET INC
GOOGL · 02079K305
CAP STK CL A$269.18M2.83%220,434-25.4%
14DISNEY WALT CO
DIS · 254687106
COM DISNEY$244.6M2.57%1,876,936-0.3%
15ANTHEM INC
ELV · 036752103
COM$208.41M2.19%868,027-0.3%
16
FLEX LTD
Y2573F102
ORD$202.38M2.13%19,338,996+0.1%
17DAVITA INC
DVA · 23918K108
COM$184.66M1.94%3,235,712
18WILLIAMS COS INC DEL
WMB · 969457100
COM$181.47M1.91%7,542,549+2.8%
19
CBS CORP NEW
124857202
CL B$167.05M1.76%4,138,024-0.2%
20LYONDELLBASELL INDUSTRIES N
LYB · N53745100
SHS - A -$158.12M1.66%1,767,262-57.2%
21UNITEDHEALTH GROUP INC
UNH · 91324P102
COM$157.88M1.66%726,468
22THERMO FISHER SCIENTIFIC INC
TMO · 883556102
COM$136.76M1.44%469,516-14.7%
23BROOKDALE SR LIVING INC
BKD · 112463104
COM$133.66M1.41%17,633,572-4.3%
24MERITOR INC
MTOR · 59001K100
COM$133.34M1.40%7,207,435
25NUANCE COMMUNICATIONS INC
NUANEUR · 67020Y100
COM$128.88M1.36%7,902,017+33.9%
26GLOBAL PMTS INC
GPN · 37940X102
COM$125.59M1.32%789,881New
27UNIVAR SOLUTIONS INC
UNVREUR · 91336L107
COM$125.46M1.32%6,043,409+5.4%
28AVIS BUDGET GROUP INC
CAR · 053774105
COM$122.24M1.29%4,325,470+40.6%
29ELEMENT SOLUTIONS INC
ESI · 28618M106
COM$119.03M1.25%11,692,065
30NXP SEMICONDUCTORS N V
NXPI · N6596X109
COM$115.5M1.22%1,058,466-55.7%
31T MOBILE US INC
TMUS · 872590104
COM$111.99M1.18%1,421,758+19.2%
32UNIVERSAL HLTH SVCS INC
UHS · 913903100
CL B$110.03M1.16%739,717-58.6%
33MYRIAD GENETICS INC
MYGN · 62855J104
COM$105.45M1.11%3,683,306New
34AMERISOURCEBERGEN CORP
COR · 03073E105
COM$103.79M1.09%1,260,606-22.8%
35LOWES COS INC
LOW · 548661107
COM$86.21M0.91%783,991
36FIDELITY NATL INFORMATION SV
FIS · 31620M106
COM$77.42M0.81%583,129New
37
ENDO INTL PLC
G30401106
SHS$67.57M0.71%21,050,891+52.5%
38LIBERTY GLOBAL PLC
LBTYA · G5480U104
SHS CL A$61.52M0.65%2,485,735-46.6%
39CENTENE CORP DEL
CNC · 15135B101
COM$59.75M0.63%1,381,259-6.8%
40UNITED RENTALS INC
URI · 911363109
COM$52.08M0.55%417,802
41WELLCARE HEALTH PLANS INC
WCGEUR · 94946T106
COM$51.73M0.54%199,589+9.9%
42NEWELL BRANDS INC
NWL · 651229106
COM$44.58M0.47%2,381,247New
43
ALLERGAN PLC
G0177J108
SHS$25.98M0.27%154,400New
44
DELPHI TECHNOLOGIES PLC
G2709G107
SHS$20.3M0.21%1,514,814-50.5%
45LIVENT CORP
LTHM1EUR · 53814L108
COM$20.15M0.21%3,012,513-67.6%
46LIBERTY GLOBAL PLC
LBTYA · G5480U120
SHS CL C$18.75M0.20%788,242-82.7%
47TAPESTRY INC
TPR · 876030107
COM$16.96M0.18%650,971New
48SS&C TECHNOLOGIES HLDGS INC
SSNC · 78467J100
COM$13.21M0.14%256,099New
49ADT INC
ADT · 00090Q103
COM$949K0.01%151,301New
Total filing value: $9.51B