← Viking Global portfolio
13F-HR/A filing
VALIDATEDHoldings period 2003-03-31 · Filed 2003-05-21 · Accession 0001103804-03-000015
Open official SEC source ↗| # | Issuer | Class / CUSIP | Kind | Shares | Value |
|---|---|---|---|---|---|
| 1 | D Abgenix Inc | COMMON STOCK · 00339B107 | LONG | 1,471,900 | $12.8 million |
| 2 | D AFC Enterprises | COMMON STOCK · 00104Q107 | LONG | 265,300 | $3.6 million |
| 3 | D Agere Systems Inc. | COMMON STOCK · 00845V100 | LONG | 937,500 | $1.5 million |
| 4 | D Alcatel ADRs | ADRS STOCKS · 013904305 | LONG | 800,000 | $5.5 million |
| 5 | D Altria Group Inc. | COMMON STOCK · 02209S103 | LONG | 229,100 | $6.9 million |
| 6 | D AMC Entertainment Inc. | COMMON STOCK · 001669100 | LONG | 176,100 | $1.5 million |
| 7 | D Amdocs LTD | COMMON STOCK · G02602103 | LONG | 74,300 | $986,000 |
| 8 | D Amgen Inc. | COMMON STOCK · 031162100 | LONG | 825,000 | $47.5 million |
| 9 | D Anheuser-Busch Cos Inc | COMMON STOCK · 035229103 | LONG | 32,000 | $1.5 million |
| 10 | D AT&T Wireless | COMMON STOCK · 00209A106 | LONG | 1,857,900 | $12.3 million |
| 11 | Bank of America Corp. | COMMON STOCK · 060505104 | LONG | 50,300 | $3.4 million |
| 12 | D Berkshire Hathaway Inc - Cl A | COMMON STOCK · 084670108 | LONG | 1,517 | $96.8 million |
| 13 | D Bioval Corp | COMMON STOCK · 09067J109 | LONG | 839,900 | $33.5 million |
| 14 | Bisys Group Inc / The | COMMON STOCK · 055472104 | LONG | 71,500 | $1.2 million |
| 15 | Bristol-Myers Squibb Co. | COMMON STOCK · 110122108 | LONG | 2,503,600 | $52.9 million |
| 16 | D CapitalOne Financial | COMMON STOCK · 14040H105 | LONG | 1,002,700 | $30.1 million |
| 17 | D Carmax Inc. | COMMON STOCK · 143130102 | LONG | 2,521,563 | $36.7 million |
| 18 | D CBRL Group Inc. (Cracker Barrel) | COMMON STOCK · 12489V106 | LONG | 36,300 | $996,000 |
| 19 | D CDW Computer Centers Inc. | COMMON STOCK · 125129106 | LONG | 1,514,300 | $61.8 million |
| 20 | D Circuit City Stores - Circuit | COMMON STOCK · 172737108 | LONG | 3,074,800 | $16.0 million |
| 21 | Clear Channel Communications | COMMON STOCK · 184502102 | LONG | 136,400 | $4.6 million |
| 22 | D Concord EFS Inc | COMMON STOCK · 206197105 | LONG | 1,390,300 | $13.1 million |
| 23 | D Connetics Corp | COMMON STOCK · 208192104 | LONG | 83,200 | $1.4 million |
| 24 | D Cree Inc | COMMON STOCK · 225447101 | LONG | 935,100 | $17.3 million |
| 25 | D Cubist Pharmaceuticals Inc | COMMON STOCK · 229678107 | LONG | 255,000 | $2.0 million |
| 26 | D Dell Computer Corp. | COMMON STOCK · 247025109 | LONG | 1,416,100 | $38.7 million |
| 27 | Dollar General | COMMON STOCK · 256669102 | LONG | 1,681,500 | $20.5 million |
| 28 | D Dollar Tree Stores Inc | COMMON STOCK · 256747106 | LONG | 110,000 | $1.3 million |
| 29 | D Echostar Communications | COMMON STOCK · 278762109 | LONG | 35,000 | $1.0 million |
| 30 | D Focal Communications-WT07 | COMMON STOCK · 344155114 | LONG | 29,582 | $0 |
| 31 | D Freddie Mac | COMMON STOCK · 313400301 | LONG | 1,189,900 | $63.2 million |
| 32 | D Goldman Sachs Group Inc. | COMMON STOCK · 38141G104 | LONG | 113,600 | $7.7 million |
| 33 | D Guilford Pharmaceuticals | COMMON STOCK · 401829106 | LONG | 24,200 | $89,000 |
| 34 | Hewlett-Packard Co. | COMMON STOCK · 428236103 | LONG | 6,592,700 | $102.5 million |
| 35 | Home Depot Inc. | COMMON STOCK · 437076102 | LONG | 2,508,700 | $61.1 million |
| 36 | Human Genome Sciences Inc. | COMMON STOCK · 444903108 | LONG | 820,800 | $7.0 million |
| 37 | D ID Biomedical Corp. | ADRS STOCKS · 44936D108 | LONG | 110,000 | $742,000 |
| 38 | D IDEC Pharmaceuticals Corp. | COMMON STOCK · 449370105 | LONG | 600,000 | $20.5 million |
| 39 | D Ilex Oncology Inc | COMMON STOCK · 451923106 | LONG | 335,700 | $3.1 million |
| 40 | D Int'l Game Technology | COMMON STOCK · 459902102 | LONG | 782,700 | $64.1 million |
| 41 | D John Hancock Financial Services | COMMON STOCK · 41014S106 | LONG | 2,284,100 | $63.5 million |
| 42 | D Knight - Ridder Inc | COMMON STOCK · 499040103 | LONG | 254,000 | $14.9 million |
| 43 | D Kraft Foods Inc-A | COMMON STOCK · 50075N104 | LONG | 721,900 | $20.4 million |
| 44 | D Lexmark International Inc. | COMMON STOCK · 529771107 | LONG | 3,445,100 | $230.6 million |
| 45 | D Liberty Media Corp - A | COMMON STOCK · 530718105 | LONG | 3,716,720 | $36.2 million |
| 46 | D Loews Corp. - Carolina Group | COMMON STOCK · 540424207 | LONG | 786,200 | $14.5 million |
| 47 | Lowe's Companies | COMMON STOCK · 548661107 | LONG | 975,900 | $39.8 million |
| 48 | D Lucent Technology 8% 8/01/31 | COMMON STOCK · 549463305 | LONG | 11,000 | $9.4 million |
| 49 | D Mandalay Resort Group | COMMON STOCK · 562567107 | LONG | 841,000 | $23.2 million |
| 50 | D Mattel Inc | COMMON STOCK · 577081102 | LONG | 433,800 | $9.8 million |
| 51 | McDonald's Corporation | COMMON STOCK · 580135101 | LONG | 1,180,000 | $17.1 million |
| 52 | D Metro-Goldwyn-Mayer Inc | COMMON STOCK · 591610100 | LONG | 1,184,000 | $12.4 million |
| 53 | D MGM Grand | COMMON STOCK · 552953101 | LONG | 549,800 | $13.4 million |
| 54 | D Millennium Pharmaceuticals | COMMON STOCK · 599902103 | LONG | 44,800 | $352,000 |
| 55 | D Morgan Stanley Dean Witer | COMMON STOCK · 617446448 | LONG | 967,700 | $37.1 million |
| 56 | D Nokia Corp - Spon ADR | ADRS STOCKS · 654902204 | LONG | 2,359,400 | $33.1 million |
| 57 | D Outback Steakhouse Inc | COMMON STOCK · 689899102 | LONG | 47,700 | $1.7 million |
| 58 | D Pall Corp | COMMON STOCK · 696429307 | LONG | 350,000 | $7.0 million |
| 59 | D Palm Inc. | COMMON STOCK · 696642206 | LONG | 50,899 | $508,000 |
| 60 | D Pfizer Inc. | COMMON STOCK · 717081103 | LONG | 3,989,300 | $124.3 million |
| 61 | D Pharmacia Corp. | COMMON STOCK · 71713U102 | LONG | 522,900 | $22.6 million |
| 62 | D Regal Entertainment Group | COMMON STOCK · 758766109 | LONG | 1,994,400 | $35.8 million |
| 63 | Ross Stores OTC | COMMON STOCK · 778296103 | LONG | 441,300 | $15.9 million |
| 64 | D Saxon Capital Acquisition Co | COMMON STOCK · 80556P302 | LONG | 951,500 | $12.7 million |
| 65 | D SBC Communications | COMMON STOCK · 78387G103 | LONG | 1,800,000 | $36.1 million |
| 66 | D Sepracor Inc | COMMON STOCK · 817315104 | LONG | 20,000 | $270,000 |
| 67 | D Serologicals Corporation | COMMON STOCK · 817523103 | LONG | 95,000 | $807,000 |
| 68 | D Shire Pharmaceuticals - ADR | ADRS STOCKS · 82481R106 | LONG | 1,302,500 | $24.1 million |
| 69 | D Talbots Inc. | COMMON STOCK · 874161102 | LONG | 42,400 | $648,000 |
| 70 | D Tech Data Corp. | COMMON STOCK · 878237106 | LONG | 121,100 | $2.9 million |
| 71 | D Trimeris INC | COMMON STOCK · 896263100 | LONG | 160,100 | $6.6 million |
| 72 | D US Bancorp | COMMON STOCK · 902973304 | LONG | 121,000 | $2.3 million |
| 73 | D UST Inc. | COMMON STOCK · 902911106 | LONG | 143,200 | $4.0 million |
| 74 | D Vaxgen Inc | COMMON STOCK · 922390208 | LONG | 260,000 | $790,000 |
| 75 | D Vertex Pharmaceuticals Inc | COMMON STOCK · 92532F100 | LONG | 750,000 | $8.4 million |
| 76 | D Vicuron Pharmaceuticals Inc | COMMON STOCK · 926471103 | LONG | 41,000 | $444,000 |
| 77 | Vodafone Airtouch PLC - ADR | ADRS STOCKS · 92857W100 | LONG | 569,400 | $10.4 million |
| 78 | W.P. Stewart & Co. Ltd. | COMMON STOCK · G84922106 | LONG | 1,038,800 | $17.7 million |
| 79 | D Weight Watchers Intl Inc. | COMMON STOCK · 948626106 | LONG | 382,100 | $17.6 million |
| 80 | Willis Group Holdings Ltd. | COMMON STOCK · G96655108 | LONG | 4,312,700 | $119.5 million |