← Viking Global portfolio
13F-HR filing
VALIDATEDHoldings period 2004-06-30 · Filed 2004-08-16 · Accession 0001103804-04-000013
Open official SEC source ↗| # | Issuer | Class / CUSIP | Kind | Shares | Value |
|---|---|---|---|---|---|
| 1 | D 3Com Corp | COMMON STOCK · 885535104 | LONG | 1,666,000 | $10.4 million |
| 2 | D Access Pharmaceuticals Inc. | COMMON STOCK · 00431M209 | LONG | 550,000 | $3.6 million |
| 3 | Alliance Capital Management | COMMON STOCK · 01855A101 | LONG | 1,206,900 | $41.0 million |
| 4 | American Home Mortgage Corp. | COMMON STOCK · 02660R107 | LONG | 594,700 | $15.4 million |
| 5 | American Tower -CL A | COMMON STOCK · 029912201 | LONG | 1,518,300 | $23.1 million |
| 6 | D Americredit Corp. | COMMON STOCK · 03060R101 | LONG | 379,003 | $7.4 million |
| 7 | D Antigenics Inc | COMMON STOCK · 037032109 | LONG | 4,448,200 | $38.1 million |
| 8 | Apollo Group, Inc. | COMMON STOCK · 037604105 | LONG | 759,400 | $67.0 million |
| 9 | D Axonyx Inc. | COMMON STOCK · 05461R101 | LONG | 900,000 | $4.7 million |
| 10 | Bank of America Corp. | COMMON STOCK · 060505104 | LONG | 238,001 | $20.1 million |
| 11 | D Barr Laboratories Inc | COMMON STOCK · 068306109 | LONG | 1,360,200 | $45.8 million |
| 12 | Best Buy | COMMON STOCK · 086516101 | LONG | 869,800 | $44.1 million |
| 13 | D Biogen Idec Inc. | COMMON STOCK · 09062X103 | LONG | 741,600 | $46.9 million |
| 14 | D Brocade Communication Systems | COMMON STOCK · 111621108 | LONG | 3,519,000 | $21.0 million |
| 15 | Career Education Corp | COMMON STOCK · 141665109 | LONG | 4,003,200 | $182.4 million |
| 16 | CARNIVAL CORP | COMMON STOCK · 143658300 | LONG | 750,100 | $35.3 million |
| 17 | D Cell Genesys Inc. | COMMON STOCK · 150921104 | LONG | 93,000 | $966,000 |
| 18 | D Cell Therapeutics Inc | COMMON STOCK · 150934107 | LONG | 1,251,000 | $9.2 million |
| 19 | D Cephalon Inc | COMMON STOCK · 156708109 | LONG | 964,200 | $52.1 million |
| 20 | Clear Channel Communications | COMMON STOCK · 184502102 | LONG | 1,813,400 | $67.0 million |
| 21 | D Cortex Pharmaceuticals, Inc. | COMMON STOCK · 220524300 | LONG | 1,069,600 | $2.8 million |
| 22 | Countrywide Financial Corp. | COMMON STOCK · 222372104 | LONG | 1,996,699 | $140.3 million |
| 23 | Cyberonics | COMMON STOCK · 23251P102 | LONG | 767,000 | $25.6 million |
| 24 | D Cyberonics | Put · 23251P952 | LONG | 200,000 | $6.7 million |
| 25 | Dell Computer Corp. | COMMON STOCK · 24702R101 | LONG | 1,507,000 | $54.0 million |
| 26 | D Dendreon Corp | COMMON STOCK · 24823Q107 | LONG | 65,000 | $796,000 |
| 27 | Dollar General | COMMON STOCK · 256669102 | LONG | 4,575,300 | $89.5 million |
| 28 | Dun & Bradstreet Corp | COMMON STOCK · 26483E100 | LONG | 576,700 | $31.1 million |
| 29 | Eaton Vance Corp. | COMMON STOCK · 278265103 | LONG | 598,300 | $22.9 million |
| 30 | Emisphere Technologies | COMMON STOCK · 291345106 | LONG | 1,080,000 | $4.4 million |
| 31 | D Endocare Inc. | COMMON STOCK · 29264P104 | LONG | 500,000 | $1.3 million |
| 32 | FTI Consulting Inc. | COMMON STOCK · 302941109 | LONG | 268,100 | $4.4 million |
| 33 | Gap Inc. | COMMON STOCK · 364760108 | LONG | 1,409,400 | $34.2 million |
| 34 | D GTECH Holdings Corp. | COMMON STOCK · 400518106 | LONG | 194,400 | $9.0 million |
| 35 | D Hasbro Inc | COMMON STOCK · 418056107 | LONG | 2,009,500 | $38.2 million |
| 36 | D Infineon Technologies-ADR | ADRS STOCKS · 45662N103 | LONG | 226,000 | $3.1 million |
| 37 | D IAC/Interactivecorp | COMMON STOCK · 44919P102 | LONG | 5,635,100 | $169.8 million |
| 38 | D Intermune Inc. | COMMON STOCK · 45884X103 | LONG | 1,897,300 | $29.3 million |
| 39 | D Investors Financial Svcs CP | COMMON STOCK · 461915100 | LONG | 155,100 | $6.8 million |
| 40 | JP Morgan Chase & Co. | COMMON STOCK · 46625H100 | LONG | 411,800 | $16.0 million |
| 41 | Kroger Co | COMMON STOCK · 501044101 | LONG | 44,500 | $809,000 |
| 42 | D Lamar Advertising Co. | COMMON STOCK · 512815101 | LONG | 258,000 | $11.2 million |
| 43 | D Loews Corp. - Carolina Group | COMMON STOCK · 540424207 | LONG | 217,500 | $5.3 million |
| 44 | Lowe's Companies | COMMON STOCK · 548661107 | LONG | 875,200 | $46.0 million |
| 45 | McDonald's Corporation | COMMON STOCK · 580135101 | LONG | 1,651,000 | $42.9 million |
| 46 | Medimmune Inc. | COMMON STOCK · 584699102 | LONG | 4,523,900 | $105.8 million |
| 47 | MI Developments Inc - Cl A | COMMON STOCK · 55304X104 | LONG | 1,079,600 | $29.1 million |
| 48 | D Micron Technology Inc. | COMMON STOCK · 595112103 | LONG | 741,000 | $11.3 million |
| 49 | Microsoft Corp | COMMON STOCK · 594918104 | LONG | 1,638,000 | $46.8 million |
| 50 | D Millennium Pharmaceuticals | COMMON STOCK · 599902103 | LONG | 810,200 | $11.2 million |
| 51 | D Morgan Stanley Dean Witer | COMMON STOCK · 617446448 | LONG | 595,300 | $31.4 million |
| 52 | D M-Systems Flash Disk Pioneer | ADRS STOCKS · M7061C100 | LONG | 2,267,000 | $33.8 million |
| 53 | D "Multimedia Games, Inc." | COMMON STOCK · 625453105 | LONG | 42,400 | $1.1 million |
| 54 | D Mylan Laboratories | COMMON STOCK · 628530107 | LONG | 150,000 | $3.0 million |
| 55 | D Neurochem Inc. | ADRS STOCKS · 64125K101 | LONG | 1,883,000 | $39.4 million |
| 56 | D News Corporation Class A | ADRS STOCKS · 652487802 | LONG | 2,442,934 | $80.3 million |
| 57 | D Nexmed Inc | COMMON STOCK · 652903105 | LONG | 931,800 | $1.9 million |
| 58 | D NTL Inc. | COMMON STOCK · 62940M104 | LONG | 1,557,300 | $89.7 million |
| 59 | D Onyx Pharmaceuticals, Inc. | COMMON STOCK · 683399109 | LONG | 405,000 | $17.2 million |
| 60 | D | Orthodontic Centers of AmerericaCOMMON STOCK · 68750P103 | LONG | 344,300 | $2.8 million |
| 61 | D OSI Pharmaceuticals Inc. | COMMON STOCK · 671040103 | LONG | 504,000 | $35.5 million |
| 62 | PalmOne Inc. | COMMON STOCK · 69713P107 | LONG | 50,899 | $1.8 million |
| 63 | PalmSource Inc. | COMMON STOCK · 697154102 | LONG | 15,768 | $270,000 |
| 64 | D PMC-Sierra Inc. | COMMON STOCK · 69344F106 | LONG | 325,230 | $4.7 million |
| 65 | D Prana Biotechnology LTD. | ADRS STOCKS · 739727105 | LONG | 200,000 | $936,000 |
| 66 | D Prometic Life Sciences Inc | COMMON STOCK · 74342Q104 | LONG | 1,500,000 | $2.4 million |
| 67 | D Regal Entertainment Group | COMMON STOCK · 758766109 | LONG | 1,184,310 | $21.4 million |
| 68 | D Schering-Plough Corp. | COMMON STOCK · 806605101 | LONG | 50,000 | $923,000 |
| 69 | D Sprint Corp. | COMMON STOCK · 852061100 | LONG | 588,000 | $10.3 million |
| 70 | D Strayer Education Inc. | COMMON STOCK · 863236105 | LONG | 155,000 | $17.3 million |
| 71 | D Valentis Inc. | COMMON STOCK · 91913E302 | LONG | 138,300 | $962,000 |
| 72 | D Vion Pharmaceuticals Inc. | COMMON STOCK · 927624106 | LONG | 500,000 | $2.1 million |
| 73 | D ViroPharma Inc. | COMMON STOCK · 928241108 | LONG | 434,000 | $776,000 |
| 74 | W.P. Stewart & Co. Ltd. | COMMON STOCK · G84922106 | LONG | 584,200 | $12.0 million |
| 75 | Wal-Mart Stores Inc | COMMON STOCK · 931142103 | LONG | 338,000 | $17.8 million |
| 76 | D Webster Financial Corp | COMMON STOCK · 947890109 | LONG | 175,200 | $8.2 million |