← Viking Global portfolio
13F-HR filing
VALIDATEDHoldings period 2008-12-31 · Filed 2009-02-17 · Accession 0001103804-09-000002
Open official SEC source ↗| # | Issuer | Class / CUSIP | Kind | Shares | Value |
|---|---|---|---|---|---|
| 1 | Alcon Inc | ADRS STOCKS · H01301102 | LONG | 305,000 | $27.2 million |
| 2 | Aon Corp | COMMON STOCK · 037389103 | LONG | 1,249,000 | $57.1 million |
| 3 | Apollo Group, Inc. | COMMON STOCK · 037604105 | LONG | 8,555,600 | $650.2 million |
| 4 | Axis Capital Holdings LTD | COMMON STOCK · G0692U109 | LONG | 495,000 | $14.4 million |
| 5 | Bank of America Corp. | COMMON STOCK · 060505104 | LONG | 15,714,000 | $221.3 million |
| 6 | BCE Inc. | COMMON STOCK · 05534B760 | LONG | 15,613,700 | $392.4 million |
| 7 | DaVita Inc. | COMMON STOCK · 23918K108 | LONG | 4,065,500 | $201.5 million |
| 8 | First Horizon National Corp | COMMON STOCK · 320517105 | LONG | 7,124,410 | $75.3 million |
| 9 | Illumina Inc. | COMMON STOCK · 452327109 | LONG | 2,302,100 | $60.0 million |
| 10 | Invesco Limited | COMMON STOCK · G491BT108 | LONG | 18,612,100 | $268.8 million |
| 11 | ITT Educational Services Inc | COMMON STOCK · 45068B109 | LONG | 2,376,200 | $225.7 million |
| 12 | JP Morgan Chase & Co. | COMMON STOCK · 46625H100 | LONG | 3,218,000 | $101.5 million |
| 13 | Kroger Co | COMMON STOCK · 501044101 | LONG | 2,084,000 | $55.0 million |
| 14 | Macrovision Solutions Corp | COMMON STOCK · 55611C108 | LONG | 3,877,050 | $49.0 million |
| 15 | Mastercard Inc | COMMON STOCK · 57636Q104 | LONG | 965,600 | $138.0 million |
| 16 | McKesson Corp. | COMMON STOCK · 58155Q103 | LONG | 1,900,400 | $73.6 million |
| 17 | ModusLink Global Solutions | COMMON STOCK · 60786L107 | LONG | 146 | $0 |
| 18 | MSCI Inc | COMMON STOCK · 55354G100 | LONG | 6,667,800 | $118.4 million |
| 19 | NRG Energy Inc | COMMON STOCK · 629377508 | LONG | 6,790,000 | $158.4 million |
| 20 | Palm Inc | COMMON STOCK · 696643105 | LONG | 101,798 | $312,000 |
| 21 | Priceline.com | COMMON STOCK · 741503403 | LONG | 2,327,100 | $171.4 million |
| 22 | Qualcomm Inc | COMMON STOCK · 747525103 | LONG | 5,807,700 | $208.1 million |
| 23 | RenaissanceRe Holdings | COMMON STOCK · G7496G103 | LONG | 229,000 | $11.8 million |
| 24 | St Jude Medical Inc. | COMMON STOCK · 790849103 | LONG | 964,000 | $31.8 million |
| 25 | The Sherwin-Williams Company | COMMON STOCK · 824348106 | LONG | 1,211,300 | $72.4 million |
| 26 | Verisign INC | COMMON STOCK · 92343E102 | LONG | 4,826,400 | $92.1 million |
| 27 | Vulcan Materials Co | COMMON STOCK · 929160109 | LONG | 358,400 | $24.5 million |