← Viking Global portfolio

13F-HR filing

VALIDATED

Holdings period 2012-12-31 · Filed 2013-02-14 · Accession 0001103804-13-000004

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#IssuerClass / CUSIPKindSharesValue
1ACE LTDSHS · H0023R105LONG5,502,835$439.1 million
2AMERICAN INTL GROUP INCCOM NEW · 026874784LONG6,391,462$225.6 million
3ALEXION PHARMACEUTICALS INCCOM · 015351109LONG4,014,242$376.3 million
4AMERICAN TOWER CORP NEWCOM · 03027X100LONG3,026,330$233.8 million
5AUTOZONE INCCOM · 053332102LONG582,800$206.6 million
6RESEARCH IN MOTION LTDCOM · 760975102LONG15,981,784$189.7 million
7BIOGEN INCCOM · 09062X103LONG2,725,961$399.0 million
8BERKSHIRE HATHAWAY INC DELCL B NEW · 084670702LONG2,304,200$206.7 million
9CITIGROUP INCCOM NEW · 172967424LONG5,402,650$213.7 million
10CARDINAL HEALTH INCCOM · 14149Y108LONG2,145,834$88.4 million
11CROWN CASTLE INTL CORPCOM · 228227104LONG5,297,165$382.2 million
12COLFAX CORPCOM · 194014106LONG3,289,934$132.7 million
13COMCAST CORP NEWCL A · 20030N101LONG4,208,300$157.2 million
14CAPITAL ONE FINL CORPCOM · 14040H105LONG13,668,594$791.8 million
15CEPHEIDCOM · 15670R107LONG2,505,210$84.8 million
16CARTER INCCOM · 146229109LONG3,738,900$208.1 million
17CTRIP COM INTL LTDAMERICAN DEP S · 22943F100LONG1,666,827$37.8 million
18CATAMARAN CORPCOM · 148887102LONG693,049$32.6 million
19DOLLAR GEN CORP NEWCOM · 256677105LONG509,100$22.4 million
20DANAHER CORPORATIONCOM · 235851102LONG14,381,274$803.9 million
21DAVITA INCCOM · 23918K108LONG2,016,734$222.9 million
22LAUDER ESTEE COS INCCL A · 518439104LONG8,058,449$482.4 million
23E M C CORP MASSCOM · 268648102LONG4,626,300$117.0 million
24EASTMAN CHEM COCOM · 277432100LONG6,051,085$411.8 million
25EQUINIX INCCOM NEW · 29444U502LONG937,081$193.2 million
26EQT CORPCOM · 26884L109LONG2,063,500$121.7 million
27GRACE W R & CO DEL NEWCOM · 38388F108LONG1,198,494$80.6 million
28BLOCK H & R INCCOM · 093671105LONG22,983,678$426.8 million
29HUMANA INCCOM · 444859102LONG3,530,829$242.3 million
30HUNTSMAN CORPCOM · 447011107LONG1,355,100$21.5 million
31ICICI BANK LIMITEDADR · 45104G104LONG1,197,000$52.2 million
32INTUITIVE SURGICAL INCCOM NEW · 46120E602LONG818,598$401.4 million
33MICHAEL KORS HLDGS LTDSHS · G60754101LONG2,275,200$116.1 million
34LAS VEGAS SANDS CORPCOM · 517834107LONG5,919,605$273.2 million
35LYONDELLBASELL INDUSTRIES NSHS - A - · N53745100LONG7,542,972$430.6 million
36MASTERCARD INCORPORATEDCL A · 57636Q104LONG552,762$271.6 million
37MEDNAX INCCOM · 58502B106LONG60,000$4.8 million
38MEDIVATION INCCOM · 58501N101LONG3,355,218$171.7 million
39MARSH & MCLENNAN COS INCCOM · 571748102LONG1,564,159$53.9 million
40MOSAIC CO NEWCOM · 61945C103LONG285,048$16.1 million
41NEWELL BRANDS INCCOM · 651229106LONG148,400$3.3 million
42NEWS CORPCL A · 65248E104LONG34,295,229$874.9 million
43ONCOTHYREON INCCOM · 682324108LONG3,361,315$6.5 million
44PRUDENTIAL FINL INCCOM · 744320102LONG225,800$12.0 million
45QUALCOMM INCCOM · 747525103LONG11,449,533$708.3 million
46SHERWIN WILLIAMS COCOM · 824348106LONG805,757$123.9 million
47SCHLUMBERGER LTDCOM · 806857108LONG3,985,860$276.2 million
48SANDISK CORPCOM · 80004C101LONG4,482,305$195.0 million
49STATE STR CORPCOM · 857477103LONG3,120,700$146.7 million
50SOUTHWESTERN ENERGY COCOM · 845467109LONG3,259,637$108.9 million
51TRANSDIGM GROUP INCCOM · 893641100LONG68,000$9.3 million
52TENET HEALTHCARE CORPCOM NEW · 88033G407LONG860,500$27.9 million
53TIBCO SOFTWARE INCCOM · 88632Q103LONG2,601,700$57.2 million
54TIME WARNER INCCOM NEW · 887317303LONG19,564,518$935.8 million
55UNIVERSAL HLTH SVCS INCCL B · 913903100LONG2,106,894$101.9 million
56VISA INCCOM CL A · 92826C839LONG3,463,694$525.0 million
57VIRGIN MEDIA INCCOM · 92769L101LONG2,014,200$74.0 million
58VERISK ANALYTICS INCCL A · 92345Y106LONG820,917$41.8 million
59VALEANT PHARMACEUTICALS INTLCOM · 91911K102LONG3,879,419$231.9 million
60WILLIAMS COS INC DELCOM · 969457100LONG19,444,793$636.6 million