← Viking Global portfolio

13F-HR filing

VALIDATED

Holdings period 2017-09-30 · Filed 2017-11-14 · Accession 0001103804-17-000061

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#IssuerClass / CUSIPKindSharesValue
1ATYR PHARMA INCCOM · 002120103LONG1,777,784$9.0 million
2ELEVANCE HEALTH INCCOM · 036752103LONG873,464$165.9 million
3AUTODESK INCCOM · 052769106LONG2,429,369$272.7 million
4AVEXIS INCCOM · 05366U100LONG591,360$57.2 million
5BANK AMERICA CORPCOM · 060505104LONG7,334,276$185.9 million
6CABOT OIL & GAS CORPCOM · 127097103LONG4,065,094$108.7 million
7CALITHERA BIOSCIENCES INCCOM · 13089P101LONG2,624,533$41.3 million
8CANADIAN PAC RY LTDCOM · 13645T100LONG3,429,705$576.3 million
9D R HORTON INCCOM · 23331A109LONG1,529,716$61.1 million
10DECIPHERA PHARMACEUTICALS INCOM · 24344T101LONG2,491,542$47.3 million
11DEERE & COCOM · 244199105LONG3,071,419$385.7 million
12DENTSPLY SIRONA INCCOM · 24906P109LONG3,553,517$212.5 million
13DOMINOS PIZZA INCCOM · 25754A201LONG358,790$71.2 million
14EQT CORPCOM · 26884L109LONG2,487,125$162.3 million
15EDITAS MEDICINE INCCOM · 28106W103LONG1,709,401$41.0 million
16ENCANA CORPCOM · 292505104LONG93,384,875$1.10 billion
17EQUIFAX INCCOM · 294429105LONG537,806$57.0 million
18META PLATFORMS INCCL A · 30303M102LONG4,399,672$751.8 million
19FLEETCOR TECHNOLOGIES INCCOM · 339041105LONG1,014,142$157.0 million
20GW PHARMACEUTICALS PLCADS · 36197T103LONG703,856$71.4 million
21ABEONA THERAPEUTICS INCCOM · 00289Y107LONG2,238,720$38.2 million
22HDFC BANK LTDADR REPS 3 SHS · 40415F101LONG575,483$55.5 million
23JD.COM INCSPON ADR CL A · 47215P106LONG3,522,966$134.6 million
24LENNAR CORPCL A · 526057104LONG9,511,145$502.2 million
25LIBERTY MEDIA CORP DELCOM SER C FRMLA · 531229854LONG12,000,000$457.1 million
26LINCOLN NATL CORP INDCOM · 534187109LONG995,600$73.2 million
27MASTERCARD INCORPORATEDCL A · 57636Q104LONG2,150,301$303.6 million
28MICROSOFT CORPCOM · 594918104LONG10,087,538$751.4 million
29MOHAWK INDS INCCOM · 608190104LONG150,969$37.4 million
30MOLINA HEALTHCARE INCCOM · 60855R100LONG1,947,207$133.9 million
31ALBEMARLE CORPCOM · 012653101LONG536,095$73.1 million
32NETFLIX INCCOM · 64110L106LONG3,921,345$711.1 million
33NEWELL BRANDS INCCOM · 651229106LONG2,682,011$114.4 million
34NUVASIVE INCCOM · 670704105LONG2,196,752$121.8 million
35PARKER-HANNIFIN CORPCOM · 701094104LONG91,228$16.0 million
36PARSLEY ENERGY INCCL A · 701877102LONG7,898,810$208.1 million
37RAYMOND JAMES FINANCIAL INCCOM · 754730109LONG3,200,735$269.9 million
38RICE ENERGY INCCOM · 762760106LONG7,268,612$210.4 million
39SALESFORCE INCCOM · 79466L302LONG3,594,930$335.8 million
40SHIRE PLCSPONSORED ADR · 82481R106LONG520,685$79.7 million
41SPARK THERAPEUTICS INCCOM · 84652J103LONG243,140$21.7 million
42ALIGN TECHNOLOGY INCCOM · 016255101LONG581,967$108.4 million
43TORONTO DOMINION BK ONTCOM NEW · 891160509LONG9,641,054$542.8 million
44TWENTY FIRST CENTY FOX INCCL A · 90130A101LONG10,243,384$270.2 million
45UNITED TECHNOLOGIES CORPCOM · 913017109LONG4,178,808$485.1 million
46UNITEDHEALTH GROUP INCCOM · 91324P102LONG2,104,322$412.1 million
47UNIVERSAL HLTH SVCS INCCL B · 913903100LONG1,193,887$132.4 million
48VERIZON COMMUNICATIONS INCCOM · 92343V104LONG3,711,065$183.7 million
49VISA INCCOM CL A · 92826C839LONG10,220,406$1.08 billion
50WALGREENS BOOTS ALLIANCE INCCOM · 931427108LONG485,000$37.5 million
51WELLS FARGO CO NEWCOM · 949746101LONG1,897,895$104.7 million
52JAZZ PHARMACEUTICALS PLCSHS USD · G50871105LONG1,197,466$175.1 million
53ALPHABET INCCAP STK CL A · 02079K305LONG1,475,225$1.44 billion
54JOHNSON CONTROLS INTERNATIONSHS · G51502105LONG1,003,761$40.4 million
55CHUBB LTD SWITZCOM · H1467J104LONG63,218$9.0 million
56BROADCOM LTDSHS · Y09827109LONG2,155,930$522.9 million
57AMAZON COM INCCOM · 023135106LONG399,747$384.3 million
58ANADARKO PETE CORPCOM · 032511107LONG3,107,713$151.8 million
59ANHEUSER BUSCH INBEV SA/NVSPONSORED ADR · 03524A108LONG1,569,126$187.2 million