← Viking Global portfolio
13F-HR filing
VALIDATEDHoldings period 2019-06-30 · Filed 2019-08-14 · Accession 0001103804-19-000011
Open official SEC source ↗| # | Issuer | Class / CUSIP | Kind | Shares | Value |
|---|---|---|---|---|---|
| 1 | ATYR PHARMA INC | COM · 002120103 | LONG | 3,209,955 | $1.2 million |
| 2 | ACTIVISION BLIZZARD INC | COM · 00507V109 | LONG | 7,908,859 | $373.3 million |
| 3 | ADAPTIVE BIOTECHNOLOGIES COR | COM · 00650F109 | LONG | 38,406,607 | $1.86 billion |
| 4 | ADOBE INC | COM · 00724F101 | LONG | 1,214,269 | $357.8 million |
| 5 | ALIBABA GROUP HLDG LTD | SPONSORED ADS · 01609W102 | LONG | 587,268 | $99.5 million |
| 6 | ALIGN TECHNOLOGY INC | COM · 016255101 | LONG | 1,161,145 | $317.8 million |
| 7 | ALPHABET INC | CAP STK CL C · 02079K107 | LONG | 114,172 | $123.4 million |
| 8 | ALPHABET INC | CAP STK CL A · 02079K305 | LONG | 282,146 | $305.5 million |
| 9 | AMAZON COM INC | COM · 023135106 | LONG | 802,837 | $1.52 billion |
| 10 | AMERICAN INTL GROUP INC | COM NEW · 026874784 | LONG | 564,604 | $30.1 million |
| 11 | ANAPTYSBIO INC | COM · 032724106 | LONG | 799,897 | $45.1 million |
| 12 | ELEVANCE HEALTH INC | COM · 036752103 | LONG | 5,198,006 | $1.47 billion |
| 13 | ASSURANT INC | COM · 04621X108 | LONG | 360,430 | $38.3 million |
| 14 | AVANTOR INC | COM · 05352A100 | LONG | 11,345,684 | $216.6 million |
| 15 | AXA EQUITABLE HLDGS INC | COM · 054561105 | LONG | 8,842,350 | $184.8 million |
| 16 | BERRY GLOBAL GROUP INC | COM · 08579W103 | LONG | 1,804,817 | $94.9 million |
| 17 | BIOMARIN PHARMACEUTICAL INC | COM · 09061G101 | LONG | 2,590,351 | $221.9 million |
| 18 | BLUEPRINT MEDICINES CORP | COM · 09627Y109 | LONG | 551,040 | $52.0 million |
| 19 | BOEING CO | COM · 097023105 | LONG | 2,777,120 | $1.01 billion |
| 20 | BOSTON SCIENTIFIC CORP | COM · 101137107 | LONG | 9,195,192 | $395.2 million |
| 21 | BRIDGEBIO PHARMA INC | COM · 10806X102 | LONG | 26,620,991 | $718.0 million |
| 22 | CATALENT INC | COM · 148806102 | LONG | 1,595,579 | $86.5 million |
| 23 | CENTENE CORP DEL | COM · 15135B101 | LONG | 13,994,550 | $733.9 million |
| 24 | CHEWY INC | CL A · 16679L109 | LONG | 1,471,890 | $51.5 million |
| 25 | COUPA SOFTWARE INC | COM · 22266L106 | LONG | 997,832 | $126.3 million |
| 26 | COVETRUS INC | COM · 22304C100 | LONG | 3,381,937 | $82.7 million |
| 27 | CROWN HOLDINGS INC | COM · 228368106 | LONG | 2,293,475 | $140.1 million |
| 28 | DAVITA INC | COM · 23918K108 | LONG | 2,907,034 | $163.6 million |
| 29 | EDITAS MEDICINE INC | COM · 28106W103 | LONG | 931,401 | $23.0 million |
| 30 | EIDOS THERAPEUTICS INC | COM · 28249H104 | LONG | 882,353 | $27.4 million |
| 31 | EXACT SCIENCES CORP | COM · 30063P105 | LONG | 2,264,674 | $267.3 million |
| 32 | META PLATFORMS INC | CL A · 30303M102 | LONG | 7,063,705 | $1.36 billion |
| 33 | GARDNER DENVER HLDGS INC | COM · 36555P107 | LONG | 1,282,486 | $44.4 million |
| 34 | GRUBHUB INC | COM · 400110102 | LONG | 1,269,186 | $99.0 million |
| 35 | ILLUMINA INC | COM · 452327109 | LONG | 1,371,087 | $504.8 million |
| 36 | JD.COM INC | SPON ADR CL A · 47215P106 | LONG | 31,821,898 | $963.9 million |
| 37 | LIBERTY MEDIA CORP DEL | COM SER C FRMLA · 531229854 | LONG | 11,379,423 | $425.7 million |
| 38 | LOWES COS INC | COM · 548661107 | LONG | 1,381,012 | $139.4 million |
| 39 | MERCADOLIBRE INC | COM · 58733R102 | LONG | 854,831 | $523.0 million |
| 40 | MICROSOFT CORP | COM · 594918104 | LONG | 7,704,063 | $1.03 billion |
| 41 | MICRON TECHNOLOGY INC | COM · 595112103 | LONG | 6,431,167 | $248.2 million |
| 42 | MODERNA INC | COM · 60770K107 | LONG | 8,197,458 | $120.0 million |
| 43 | MONSTER BEVERAGE CORP NEW | COM · 61174X109 | LONG | 8,851,947 | $565.0 million |
| 44 | NETFLIX INC | COM · 64110L106 | LONG | 2,067,698 | $759.5 million |
| 45 | NVIDIA CORPORATION | COM · 67066G104 | LONG | 802,330 | $131.8 million |
| 46 | RAYTHEON CO | COM NEW · 755111507 | LONG | 450,432 | $78.3 million |
| 47 | SALESFORCE INC | COM · 79466L302 | LONG | 2,922,394 | $443.4 million |
| 48 | SLACK TECHNOLOGIES INC | COM CL A · 83088V102 | LONG | 4,539,615 | $170.2 million |
| 49 | SMITH A O CORP | COM · 831865209 | LONG | 2,452,092 | $115.6 million |
| 50 | BLOCK INC | CL A · 852234103 | LONG | 2,657,236 | $192.7 million |
| 51 | SYNEOS HEALTH INC | CL A · 87166B102 | LONG | 1,796,775 | $91.8 million |
| 52 | UBER TECHNOLOGIES INC | COM · 90353T100 | LONG | 13,368,682 | $620.0 million |
| 53 | UNITED TECHNOLOGIES CORP | COM · 913017109 | LONG | 6,743,903 | $878.1 million |
| 54 | UNITEDHEALTH GROUP INC | COM · 91324P102 | LONG | 4,812,185 | $1.17 billion |
| 55 | VISA INC | COM CL A · 92826C839 | LONG | 387,368 | $67.2 million |
| 56 | WELLCARE HEALTH PLANS INC | COM · 94946T106 | LONG | 371,450 | $105.9 million |
| 57 | AON PLC | SHS CL A · G0408V102 | LONG | 851,778 | $164.4 million |
| 58 | ATHENE HLDG LTD | CL A · G0684D107 | LONG | 1,554,576 | $66.9 million |
| 59 | NXP SEMICONDUCTORS N V | COM · N6596X109 | LONG | 670,065 | $65.4 million |