← Viking Global portfolio
13F-HR filing
VALIDATEDHoldings period 2019-09-30 · Filed 2019-11-13 · Accession 0001103804-19-000014
Open official SEC source ↗| # | Issuer | Class / CUSIP | Kind | Shares | Value |
|---|---|---|---|---|---|
| 1 | 10X GENOMICS INC | CL A COM · 88025U109 | LONG | 71,069 | $3.6 million |
| 2 | ACTIVISION BLIZZARD INC | COM · 00507V109 | LONG | 772,716 | $40.9 million |
| 3 | ADAPTIVE BIOTECHNOLOGIES COR | COM · 00650F109 | LONG | 38,406,607 | $1.19 billion |
| 4 | ADOBE INC | COM · 00724F101 | LONG | 317,408 | $87.7 million |
| 5 | ALIBABA GROUP HLDG LTD | SPONSORED ADS · 01609W102 | LONG | 2,205,268 | $368.8 million |
| 6 | ALIGN TECHNOLOGY INC | COM · 016255101 | LONG | 686,323 | $124.2 million |
| 7 | ALPHABET INC | CAP STK CL A · 02079K305 | LONG | 131,934 | $161.1 million |
| 8 | ALPHABET INC | CAP STK CL C · 02079K107 | LONG | 69,387 | $84.6 million |
| 9 | AMAZON COM INC | COM · 023135106 | LONG | 904,734 | $1.57 billion |
| 10 | ANAPTYSBIO INC | COM · 032724106 | LONG | 576,205 | $20.2 million |
| 11 | ELEVANCE HEALTH INC | COM · 036752103 | LONG | 3,873,405 | $930.0 million |
| 12 | AON PLC | SHS CL A · G0408V102 | LONG | 792,757 | $153.5 million |
| 13 | ASSURANT INC | COM · 04621X108 | LONG | 1,413,897 | $177.9 million |
| 14 | ATHENE HLDG LTD | CL A · G0684D107 | LONG | 2,588,658 | $108.9 million |
| 15 | ATYR PHARMA INC | COM NEW · 002120202 | LONG | 229,283 | $802,000 |
| 16 | AVANTOR INC | COM · 05352A100 | LONG | 7,873,142 | $115.7 million |
| 17 | AXA EQUITABLE HLDGS INC | COM · 054561105 | LONG | 10,678,948 | $236.6 million |
| 18 | BIOMARIN PHARMACEUTICAL INC | COM · 09061G101 | LONG | 3,058,104 | $206.1 million |
| 19 | BLUEPRINT MEDICINES CORP | COM · 09627Y109 | LONG | 801,639 | $58.9 million |
| 20 | BOEING CO | COM · 097023105 | LONG | 2,246,766 | $854.8 million |
| 21 | BOSTON SCIENTIFIC CORP | COM · 101137107 | LONG | 10,416,047 | $423.8 million |
| 22 | BRIDGEBIO PHARMA INC | COM · 10806X102 | LONG | 26,620,991 | $571.6 million |
| 23 | CARVANA CO | CL A · 146869102 | LONG | 120,287 | $7.9 million |
| 24 | CATALENT INC | COM · 148806102 | LONG | 1,424,668 | $67.9 million |
| 25 | CENTENE CORP DEL | COM · 15135B101 | LONG | 12,349,928 | $534.3 million |
| 26 | CLOUDFLARE INC | CL A COM · 18915M107 | LONG | 1,455,336 | $27.0 million |
| 27 | COUPA SOFTWARE INC | COM · 22266L106 | LONG | 1,333,724 | $172.8 million |
| 28 | COVETRUS INC | COM · 22304C100 | LONG | 3,381,937 | $40.2 million |
| 29 | CROWN HOLDINGS INC | COM · 228368106 | LONG | 1,131,557 | $74.8 million |
| 30 | DATADOG INC | CL A COM · 23804L103 | LONG | 899,999 | $30.5 million |
| 31 | EDITAS MEDICINE INC | COM · 28106W103 | LONG | 733,401 | $16.7 million |
| 32 | EDWARDS LIFESCIENCES CORP | COM · 28176E108 | LONG | 204,148 | $44.9 million |
| 33 | ENVISTA HOLDINGS CORPORATION | COM · 29415F104 | LONG | 1,148,263 | $32.0 million |
| 34 | EXACT SCIENCES CORP | COM · 30063P105 | LONG | 2,185,233 | $197.5 million |
| 35 | META PLATFORMS INC | CL A · 30303M102 | LONG | 6,235,946 | $1.11 billion |
| 36 | FORTIVE CORP | COM · 34959J108 | LONG | 4,840,472 | $331.9 million |
| 37 | GARDNER DENVER HLDGS INC | COM · 36555P107 | LONG | 7,932,557 | $224.4 million |
| 38 | GENMAB A/S | SPONSORED ADS · 372303206 | LONG | 592,966 | $12.0 million |
| 39 | GRUBHUB INC | COM · 400110102 | LONG | 1,753,374 | $98.6 million |
| 40 | GUARDANT HEALTH INC | COM · 40131M109 | LONG | 2,874,428 | $183.5 million |
| 41 | ILLUMINA INC | COM · 452327109 | LONG | 1,926,956 | $586.2 million |
| 42 | JD.COM INC | SPON ADR CL A · 47215P106 | LONG | 26,904,470 | $759.0 million |
| 43 | LIBERTY MEDIA CORP DEL | COM SER C FRMLA · 531229854 | LONG | 9,998,691 | $415.8 million |
| 44 | LOWES COS INC | COM · 548661107 | LONG | 4,874,766 | $536.0 million |
| 45 | MERCADOLIBRE INC | COM · 58733R102 | LONG | 807,729 | $445.2 million |
| 46 | MICROSOFT CORP | COM · 594918104 | LONG | 5,934,973 | $825.1 million |
| 47 | MIDDLEBY CORP | COM · 596278101 | LONG | 1,115,875 | $130.4 million |
| 48 | MODERNA INC | COM · 60770K107 | LONG | 4,677,781 | $74.5 million |
| 49 | MOLINA HEALTHCARE INC | COM · 60855R100 | LONG | 1,470,061 | $161.3 million |
| 50 | MONSTER BEVERAGE CORP NEW | COM · 61174X109 | LONG | 10,534,323 | $611.6 million |
| 51 | NETFLIX INC | COM · 64110L106 | LONG | 4,334,569 | $1.16 billion |
| 52 | PROGRESSIVE CORP | COM · 743315103 | LONG | 694,330 | $53.6 million |
| 53 | RAYTHEON CO | COM NEW · 755111507 | LONG | 319,301 | $62.6 million |
| 54 | SAGE THERAPEUTICS INC | COM · 78667J108 | LONG | 263,466 | $37.0 million |
| 55 | SALESFORCE INC | COM · 79466L302 | LONG | 4,932,010 | $732.1 million |
| 56 | SERVICENOW INC | COM · 81762P102 | LONG | 1,770,697 | $449.5 million |
| 57 | BLOCK INC | CL A · 852234103 | LONG | 10,030,341 | $621.4 million |
| 58 | SYNEOS HEALTH INC | CL A · 87166B102 | LONG | 575,847 | $30.6 million |
| 59 | UBER TECHNOLOGIES INC | COM · 90353T100 | LONG | 14,500,445 | $441.8 million |
| 60 | UNITED RENTALS INC | COM · 911363109 | LONG | 408,782 | $51.0 million |
| 61 | UNITED TECHNOLOGIES CORP | COM · 913017109 | LONG | 2,001,875 | $273.3 million |
| 62 | VISA INC | COM CL A · 92826C839 | LONG | 250,874 | $43.2 million |