← Viking Global portfolio

13F-HR filing

VALIDATED

Holdings period 2022-03-31 · Filed 2022-05-16 · Accession 0001103804-22-000003

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#IssuerClass / CUSIPKindSharesValue
14D MOLECULAR THERAPEUTICS INCOM · 35104E100LONG3,937,914$59.5 million
2ACADIA HEALTHCARE COMPANY INCOM · 00404A109LONG2,130,433$139.6 million
3ADAPTIVE BIOTECHNOLOGIES CORCOM · 00650F109LONG29,993,708$416.3 million
4AMAZON COM INCCOM · 023135106LONG422,853$1.38 billion
5AMERIPRISE FINL INCCOM · 03076C106LONG923,328$277.3 million
6AMYLYX PHARMACEUTICALS INCCOM · 03237H101LONG7,170,536$92.1 million
7ELEVANCE HEALTH INCCOM · 036752103LONG140,895$69.2 million
8AON PLCSHS CL A · G0403H108LONG1,593,080$518.8 million
9API GROUP CORPCOM STK · 00187Y100LONG33,463,200$703.7 million
10AVANTOR INCCOM · 05352A100LONG3,459,963$117.0 million
11BIOHAVEN PHARMACTL HLDG CO LCOM · G11196105LONG966,139$114.6 million
12BIOMARIN PHARMACEUTICAL INCCOM · 09061G101LONG3,752,393$289.3 million
13BLACKSTONE INCCOM · 09260D107LONG509,587$64.7 million
14BLOCK INCCL A · 852234103LONG451,534$61.2 million
15BOEING COCOM · 097023105LONG305,347$58.5 million
16BOOKING HOLDINGS INCCOM · 09857L108LONG54,234$127.4 million
17BOSTON SCIENTIFIC CORPCOM · 101137107LONG12,839,142$568.6 million
18BRIDGEBIO PHARMA INCCOM · 10806X102LONG26,620,991$270.2 million
19BROOKFIELD ASSET MGMT INCCL A LTD VT SH · 112585104LONG16,304,989$922.4 million
20CATALENT INCCOM · 148806102LONG1,893,644$210.0 million
21CELLDEX THERAPEUTICS INC NEWCOM NEW · 15117B202LONG1,846,647$62.9 million
22CENTENE CORP DELCOM · 15135B101LONG7,806,040$657.2 million
23CHARLES RIV LABS INTL INCCOM · 159864107LONG521,653$148.1 million
24CHUBB LTD SWITZCOM · H1467J104LONG3,201,215$684.7 million
25COMCAST CORP NEWCL A · 20030N101LONG14,078,668$659.2 million
26DAY ONE BIOPHARMACEUTICALS ICOM · 23954D109LONG1,157,424$11.5 million
27DEERE & COCOM · 244199105LONG403,163$167.5 million
28DOLLAR GEN CORP NEWCOM · 256677105LONG388,317$86.5 million
29EDGEWISE THERAPEUTICS INCCOM · 28036F105LONG2,727,249$26.5 million
30FARFETCH LTDORD SH CL A · 30744W107LONG2,819,222$42.6 million
31FORTIVE CORPCOM · 34959J108LONG12,033,157$733.2 million
32GENERAL ELECTRIC COCOM NEW · 369604301LONG12,808,478$1.17 billion
33GINKGO BIOWORKS HOLDINGS INCCL A SHS · 37611X100LONG51,055,144$205.8 million
34GLOBAL E ONLINE LTDSHS · M5216V106LONG5,128,448$173.2 million
35GUARDANT HEALTH INCCOM · 40131M109LONG5,812,234$385.0 million
36GUARDANT HEALTH INCNOTE 11/1 · 40131MAB5LONG120,000,000$96.9 million
37HDFC BANK LTDSPONSORED ADS · 40415F101LONG7,073,317$433.8 million
38INHIBRX INCCOM · 45720L107LONG5,305,866$118.2 million
39INSPIRE MED SYS INCCOM · 457730109LONG310,881$79.8 million
40INSULET CORPCOM · 45784P101LONG547,387$145.8 million
41INTELLIA THERAPEUTICS INCCOM · 45826J105LONG2,468,760$179.4 million
42INTERNATIONAL FLAVORS&FRAGRACOM · 459506101LONG3,797,230$498.7 million
43JD.COM INCSPON ADR CL A · 47215P106LONG1,748,330$101.2 million
44JPMORGAN CHASE & COCOM · 46625H100LONG119,706$16.3 million
45KARUNA THERAPEUTICS INCCOM · 48576A100LONG974,345$123.5 million
46KE HLDGS INCSPONSORED ADS · 482497104LONG13,440,125$166.3 million
47KINNATE BIOPHARMA INCCOM · 49705R105LONG1,820,462$20.5 million
48LABORATORY CORP AMER HLDGSCOM NEW · 50540R409LONG727,287$191.8 million
49LI AUTO INCSPONSORED ADS · 50202M102LONG6,000,478$154.9 million
50LIANBIOSPONSORED ADS · 53000N108LONG1,500,000$5.6 million
51LITHIA MTRS INCCOM · 536797103LONG316,904$95.1 million
52MARSH & MCLENNAN COS INCCOM · 571748102LONG2,250,643$383.6 million
53MASTERCARD INCORPORATEDCL A · 57636Q104LONG1,793,488$641.0 million
54MATCH GROUP INC NEWCOM · 57667L107LONG2,744,468$298.4 million
55META PLATFORMS INCCL A · 30303M102LONG1,209,602$269.0 million
56METLIFE INCCOM · 59156R108LONG1,362,166$95.7 million
57MICROSOFT CORPCOM · 594918104LONG3,319,116$1.02 billion
58MOLINA HEALTHCARE INCCOM · 60855R100LONG416,883$139.1 million
59NUVALENT INCCOM · 670703107LONG1,110,170$15.4 million
60OLAPLEX HLDGS INCCOM · 679369108LONG1,613,189$25.2 million
61ORION ACQUISITION CORPUNIT 02/19/2026 · 68626A207LONG3,788,774$37.2 million
62OTIS WORLDWIDE CORPCOM · 68902V107LONG3,538,164$272.3 million
63PARKER-HANNIFIN CORPCOM · 701094104LONG3,165,334$898.2 million
64PERRIGO CO PLCSHS · G97822103LONG2,525,266$97.0 million
65PHARVARIS N VCOM · N69605108LONG2,480,319$46.4 million
66PMV PHARMACEUTICALS INCCOM · 69353Y103LONG1,076,000$22.4 million
67PROCEPT BIOROBOTICS CORPCOM · 74276L105LONG3,658,892$128.0 million
68PROGRESSIVE CORPCOM · 743315103LONG1,037,306$118.2 million
69PVH CORPORATIONCOM · 693656100LONG1,542,375$118.2 million
70RALLYBIO CORPCOM · 75120L100LONG4,194,777$29.3 million
71RIVIAN AUTOMOTIVE INCCOM CL A · 76954A103LONG3,204,389$161.0 million
72ROIVANT SCIENCES LTDSHS · G76279101LONG88,238,700$435.9 million
73ROYALTY PHARMA PLCSHS CLASS A · G7709Q104LONG10,764,472$419.4 million
74SERVICENOW INCCOM · 81762P102LONG440,450$245.3 million
75SHOPIFY INCCL A · 82509L107LONG223,721$151.2 million
76T-MOBILE US INCCOM · 872590104LONG13,418,175$1.72 billion
77TAKE-TWO INTERACTIVE SOFTWARCOM · 874054109LONG588,443$90.5 million
78TALARIS THERAPEUTICS INCCOM · 87410C104LONG3,289,617$32.4 million
79TDCX INCADS · 87190U100LONG141,117$1.7 million
80TENET HEALTHCARE CORPCOM NEW · 88033G407LONG2,233,647$192.0 million
81THERMO FISHER SCIENTIFIC INCCOM · 883556102LONG484,696$286.3 million
82UBER TECHNOLOGIES INCCOM · 90353T100LONG10,437,199$372.4 million
83UNITEDHEALTH GROUP INCCOM · 91324P102LONG76,910$39.2 million
84UNUM GROUPCOM · 91529Y106LONG1,137,645$35.8 million
85VISA INCCOM CL A · 92826C839LONG2,597,820$576.1 million
86VTEXSHS CL A · G9470A102LONG30,371$187,000
87WORKDAY INCCL A · 98138H101LONG2,253,470$539.6 million
88XP INCCL A · G98239109LONG9,443,312$284.2 million
89ZAI LAB LTDADR · 98887Q104LONG3,133,297$137.8 million
90ZENTALIS PHARMACEUTICALS INCCOM · 98943L107LONG2,026,656$93.5 million
91ZOOMINFO TECHNOLOGIES INCCOM CL A · 98980F104LONG2,644,137$158.0 million