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  Name: VIKING GLOBAL INVESTORS LP
  City: NEW YORK
  State: NY
  Zip: 10017
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $26,859,635,000
  Total Value Change : $-412,968,000
  Securities Held Change : 5
   
All Securities Held : 83
  New Positions : 21
  Closed Positions : 17
  Increased Positions : 20
  Unchanged Positions : 13
  Decreased Positions : 29

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Holdings Found : 21     View All Holdings Currently Viewing:  New Positions     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (LVS)1 Year Chart         LVS Las Vegas Sands Corp 7 New $44.86 $874,949,000 16,923,581 3.26% 874,949,000 16,923,581 2.216    Gambling/Resorts
   (AAPL)1 Year Chart         AAPL Apple Inc 17 New $194.03 $663,797,000 3,870,990 2.47% 663,797,000 3,870,990 0.023    Personal Computers
   (DLTR)1 Year Chart         DLTR Dollar Tree Stores Inc 26 New $120.98 $342,438,000 2,571,820 1.27% 342,438,000 2,571,820 1.084    Discount, Variety Stores
   (ADBE)1 Year Chart         ADBE Adobe Systems Inc 33 New $439.02 $283,862,000 562,548 1.06% 283,862,000 562,548 0.117    Application Software
   (FERG)1 Year Chart         FERG Ferguson plc 37 New $202.88 $191,218,000 875,421 0.71% 191,218,000 875,421 0.391    N/A
   (HUM)1 Year Chart         HUM Humana Inc 42 New $364.20 $160,923,000 464,130 0.6% 160,923,000 464,130 0.351    Health Care Plans
   (FLDM)1 Year Chart         FLDM Fluidigm Corp 44 New $2.48 $158,945,000 58,651,170 0.59% 158,945,000 58,651,170 79.13    Scientific & Technica...
   (CPT)1 Year Chart         CPT Camden Property Trust 53 New $103.64 $101,385,000 1,030,340 0.38% 101,385,000 1,030,340 0.967    REIT - Housing/Apartm...
   (SWFT)1 Year Chart         SWFT Knight-Swift Transportation... 55 New $48.70 $94,487,000 1,717,327 0.35% 94,487,000 1,717,327 0.965    Trucking
   (VRT)1 Year Chart         VRT Vertiv Holdings Co 60 New $96.11 $83,140,000 1,017,994 0.31% 83,140,000 1,017,994 0.27    N/A
   (APD)1 Year Chart         APD Air Products & Chemicals Inc 61 New $270.91 $81,937,000 338,206 0.31% 81,937,000 338,206 0.153    Diversified Chemicals
   (EQH)1 Year Chart         EQH Axa Equitable Holdings Inc 63 New $26.13 $78,194,000 2,057,191 0.29% 78,194,000 2,057,191 0.458    N/A
   (OSCR)1 Year Chart         OSCR Oscar Health, Inc. 66 New $0.00 $70,365,000 4,732,002 0.26% 70,365,000 4,732,002 2.816    N/A
   (CLX)1 Year Chart         CLX Clorox Co 67 New $131.10 $70,072,000 457,659 0.26% 70,072,000 457,659 0.363    Cleaning Products
   (SKX)1 Year Chart         SKX Skechers USA Inc 68 New $70.45 $66,781,000 1,090,121 0.25% 66,781,000 1,090,121 0.804    Textile - Apparel Foo...
   (IMVT)1 Year Chart         IMVT Immunovant Inc 70 New $0.00 $58,454,000 1,809,172 0.22% 58,454,000 1,809,172 2.078    N/A
   (ORIC)1 Year Chart         ORIC Oric Pharmaceuticals, Inc. 71 New $0.00 $55,000,000 4,000,000 0.2% 55,000,000 4,000,000 5.966    N/A
   (ITGR)1 Year Chart         ITGR Integer Holdings Corporation 72 New $121.32 $49,986,000 428,399 0.19% 49,986,000 428,399 1.121    Industrial Electrical...
   (WLTW)1 Year Chart         WLTW Willis Towers Watson Public... 75 New $255.04 $30,895,000 112,344 0.12% 30,895,000 112,344 0.087    Insurance Brokers
   (LBPH)1 Year Chart         LBPH Longboard Pharmaceuticals, ... 79 New $0.00 $21,197,000 981,328 0.08% 21,197,000 981,328 5.8    N/A
   (RDDT)1 Year Chart         RDDT Reddit, Inc. 81 New $55.80 $11,097,000 225,000 0.04% 11,097,000 225,000 0.56    N/A

      21 Records Found
  1    
Page 1 of 1
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