Glenview Captal Management

Glenview Capital Management as of Dec. 31, 2013

Portfolio Holdings for Glenview Capital Management

Glenview Capital Management holds 64 positions in its portfolio as reported in the December 2013 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Thermo Fisher Scientific (TMO) 6.8 $950M 8.5M 111.35
Hca Holdings (HCA) 4.4 $613M 13M 47.71
Tenet Healthcare Corporation (THC) 4.2 $582M 14M 42.12
Monsanto Company 4.2 $580M 5.0M 116.55
Crown Castle International 4.1 $575M 7.8M 73.43
Health Management Associates 3.5 $495M 38M 13.10
McKesson Corporation (MCK) 3.5 $492M 3.1M 161.40
Flextronics International Ltd Com Stk (FLEX) 3.4 $468M 60M 7.77
American International (AIG) 3.1 $440M 8.6M 51.05
Time Warner Cable 2.9 $410M 3.0M 135.50
Community Health Systems (CYH) 2.7 $372M 9.5M 39.27
Pvh Corporation (PVH) 2.5 $352M 2.6M 136.02
Humana (HUM) 2.5 $345M 3.3M 103.22
Walgreen Company 2.5 $342M 6.0M 57.44
Pentair 2.2 $303M 3.9M 77.67
Computer Sciences Corporation 2.1 $299M 5.4M 55.88
CBS Corporation 2.0 $284M 4.4M 63.74
Fidelity National Information Services (FIS) 1.9 $268M 5.0M 53.68
General Motors Company (GM) 1.9 $259M 6.3M 40.87
Advance Auto Parts (AAP) 1.8 $257M 2.3M 110.68
LifePoint Hospitals 1.7 $242M 4.6M 52.84
CIGNA Corporation 1.7 $236M 2.7M 87.48
3M Company (MMM) 1.5 $210M 1.5M 140.25
Life Technologies 1.5 $208M 2.7M 75.80
Adt 1.5 $206M 5.1M 40.47
Aon 1.5 $204M 2.4M 83.89
Microsoft Corporation (MSFT) 1.4 $197M 5.3M 37.41
Northrop Grumman Corporation (NOC) 1.4 $193M 1.7M 114.61
Citigroup (C) 1.4 $190M 3.6M 52.13
Babcock & Wilcox 1.4 $189M 5.5M 34.19
Phillips 66 (PSX) 1.3 $188M 2.4M 77.13
Electronic Arts (EA) 1.3 $183M 8.0M 22.94
Lockheed Martin Corporation (LMT) 1.3 $178M 1.2M 148.66
Dollar General (DG) 1.3 $178M 2.9M 60.32
Metropcs Communications (TMUS) 1.2 $167M 5.0M 33.64
URS Corporation 1.1 $152M 2.9M 52.99
American Tower Reit (AMT) 1.0 $142M 1.8M 79.82
Comcast Corporation (CMCSA) 1.0 $140M 2.7M 51.97
Fidelity National Financial 0.9 $133M 4.1M 32.45
Raytheon Company 0.9 $129M 1.4M 90.70
Aetna 0.9 $125M 1.8M 68.59
J.C. Penney Company 0.8 $113M 12M 9.15
Xerox Corporation 0.8 $114M 9.3M 12.17
Evertec (EVTC) 0.8 $109M 4.4M 24.66
Meritor 0.7 $102M 9.7M 10.43
Nxp Semiconductors N V (NXPI) 0.7 $99M 2.2M 45.93
Fossil (FOSL) 0.7 $100M 830k 119.94
Canadian Pacific Railway 0.7 $91M 598k 151.32
Global Payments (GPN) 0.6 $87M 1.3M 64.99
Calpine Corporation 0.6 $86M 4.4M 19.51
Lamar Advertising Company 0.6 $78M 1.5M 52.25
Carter's (CRI) 0.5 $76M 1.1M 71.79
PHH Corporation 0.5 $68M 2.8M 24.35
Capital One Financial (COF) 0.5 $64M 839k 76.61
Realogy Hldgs (HOUS) 0.4 $59M 1.2M 49.47
VeriFone Systems 0.4 $51M 1.9M 26.82
Jabil Circuit (JBL) 0.3 $49M 2.8M 17.44
Charter Communications 0.3 $48M 348k 136.76
NRG Energy (NRG) 0.2 $29M 1.0M 28.72
Scorpio Tankers 0.2 $27M 2.3M 11.79
Chimera Investment Corporation 0.2 $25M 7.9M 3.10
Riverbed Technology 0.1 $9.0M 500k 18.08
Citigroup Inc Com Us cmn 0.0 $5.6M 8.6M 0.65
Unwired Planet 0.0 $2.2M 1.6M 1.38