Glenview Captal Management

Glenview Capital Management as of March 31, 2018

Portfolio Holdings for Glenview Capital Management

Glenview Capital Management holds 53 positions in its portfolio as reported in the March 2018 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Hca Holdings (HCA) 6.7 $1.2B 12M 97.00
Shire 5.2 $897M 6.0M 149.39
Dowdupont 5.0 $848M 13M 63.71
FMC Corporation (FMC) 4.6 $782M 10M 76.57
Iqvia Holdings (IQV) 4.4 $757M 7.7M 98.11
Newell Rubbermaid (NWL) 3.9 $662M 26M 25.48
McKesson Corporation (MCK) 3.6 $620M 4.4M 140.87
Thermo Fisher Scientific (TMO) 3.6 $612M 3.0M 206.46
Walgreen Boots Alliance (WBA) 3.1 $536M 8.2M 65.47
Flextronics International Ltd Com Stk (FLEX) 3.1 $533M 33M 16.33
Dxc Technology (DXC) 3.1 $529M 5.3M 100.53
Anthem (ELV) 2.9 $501M 2.3M 219.70
CVS Caremark Corporation (CVS) 2.8 $485M 7.8M 62.21
Universal Health Services (UHS) 2.8 $482M 4.1M 118.41
Aetna 2.8 $479M 2.8M 169.00
eBay (EBAY) 2.7 $463M 12M 40.24
Tenet Healthcare Corporation (THC) 2.5 $434M 18M 24.25
Alphabet Inc Class A cs (GOOGL) 2.4 $417M 402k 1037.14
First Data 2.4 $408M 26M 16.00
CIGNA Corporation 2.1 $361M 2.2M 167.74
CBS Corporation 2.0 $338M 6.6M 51.39
Express Scripts Holding 1.9 $321M 4.6M 69.08
Laboratory Corp. of America Holdings (LH) 1.8 $300M 1.9M 161.75
Avis Budget (CAR) 1.7 $290M 6.2M 46.84
FedEx Corporation (FDX) 1.7 $285M 1.2M 240.11
Metropcs Communications (TMUS) 1.6 $275M 4.5M 61.04
Pentair cs (PNR) 1.6 $269M 3.9M 68.13
Williams Companies (WMB) 1.5 $259M 10M 24.86
Allergan 1.5 $257M 1.5M 168.29
Delphi Automotive Inc international (APTV) 1.3 $228M 2.7M 84.97
Liberty Global Inc Com Ser A 1.2 $210M 6.7M 31.31
Lowe's Companies (LOW) 1.1 $194M 2.2M 87.75
Cardinal Health (CAH) 1.1 $189M 3.0M 62.68
Aramark Hldgs (ARMK) 1.0 $175M 4.4M 39.56
Liberty Global Inc C 1.0 $171M 5.6M 30.43
Platform Specialty Prods Cor 0.8 $129M 13M 9.63
Endo International (ENDPQ) 0.8 $128M 22M 5.94
Delphi Technologies 0.7 $122M 2.6M 47.65
Brookdale Senior Living (BKD) 0.7 $113M 17M 6.71
Meritor 0.6 $109M 5.3M 20.56
Vareit, Inc reits 0.6 $108M 16M 6.96
Realogy Hldgs (HOUS) 0.6 $97M 3.6M 27.28
Hertz Global Holdings 0.6 $97M 4.9M 19.85
AmerisourceBergen (COR) 0.5 $84M 972k 86.21
Comcast Corporation (CMCSA) 0.4 $76M 2.2M 34.17
Michaels Cos Inc/the 0.4 $75M 3.8M 19.71
Charter Communications Inc New Cl A cl a (CHTR) 0.3 $57M 183k 311.22
Visa (V) 0.3 $48M 400k 119.62
Mohawk Industries (MHK) 0.2 $43M 186k 232.22
Humana (HUM) 0.2 $39M 147k 268.83
Facebook Inc cl a (META) 0.2 $34M 213k 159.79
Conduent Incorporate (CNDT) 0.1 $23M 1.2M 18.64
Citigroup Inc Com Us cmn 0.0 $402k 8.0M 0.05