York Capital Management Global Advisors

York Capital Management Global Advisors as of March 31, 2018

Portfolio Holdings for York Capital Management Global Advisors

York Capital Management Global Advisors holds 70 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
Monsanto Company 17.0 $758M 6.5M 116.69
Nxp Semiconductors N V (NXPI) 13.0 $578M 4.9M 117.00
Altaba 8.2 $366M 4.9M 74.04
Nextdecade Corp (NEXT) 6.2 $275M 58M 4.78
Aetna 4.8 $213M 1.3M 169.00
Time Warner 4.2 $189M 2.0M 94.58
Hartford Financial Services (HIG) 2.9 $130M 2.5M 51.52
Twenty-first Century Fox 2.9 $130M 3.5M 36.69
Ashland (ASH) 2.3 $103M 1.5M 69.79
DST Systems 2.1 $94M 1.1M 83.65
Rockwell Collins 2.0 $90M 668k 134.86
Bristol Myers Squibb (BMY) 1.8 $78M 1.2M 63.24
Broad 1.6 $74M 312k 235.63
Bunge 1.6 $70M 951k 73.94
W.R. Grace & Co. 1.6 $69M 1.1M 61.23
Western Digital (WDC) 1.5 $65M 706k 92.27
Dell Technologies Inc Class V equity 1.4 $62M 843k 73.22
Shire 1.4 $61M 406k 149.39
Coty Inc Cl A (COTY) 1.4 $60M 3.3M 18.30
Coca Cola European Partners (CCEP) 1.3 $57M 1.4M 41.66
AstraZeneca (AZN) 1.3 $57M 1.6M 34.97
Tribune Co New Cl A 1.2 $53M 1.3M 40.51
Express Scripts Holding 1.1 $49M 714k 69.08
Xl 1.0 $45M 818k 55.28
Dycom Industries (DY) 1.0 $45M 415k 107.63
Gcp Applied Technologies 0.9 $40M 1.4M 29.05
FMC Corporation (FMC) 0.9 $39M 508k 76.57
Envision Healthcare 0.8 $36M 934k 38.44
AmerisourceBergen (COR) 0.8 $34M 394k 86.23
Constellium Holdco B V cl a 0.7 $33M 3.0M 10.85
DISH Network 0.7 $32M 842k 37.89
Humana (HUM) 0.7 $32M 119k 268.78
Quest Diagnostics Incorporated (DGX) 0.7 $31M 305k 100.27
China Biologic Products 0.6 $28M 342k 81.00
Whirlpool Corporation (WHR) 0.6 $27M 177k 153.10
Voya Financial (VOYA) 0.6 $26M 521k 50.51
Iqiyi (IQ) 0.5 $23M 1.5M 15.55
Zto Express Cayman (ZTO) 0.5 $23M 1.5M 14.98
KapStone Paper and Packaging 0.5 $22M 654k 34.31
Blackstone 0.5 $20M 637k 31.94
KKR & Co 0.5 $20M 1.0M 20.30
Csra 0.4 $18M 439k 41.24
Changyou 0.4 $18M 627k 27.89
Exela Technologi 0.3 $16M 2.8M 5.53
Estre Ambiental (ESTRF) 0.3 $12M 1.2M 9.99
United States Steel Corporation (X) 0.3 $11M 324k 35.19
Globalstar (GSAT) 0.2 $9.8M 14M 0.69
Pinnacle Foods Inc De 0.2 $9.5M 176k 54.11
Quorum Health 0.2 $9.4M 1.1M 8.18
Teck Resources Ltd cl b (TECK) 0.2 $9.0M 350k 25.76
Avexis 0.2 $8.5M 69k 123.63
Melco Crown Entertainment (MLCO) 0.2 $8.1M 281k 28.98
Consolidated Communications Holdings (CNSL) 0.2 $8.1M 736k 10.96
Ares Management Lp m 0.2 $7.7M 359k 21.40
AK Steel Holding Corporation 0.2 $7.1M 1.6M 4.53
Costamare (CMRE) 0.2 $7.2M 1.2M 6.24
Viavi Solutions Inc equities (VIAV) 0.1 $6.3M 651k 9.72
Macerich Company (MAC) 0.1 $5.6M 100k 56.02
Gastar Exploration 0.1 $5.8M 8.6M 0.68
Xerox 0.1 $5.6M 195k 28.78
Lyon William Homes cl a 0.1 $5.5M 200k 27.49
Universal Display Corporation (OLED) 0.1 $4.8M 48k 101.00
Elbit Imaging Ltd. Cmn (EMITF) 0.1 $4.8M 1.8M 2.68
Quidel Corporation 0.1 $3.9M 75k 51.81
Syneos Health 0.1 $3.6M 100k 35.50
Liberty Global Inc Com Ser A 0.1 $3.2M 103k 31.31
Surgery Partners (SGRY) 0.1 $3.2M 189k 17.15
Micron Technology (MU) 0.1 $2.3M 43k 52.15
Tsakos Energy Navigation 0.0 $1.6M 485k 3.30
Avaya Holdings Corp 0.0 $493k 22k 22.41