Chiron Investment Management as of March 31, 2019
Portfolio Holdings for Chiron Investment Management
Chiron Investment Management holds 46 positions in its portfolio as reported in the March 2019 quarterly 13F filing
Company (Ticker) | Portfolio Weight | Valued At | Change in Shares | Share Count | Share Price |
---|---|---|---|---|---|
Coca-Cola Company (KO) | 9.0 | $50M | 1.1M | 46.86 | |
Walt Disney Company (DIS) | 8.4 | $46M | 417k | 111.03 | |
Philip Morris International (PM) | 8.0 | $44M | 501k | 88.39 | |
HDFC Bank (HDB) | 7.6 | $42M | 364k | 115.91 | |
Amgen (AMGN) | 7.1 | $39M | 207k | 189.98 | |
Charter Communications Inc New Cl A cl a (CHTR) | 6.9 | $38M | 110k | 346.91 | |
Gilead Sciences (GILD) | 6.6 | $36M | 561k | 65.01 | |
Alphabet Inc Class C cs (GOOG) | 6.3 | $35M | 30k | 1173.31 | |
Microsoft Corporation (MSFT) | 5.7 | $31M | 265k | 117.94 | |
Schlumberger (SLB) | 5.3 | $30M | 678k | 43.57 | |
Alibaba Group Holding (BABA) | 4.6 | $26M | 140k | 182.45 | |
Vertex Pharmaceuticals Incorporated (VRTX) | 4.6 | $25M | 137k | 183.95 | |
Micron Technology (MU) | 3.6 | $20M | 486k | 41.33 | |
Alliance Data Systems Corporation (BFH) | 3.3 | $18M | 103k | 174.98 | |
Yum China Holdings (YUMC) | 2.3 | $13M | 284k | 44.91 | |
Gaming & Leisure Pptys (GLPI) | 2.1 | $12M | 307k | 38.57 | |
111 Inc ads (YI) | 1.6 | $9.0M | 1.4M | 6.49 | |
Mgm Growth Properties | 1.2 | $6.9M | 214k | 32.25 | |
Epr Properties (EPR) | 1.2 | $6.8M | 89k | 76.90 | |
Vareit, Inc reits | 1.2 | $6.9M | 821k | 8.37 | |
Vici Pptys (VICI) | 1.2 | $6.8M | 311k | 21.88 | |
CVS Caremark Corporation (CVS) | 1.2 | $6.6M | 122k | 53.93 | |
Affiliated Managers (AMG) | 0.1 | $289k | 2.7k | 107.04 | |
Zions Bancorporation (ZION) | 0.0 | $220k | 4.9k | 45.35 | |
Cirrus Logic (CRUS) | 0.0 | $210k | 5.0k | 42.00 | |
Alliance Resource Partners (ARLP) | 0.0 | $199k | 9.8k | 20.34 | |
Genesee & Wyoming | 0.0 | $198k | 2.3k | 87.03 | |
TreeHouse Foods (THS) | 0.0 | $245k | 3.8k | 64.47 | |
Amc Networks Inc Cl A (AMCX) | 0.0 | $216k | 3.8k | 56.84 | |
Post Holdings Inc Common (POST) | 0.0 | $227k | 2.1k | 109.24 | |
Voya Financial (VOYA) | 0.0 | $208k | 4.2k | 49.87 | |
Bio-techne Corporation (TECH) | 0.0 | $212k | 1.1k | 198.69 | |
Itt (ITT) | 0.0 | $202k | 3.5k | 58.00 | |
Hess Midstream Partners Lp unit ltd pr int | 0.0 | $207k | 9.8k | 21.17 | |
Molson Coors Brewing Company (TAP) | 0.0 | $185k | 3.1k | 59.68 | |
AGCO Corporation (AGCO) | 0.0 | $146k | 2.1k | 69.52 | |
Lazard Ltd-cl A shs a | 0.0 | $156k | 4.3k | 36.25 | |
AllianceBernstein Holding (AB) | 0.0 | $189k | 6.5k | 28.93 | |
TC Pipelines | 0.0 | $142k | 3.8k | 37.37 | |
Hollyfrontier Corp | 0.0 | $140k | 2.8k | 49.35 | |
Hd Supply | 0.0 | $166k | 3.8k | 43.29 | |
Veeva Sys Inc cl a (VEEV) | 0.0 | $140k | 1.1k | 127.27 | |
Delek Us Holdings (DK) | 0.0 | $175k | 4.8k | 36.46 | |
KLA-Tencor Corporation (KLAC) | 0.0 | $107k | 900.00 | 118.89 | |
Rexnord | 0.0 | $91k | 3.6k | 25.20 | |
Arco Platform Cl A Ord | 0.0 | $68k | 2.1k | 32.38 |