Glenview Captal Management

Glenview Capital Management as of Dec. 31, 2017

Portfolio Holdings for Glenview Capital Management

Glenview Capital Management holds 58 positions in its portfolio as reported in the December 2017 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Hca Holdings (HCA) 5.9 $1.1B 12M 87.84
Dowdupont 5.8 $1.1B 15M 71.22
FMC Corporation (FMC) 5.5 $1.0B 11M 94.66
Shire 4.8 $890M 5.7M 155.12
Iqvia Holdings (IQV) 4.5 $840M 8.6M 97.90
Flextronics International Ltd Com Stk (FLEX) 3.8 $709M 39M 17.99
Anthem (ELV) 3.7 $688M 3.1M 225.01
Dxc Technology (DXC) 3.5 $657M 6.9M 94.90
Thermo Fisher Scientific (TMO) 3.4 $632M 3.3M 189.88
McKesson Corporation (MCK) 3.2 $593M 3.8M 155.95
CIGNA Corporation 2.9 $532M 2.6M 203.09
Newell Rubbermaid (NWL) 2.8 $526M 17M 30.90
Aetna 2.8 $518M 2.9M 180.39
Alphabet Inc Class A cs (GOOGL) 2.8 $518M 492k 1053.40
eBay (EBAY) 2.7 $501M 13M 37.74
Walgreen Boots Alliance (WBA) 2.7 $496M 6.8M 72.62
CVS Caremark Corporation (CVS) 2.7 $495M 6.8M 72.50
Universal Health Services (UHS) 2.5 $468M 4.1M 113.35
First Data 2.5 $459M 28M 16.71
Laboratory Corp. of America Holdings (LH) 2.3 $426M 2.7M 159.51
CBS Corporation 2.2 $399M 6.8M 59.00
Avis Budget (CAR) 1.8 $333M 7.6M 43.88
Williams Companies (WMB) 1.7 $310M 10M 30.49
Tenet Healthcare Corporation (THC) 1.5 $271M 18M 15.16
Delphi Automotive Inc international (APTV) 1.4 $249M 2.9M 84.83
Liberty Global Inc Com Ser A 1.3 $247M 6.9M 35.84
Apple (AAPL) 1.1 $214M 1.3M 169.23
Liberty Global Inc C 1.1 $211M 6.2M 33.84
Allergan 1.0 $189M 1.2M 163.58
Visa (V) 1.0 $183M 1.6M 114.02
Brookdale Senior Living (BKD) 1.0 $177M 18M 9.70
Charter Communications Inc New Cl A cl a (CHTR) 0.9 $160M 477k 335.96
Vareit, Inc reits 0.9 $160M 21M 7.79
Pentair cs (PNR) 0.8 $158M 2.2M 70.62
Vantiv Inc Cl A 0.8 $154M 2.1M 73.55
Endo International (ENDPQ) 0.8 $149M 19M 7.75
Platform Specialty Prods Cor 0.8 $142M 14M 9.92
FedEx Corporation (FDX) 0.7 $132M 529k 249.54
Dun & Bradstreet Corporation 0.7 $131M 1.1M 118.41
Abbvie (ABBV) 0.7 $132M 1.4M 96.71
Lowe's Companies (LOW) 0.7 $126M 1.4M 92.94
Delphi Technologies 0.7 $122M 2.3M 52.47
Coca Cola European Partners (CCEP) 0.6 $116M 2.9M 39.85
Meritor 0.6 $114M 4.9M 23.46
Comcast Corporation (CMCSA) 0.6 $111M 2.8M 40.05
Realogy Hldgs (HOUS) 0.6 $103M 3.9M 26.50
Hertz Global Holdings 0.5 $95M 4.3M 22.10
Michaels Cos Inc/the 0.5 $88M 3.6M 24.19
Mohawk Industries (MHK) 0.4 $81M 293k 275.90
Conduent Incorporate (CNDT) 0.4 $82M 5.1M 16.16
Aramark Hldgs (ARMK) 0.4 $73M 1.7M 42.74
Cardinal Health (CAH) 0.2 $46M 751k 61.27
Industries N shs - a - (LYB) 0.2 $43M 391k 110.32
Monsanto Company 0.2 $38M 325k 116.78
Kinder Morgan (KMI) 0.2 $33M 1.8M 18.07
Kindred Healthcare 0.1 $19M 2.0M 9.70
Tailored Brands 0.0 $2.9M 133k 21.83
Citigroup Inc Com Us cmn 0.0 $803k 8.0M 0.10