Glenview Captal Management

Glenview Capital Management as of June 30, 2018

Portfolio Holdings for Glenview Capital Management

Glenview Capital Management holds 50 positions in its portfolio as reported in the June 2018 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Shire 5.7 $838M 5.0M 168.80
Dowdupont 5.2 $761M 12M 65.92
FMC Corporation (FMC) 4.9 $715M 8.0M 89.21
McKesson Corporation (MCK) 4.3 $628M 4.7M 133.40
Tenet Healthcare Corporation (THC) 4.1 $601M 18M 33.57
Iqvia Holdings (IQV) 4.1 $595M 6.0M 99.82
Aetna 3.9 $570M 3.1M 183.50
First Data 3.8 $559M 27M 20.93
Hca Holdings (HCA) 3.7 $547M 5.3M 102.60
Express Scripts Holding 3.7 $539M 7.0M 77.21
Thermo Fisher Scientific (TMO) 3.6 $528M 2.5M 207.14
Newell Rubbermaid (NWL) 3.5 $516M 20M 25.79
Flextronics International Ltd Com Stk (FLEX) 3.2 $467M 33M 14.11
eBay (EBAY) 3.0 $433M 12M 36.26
Dxc Technology (DXC) 2.9 $426M 5.3M 80.61
Walgreen Boots Alliance (WBA) 2.9 $421M 7.0M 60.01
Alphabet Inc Class A cs (GOOGL) 2.5 $373M 330k 1129.19
CVS Caremark Corporation (CVS) 2.4 $349M 5.4M 64.35
Universal Health Services (UHS) 2.2 $326M 2.9M 111.44
Anthem (ELV) 2.1 $304M 1.3M 238.03
Allergan 2.0 $296M 1.8M 166.72
CIGNA Corporation 1.9 $284M 1.7M 169.95
CBS Corporation 1.8 $268M 4.8M 56.22
FedEx Corporation (FDX) 1.8 $266M 1.2M 227.06
Williams Companies (WMB) 1.8 $262M 9.6M 27.11
Endo International (ENDPQ) 1.4 $210M 22M 9.43
Aramark Hldgs (ARMK) 1.3 $188M 5.1M 37.10
Lowe's Companies (LOW) 1.2 $171M 1.8M 95.57
Nvent Electric Plc Voting equities (NVT) 1.1 $160M 6.4M 25.10
Liberty Global Inc Com Ser A 1.1 $157M 5.7M 27.54
Charter Communications Inc New Cl A cl a (CHTR) 1.1 $155M 530k 293.21
Pentair cs (PNR) 1.0 $147M 3.5M 42.08
Platform Specialty Prods Cor 1.0 $145M 13M 11.60
Delphi Automotive Inc international (APTV) 0.9 $139M 1.5M 91.63
Liberty Global Inc C 0.9 $135M 5.1M 26.61
Avis Budget (CAR) 0.9 $125M 3.9M 32.50
Microsoft Corporation (MSFT) 0.8 $122M 1.2M 98.61
Meritor 0.8 $119M 5.8M 20.57
Delphi Technologies 0.7 $109M 2.4M 45.46
Brookdale Senior Living (BKD) 0.6 $94M 10M 9.09
Laboratory Corp. of America Holdings (LH) 0.6 $91M 508k 179.53
Fortune Brands (FBIN) 0.6 $87M 1.6M 53.69
Vareit, Inc reits 0.6 $88M 12M 7.44
AmerisourceBergen (COR) 0.6 $81M 955k 85.27
Hertz Global Holdings 0.5 $76M 4.9M 15.34
Michaels Cos Inc/the 0.5 $67M 3.5M 19.17
Hologic (HOLX) 0.3 $49M 1.2M 39.75
Mohawk Industries (MHK) 0.3 $44M 204k 214.27
Conduent Incorporate (CNDT) 0.2 $32M 1.7M 18.17
Citigroup Inc Com Us cmn 0.0 $80k 8.0M 0.01