York Capital Management Global Advisors

York Capital Management Global Advisors as of Dec. 31, 2015

Portfolio Holdings for York Capital Management Global Advisors

York Capital Management Global Advisors holds 84 positions in its portfolio as reported in the December 2015 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Financial Select Sector SPDR (XLF) 6.3 $425M 18M 23.83
Baxter International (BAX) 5.1 $346M 9.1M 38.15
Allergan 4.3 $287M 918k 312.50
Broadcom Corporation 4.1 $274M 4.7M 57.82
FedEx Corporation (FDX) 3.8 $254M 1.7M 148.99
Avago Technologies 3.7 $250M 1.7M 145.15
Kraft Heinz (KHC) 3.7 $250M 3.4M 72.76
Time Warner Cable 3.3 $223M 1.2M 185.59
EMC Corporation 3.2 $217M 8.4M 25.68
Energy Select Sector SPDR (XLE) 3.1 $210M 3.5M 60.32
Nxp Semiconductors N V (NXPI) 3.0 $204M 2.4M 84.25
Synchrony Financial (SYF) 2.9 $197M 6.5M 30.41
Air Products & Chemicals (APD) 2.8 $186M 1.4M 130.11
Baxalta Incorporated 2.5 $167M 4.3M 39.03
Aetna 2.5 $166M 1.5M 108.12
Alphabet Inc Class C cs (GOOG) 2.3 $152M 201k 758.88
Yahoo! 2.2 $150M 4.5M 33.26
Dycom Industries (DY) 2.1 $140M 2.0M 69.96
SPDR S&P Oil & Gas Explore & Prod. 2.0 $134M 4.4M 30.22
Pfizer (PFE) 2.0 $133M 4.1M 32.28
DISH Network 2.0 $132M 2.3M 57.18
Dow Chemical Company 1.9 $130M 2.5M 51.48
Metropcs Communications (TMUS) 1.9 $128M 3.3M 39.12
Amazon (AMZN) 1.9 $125M 186k 675.89
Energy Transfer Equity (ET) 1.7 $115M 8.4M 13.74
Humana (HUM) 1.7 $114M 640k 178.51
Coca-cola Enterprises 1.7 $113M 2.3M 49.24
Union Pacific Corporation (UNP) 1.6 $107M 1.4M 78.20
Maxim Integrated Products 1.4 $97M 2.5M 38.00
American Airls (AAL) 1.4 $95M 2.2M 42.35
CSX Corporation (CSX) 1.1 $75M 2.9M 25.95
Interxion Holding 1.1 $75M 2.5M 30.15
eBay (EBAY) 1.1 $71M 2.6M 27.48
Cit 0.9 $63M 1.6M 39.70
Hertz Global Holdings 0.9 $60M 4.2M 14.23
Teva Pharmaceutical Industries (TEVA) 0.9 $59M 900k 65.64
Dyax 0.8 $54M 1.4M 37.62
Starz - Liberty Capital 0.7 $45M 1.3M 33.50
Edgewell Pers Care (EPC) 0.6 $41M 523k 78.37
Aramark Hldgs (ARMK) 0.6 $40M 1.2M 32.25
Hldgs (UAL) 0.6 $38M 659k 57.30
iShares Russell 2000 Index (IWM) 0.5 $36M 319k 112.62
Liberty Global Inc Com Ser A 0.5 $34M 794k 42.36
FleetCor Technologies 0.5 $33M 229k 142.93
Criteo Sa Ads (CRTO) 0.5 $32M 817k 39.60
Hubbell Incorporated 0.5 $32M 316k 101.04
Macy's (M) 0.5 $32M 912k 34.98
Time Warner 0.4 $29M 445k 64.67
Liberty Tripadvisor Hldgs (LTRPA) 0.4 $29M 942k 30.34
Globalstar (GSAT) 0.4 $27M 18M 1.44
Amgen (AMGN) 0.4 $25M 153k 162.33
MGM Resorts International. (MGM) 0.3 $24M 1.0M 22.72
Norfolk Southern (NSC) 0.3 $21M 250k 84.59
Precision Castparts 0.3 $21M 91k 232.01
ITC Holdings 0.3 $20M 513k 39.25
Chubb Corporation 0.3 $19M 160k 116.85
Office Depot 0.3 $19M 3.4M 5.64
Delta Air Lines (DAL) 0.3 $19M 373k 50.69
Axalta Coating Sys (AXTA) 0.3 $18M 669k 26.65
Mead Johnson Nutrition 0.2 $17M 212k 78.95
Ptc Therapeutics I (PTCT) 0.2 $16M 479k 32.40
Costamare (CMRE) 0.2 $12M 1.2M 10.42
Commscope Hldg (COMM) 0.2 $12M 463k 25.89
Integrated Device Technology 0.1 $8.6M 325k 26.35
Lattice Semiconductor (LSCC) 0.1 $7.8M 1.2M 6.47
Jd (JD) 0.1 $7.6M 236k 32.27
Inphi Corporation 0.1 $6.8M 250k 27.02
Belmond 0.1 $6.6M 691k 9.50
Sony Corporation (SONY) 0.1 $5.6M 227k 24.61
Youku 0.1 $5.1M 190k 27.13
Intrexon 0.1 $4.7M 155k 30.15
Tsakos Energy Navigation 0.1 $3.8M 485k 7.92
Elbit Imaging 0.1 $3.5M 5.4M 0.65
Hercules Offshore 0.0 $3.0M 1.4M 2.17
Syngenta 0.0 $1.7M 22k 78.74
Park City (TRAK) 0.0 $1.9M 161k 11.91
Commercial Vehicle (CVGI) 0.0 $1.6M 575k 2.76
Cobalt Intl Energy Inc note 0.0 $1.4M 72M 0.02
Liberty Global 0.0 $1.6M 40k 41.36
Kaiser Aluminum (KALU) 0.0 $442k 5.3k 83.70
Saexploration Holdings 0.0 $522k 257k 2.03
Anheuser-Busch InBev NV (BUD) 0.0 $250k 2.0k 125.00
Cumulus Media 0.0 $19k 56k 0.34
Liberty Global 0.0 $297k 6.9k 42.98