York Capital Management Global Advisors

York Capital Management Global Advisors as of Sept. 30, 2017

Portfolio Holdings for York Capital Management Global Advisors

York Capital Management Global Advisors holds 68 positions in its portfolio as reported in the September 2017 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Nxp Semiconductors N V (NXPI) 15.2 $697M 6.2M 113.09
Monsanto Company 13.8 $632M 5.3M 119.82
Altaba 8.4 $386M 5.8M 66.24
Time Warner 8.0 $370M 3.6M 102.45
Nextdecade Corp (NEXT) 6.0 $276M 53M 5.19
Level 3 Communications 4.9 $226M 4.2M 53.29
Bunge 3.0 $139M 2.0M 69.47
C.R. Bard 3.0 $138M 429k 320.49
Broad 2.5 $114M 468k 242.52
Metropcs Communications (TMUS) 2.3 $105M 1.7M 61.66
Rockwell Collins 2.2 $100M 762k 130.71
Alere 2.1 $99M 1.9M 50.99
Tribune Co New Cl A 2.1 $99M 2.4M 40.86
Dell Technologies Inc Class V equity 2.0 $90M 1.2M 77.21
FMC Corporation (FMC) 1.8 $84M 939k 89.31
Shire 1.7 $79M 518k 153.14
DISH Network 1.7 $76M 1.4M 54.23
Brocade Communications Systems 1.5 $69M 5.8M 11.95
Ashland (ASH) 1.3 $60M 914k 65.39
Gcp Applied Technologies 1.2 $54M 1.8M 30.69
Dycom Industries (DY) 1.2 $53M 621k 85.88
Coty Inc Cl A (COTY) 1.1 $49M 3.0M 16.53
Fortress Investment 1.0 $47M 5.8M 7.97
Bemis Company 0.9 $43M 937k 45.58
Kraft Heinz (KHC) 0.7 $33M 428k 77.55
Scripps Networks Interactive 0.7 $30M 351k 85.91
Constellium Holdco B V cl a 0.7 $30M 2.9M 10.25
Athene Holding Ltd Cl A 0.6 $29M 544k 53.83
Humana (HUM) 0.6 $26M 105k 243.58
Pinnacle Foods Inc De 0.5 $23M 399k 57.15
AmerisourceBergen (COR) 0.5 $22M 260k 82.77
Forest City Realty Trust Inc Class A 0.5 $21M 805k 25.52
Sandridge Energy (SD) 0.4 $21M 1.0M 20.09
Globalstar (GSAT) 0.4 $19M 12M 1.63
Western Digital (WDC) 0.4 $18M 209k 86.40
General Cable Corporation 0.3 $16M 851k 18.85
Tiffany & Co. 0.3 $16M 171k 91.74
Nordstrom (JWN) 0.3 $15M 312k 47.15
Exela Technologi 0.3 $14M 2.8M 4.90
Teck Resources Ltd cl b (TECK) 0.3 $12M 566k 21.09
Richmont Mines 0.3 $12M 1.3M 9.32
Brighthouse Finl (BHF) 0.3 $12M 200k 60.83
Consolidated Communications Holdings (CNSL) 0.2 $11M 555k 19.08
Zto Express Cayman (ZTO) 0.2 $11M 770k 14.04
CenturyLink 0.2 $8.4M 446k 18.90
Rlj Lodging Trust (RLJ) 0.2 $8.4M 382k 21.98
Automatic Data Processing (ADP) 0.2 $7.9M 72k 109.36
Ctrip.com International 0.2 $7.5M 143k 52.74
AK Steel Holding Corporation 0.2 $7.3M 1.3M 5.59
Gastar Exploration 0.2 $7.5M 8.6M 0.88
Advisory Board Company 0.1 $6.8M 127k 53.62
Costamare (CMRE) 0.1 $7.1M 1.2M 6.18
Amc Entmt Hldgs Inc Cl A 0.1 $6.2M 425k 14.70
Viavi Solutions Inc equities (VIAV) 0.1 $6.3M 669k 9.46
Melco Crown Entertainment (MLCO) 0.1 $5.8M 239k 24.12
Silicon Motion Technology (SIMO) 0.1 $6.2M 129k 48.03
Sba Communications Corp (SBAC) 0.1 $5.4M 38k 144.04
Orbital Atk 0.1 $5.1M 38k 133.17
Quorum Health 0.1 $5.0M 958k 5.18
Elbit Imaging Ltd. Cmn (EMITF) 0.1 $5.0M 1.8M 2.75
Lyon William Homes cl a 0.1 $4.6M 200k 22.99
Regal Entertainment 0.1 $3.5M 220k 16.00
Quidel Corporation 0.1 $3.5M 80k 43.85
Universal Display Corporation (OLED) 0.1 $3.2M 25k 128.86
China Biologic Products 0.1 $2.8M 30k 92.28
Tsakos Energy Navigation 0.1 $2.2M 485k 4.49
Ultra Petroleum 0.0 $1.2M 139k 8.67
Rowan Companies 0.0 $969k 75k 13.00