York Capital Management Global Advisors

York Capital Management Global Advisors as of Dec. 31, 2017

Portfolio Holdings for York Capital Management Global Advisors

York Capital Management Global Advisors holds 68 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
Monsanto Company 17.1 $708M 6.1M 116.78
Nxp Semiconductors N V (NXPI) 14.8 $611M 5.2M 117.09
Altaba 9.2 $379M 5.4M 69.85
Nextdecade Corp (NEXT) 7.7 $319M 58M 5.53
Aetna 5.0 $207M 1.1M 180.39
Time Warner 3.2 $134M 1.5M 91.47
Twenty-first Century Fox 2.9 $121M 3.5M 34.53
Bunge 2.8 $115M 1.7M 67.09
Qualcomm (QCOM) 2.7 $112M 1.7M 64.02
Rockwell Collins 2.2 $91M 668k 135.62
Dell Technologies Inc Class V equity 2.0 $85M 1.0M 81.28
Shire 1.8 $72M 465k 155.12
Broad 1.8 $72M 281k 256.89
Ashland (ASH) 1.8 $72M 1.0M 71.20
FMC Corporation (FMC) 1.6 $68M 722k 94.67
Coty Inc Cl A (COTY) 1.6 $65M 3.2M 19.90
Teva Pharmaceutical Industries (TEVA) 1.4 $57M 3.0M 18.95
Tribune Co New Cl A 1.4 $56M 1.3M 42.47
Gcp Applied Technologies 1.3 $52M 1.6M 31.89
Dycom Industries (DY) 1.3 $52M 466k 111.43
Coca Cola European Partners (CCEP) 1.1 $45M 1.1M 39.85
DISH Network 0.9 $39M 814k 47.75
Constellium Holdco B V cl a 0.9 $36M 3.2M 11.15
Us Foods Hldg Corp call (USFD) 0.8 $34M 1.1M 31.93
Humana (HUM) 0.8 $33M 134k 248.13
Zto Express Cayman (ZTO) 0.8 $34M 2.1M 15.85
Forest City Realty Trust Inc Class A 0.8 $32M 1.3M 24.10
Ilg 0.7 $30M 1.0M 28.48
Scripps Networks Interactive 0.7 $27M 312k 85.36
Pinnacle Foods Inc De 0.6 $26M 431k 59.47
Caesars Entertainment 0.5 $22M 1.8M 12.65
Globalstar (GSAT) 0.5 $21M 16M 1.31
Ggp 0.5 $20M 860k 23.39
Changyou 0.5 $20M 537k 36.43
O'reilly Automotive (ORLY) 0.4 $18M 75k 240.55
Exela Technologi 0.3 $15M 2.8M 5.15
Home Depot (HD) 0.3 $14M 75k 189.53
Rlj Lodging Trust (RLJ) 0.3 $14M 638k 21.97
Centene Corporation (CNC) 0.3 $13M 133k 100.92
China Biologic Products 0.3 $13M 161k 78.77
Teck Resources Ltd cl b (TECK) 0.3 $12M 456k 26.17
KKR & Co 0.3 $11M 522k 21.06
Blackstone 0.3 $11M 341k 32.00
Estre Ambiental (ESTRF) 0.2 $10M 1.2M 8.64
Consolidated Communications Holdings (CNSL) 0.2 $9.5M 780k 12.19
Gastar Exploration 0.2 $9.0M 8.6M 1.05
Godaddy Inc cl a (GDDY) 0.2 $9.0M 178k 50.28
AK Steel Holding Corporation 0.2 $8.6M 1.5M 5.66
Target Corporation (TGT) 0.2 $8.2M 125k 65.25
Micron Technology (MU) 0.2 $7.7M 187k 41.12
Tractor Supply Company (TSCO) 0.2 $7.5M 100k 74.75
Quorum Health 0.2 $7.5M 1.2M 6.24
Becton, Dickinson and (BDX) 0.2 $6.6M 31k 214.09
Costamare (CMRE) 0.2 $6.6M 1.2M 5.77
Viavi Solutions Inc equities (VIAV) 0.2 $6.6M 758k 8.74
Kennedy-Wilson Holdings (KW) 0.1 $6.2M 358k 17.34
Twitter 0.1 $6.3M 261k 24.01
Lyon William Homes cl a 0.1 $5.8M 200k 29.08
Quidel Corporation 0.1 $5.2M 120k 43.35
Elbit Imaging Ltd. Cmn (EMITF) 0.1 $5.0M 1.8M 2.80
Inc Resh Hldgs Inc cl a 0.1 $4.0M 91k 43.60
NetScout Systems (NTCT) 0.1 $3.4M 112k 30.45
Enerplus Corp (ERF) 0.1 $3.5M 356k 9.78
Surgery Partners (SGRY) 0.1 $2.3M 189k 12.10
Tsakos Energy Navigation 0.1 $1.9M 485k 3.91
Ultra Petroleum 0.0 $1.3M 139k 9.06
Ares Management Lp m 0.0 $957k 48k 20.00
Genomic Health 0.0 $423k 12k 34.20