York Capital Management Global Advisors

York Capital Management Global Advisors as of March 31, 2020

Portfolio Holdings for York Capital Management Global Advisors

York Capital Management Global Advisors holds 48 positions in its portfolio as reported in the March 2020 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Tiffany & Co. 12.4 $207M 1.6M 129.50
Allergan 11.9 $199M 1.1M 177.11
Nextdecade Corp (NEXT) 6.5 $109M 58M 1.88
Cypress Semiconductor Corporation 6.4 $106M 4.6M 23.32
China Biologic Products 5.5 $92M 852k 107.89
BHP Billiton 4.1 $69M 2.3M 30.34
Fidelity National Information Services (FIS) 2.8 $48M 390k 121.63
Uber Technologies (UBER) 2.4 $40M 1.4M 27.92
Microsoft Corporation (MSFT) 2.4 $40M 250k 157.76
Amazon (AMZN) 2.3 $39M 20k 1949.76
Taubman Centers 2.1 $36M 854k 41.89
Baxter International (BAX) 2.1 $35M 435k 81.20
Humana (HUM) 2.1 $35M 112k 314.08
MasterCard Incorporated (MA) 2.1 $34M 142k 241.55
Post Holdings Inc Common (POST) 2.0 $34M 408k 82.99
Jd (JD) 1.9 $31M 766k 40.46
Adobe Systems Incorporated (ADBE) 1.8 $30M 96k 318.22
Boston Scientific Corporation (BSX) 1.8 $30M 919k 32.62
Elanco Animal Health (ELAN) 1.7 $29M 1.3M 22.41
Ball Corporation (BALL) 1.7 $28M 432k 64.66
New Frontier Health Corp ord 1.6 $27M 3.3M 8.25
Envestnet (ENV) 1.5 $25M 456k 53.76
Science App Int'l (SAIC) 1.5 $25M 328k 74.60
Ashland (ASH) 1.4 $23M 461k 50.09
Global Payments (GPN) 1.4 $23M 158k 144.27
iShares IBoxx $ Invest Grade Corp Bd (LQD) 1.3 $21M 171k 123.51
Nextera Energy (NEE) 1.3 $21M 87k 240.68
O'reilly Automotive (ORLY) 1.1 $19M 63k 301.06
Paypal Holdings (PYPL) 1.1 $18M 184k 95.76
New Oriental Education & Tech 1.0 $16M 152k 108.24
Change Healthcare 1.0 $16M 1.6M 9.99
Tech Data Corporation 1.0 $16M 124k 130.77
Oi Sa - (OIBZQ) 0.9 $16M 52M 0.30
Bitauto Hldg 0.9 $15M 1.5M 10.39
Gds Holdings ads (GDS) 0.8 $14M 241k 57.97
Alphabet Inc Class C cs (GOOG) 0.8 $13M 11k 1162.05
TJX Companies (TJX) 0.7 $12M 253k 47.81
Activision Blizzard 0.7 $11M 191k 59.45
Iqvia Holdings (IQV) 0.7 $11M 105k 107.77
Nike (NKE) 0.6 $10M 125k 82.78
Altice Usa Inc cl a (ATUS) 0.6 $9.4M 421k 22.31
Envista Hldgs Corp (NVST) 0.5 $8.7M 584k 14.93
Charter Communications Inc New Cl A cl a (CHTR) 0.5 $8.5M 20k 436.88
Rts/bristol-myers Squibb Compa 0.5 $8.2M 2.2M 3.79
Restaurant Brands Intl Inc Com equity / large cap (QSR) 0.5 $7.6M 189k 40.08
Raytheon Company 0.3 $4.6M 35k 130.91
Trip Com Intl Ltd Sponsored Ad (TCOM) 0.2 $3.1M 132k 23.45
Quorum Health 0.1 $1.3M 3.0M 0.45