Glenview Capital
Larry Robbins (CEO) · New York, NY · CIK 1138995 · EDGAR filings ↗
Healthcare-heavy fundamental manager.
Reported 13F portfolio value covers U.S. reportable long positions only — not cash, bonds, shorts or non-U.S. holdings. It is not assets under management.
Share of reported common-equity value; (±pp) vs prior quarter.
| # | Security | Weight | Value | Shares | Δ shares | Held | |
|---|---|---|---|---|---|---|---|
| 1 | CVS CVS Health Corp. | 13.6% | $536.29M | 11.95M | 0.0% | Held | 3 |
| 2 | GPN Global Payments Inc. | 11.1% | $439.96M | 3.93M | -5.2% | ▼ Trim | 3 |
| 3 | THC Tenet Healthcare Corporation | 9.1% | $358.13M | 2.84M | +6.7% | ▲ Add | 3 |
| 4 | ALIGHT INC (unmapped) | — | $220.82M | 31.91M | — | — | |
| 5 | TEVA Teva Pharmaceutical… | 4.7% | $186.38M | 8.46M | 0.0% | Held | 3 |
| 6 | DNB DUN & BRADSTREET HLDGS INC | 4.7% | $184.32M | 14.79M | +54.8% | ▲ Add | 3 |
| 7 | CI Cigna Corporation | 4.4% | $174.63M | 632.41K | -39.9% | ▼ Trim | 3 |
| 8 | EXPE Expedia Group, Inc. | 4.1% | $163.71M | 878.58K | -19.4% | ▼ Trim | 3 |
| 9 | UHS Universal Health Services… | 4.0% | $157.76M | 879.30K | +19.9% | ▲ Add | 3 |
| 10 | DXC DXC Technology Company | 4.0% | $157.60M | 7.89M | -29.4% | ▼ Trim | 3 |
| 11 | CTVA Corteva, Inc. | 3.0% | $117.09M | 2.06M | -60.8% | ▼ Trim | 3 |
| 12 | VTRS Viatris Inc. | 2.9% | $116.08M | 9.32M | +23.1% | ▲ Add | 3 |
| 13 | USFD US Foods Holding Corp. | 2.7% | $108.51M | 1.61M | -11.3% | ▼ Trim | 3 |
| 14 | GTM ZoomInfo Technologies Inc. | 2.7% | $104.96M | 9.99M | +153.8% | ▲ Add | 3 |
| 15 | CLVT Clarivate Plc | 2.4% | $94.33M | 18.57M | -29.2% | ▼ Trim | 3 |
| 16 | MCK McKesson Corporation | 2.2% | $86.41M | 151.62K | -43.2% | ▼ Trim | 3 |
| 17 | UBER Uber Technologies, Inc. | 2.1% | $83.88M | 1.39M | +32.8% | ▲ Add | 3 |
| 18 | CNC Centene Corp. | 2.0% | $77.99M | 1.29M | New | New | 1 |
| 19 | AMZN Amazon.com, Inc. | 1.8% | $73.13M | 333.32K | -29.9% | ▼ Trim | 3 |
| 20 | KNX Knight-Swift Transportation… | 1.6% | $63.86M | 1.20M | -21.1% | ▼ Trim | 3 |
| 21 | ESI Element Solutions Inc | 1.6% | $62.32M | 2.45M | -45.6% | ▼ Trim | 3 |
| 22 | TFX Teleflex Incorporated | 1.5% | $58.73M | 329.98K | +99.8% | ▲ Add | 3 |
| 23 | MYGN Myriad Genetics, Inc. | 1.4% | $57.00M | 4.16M | +229.6% | ▲ Add | 3 |
| 24 | CAR Avis Budget Group, Inc. | 1.3% | $52.44M | 650.60K | -2.5% | ▼ Trim | 3 |
| 25 | MSFT Microsoft Corporation | 1.1% | $43.69M | 103.65K | New | New | 1 |
| 26 | WDC Western Digital Corporation | 1.1% | $41.67M | 698.82K | +60.9% | ▲ Add | 2 |
| 27 | BFLY Butterfly Network, Inc. | 0.8% | $31.28M | 11.67M | 0.0% | Held | 3 |
| 28 | BC Brunswick Corporation | 0.7% | $28.20M | 436.01K | +53.1% | ▲ Add | 3 |
| 29 | JBTM JBT Marel Corporation | 0.6% | $23.73M | 186.69K | New | New | 1 |
| 30 | HSIC Henry Schein, Inc. | 0.6% | $21.98M | 317.65K | +81.9% | ▲ Add | 2 |
| 31 | PINS Pinterest, Inc. | 0.3% | $10.39M | 358.36K | New | New | 1 |
| 32 | BKD Brookdale Senior Living Inc. | 0.2% | $7.54M | 1.50M | -40.0% | ▼ Trim | 3 |
| 33 | FMC FMC Corporation | 0.2% | $7.46M | 153.37K | New | New | 1 |
| 34 | DNA Ginkgo Bioworks Holdings… | 0.0% | $1.84M | 187.50K | -60.5% | ▼ Trim | 3 |
| 35 | DMRC DIGIMARC CORP NEW | 0.0% | $983,400 | 26.26K | -86.8% | ▼ Trim | 3 |
Common-stock (SH) positions only; option lines are in the Options tab and are never netted. ✂ = change computed against split-adjusted prior shares. “Held N+” = held every quarter in our window, possibly longer.
| Security | Shares | Prior | Change | Value | Weight | Streak |
|---|---|---|---|---|---|---|
| CNC Centene Corp. | 1.29M | — | New | $77.99M | 2.0% | |
| MSFT Microsoft Corporation | 103.65K | — | New | $43.69M | 1.1% | |
| JBTM JBT Marel Corporation | 186.69K | — | New | $23.73M | 0.6% | |
| PINS Pinterest, Inc. | 358.36K | — | New | $10.39M | 0.3% | |
| FMC FMC Corporation | 153.37K | — | New | $7.46M | 0.2% |
| Security | Shares | Prior | Change | Value | Weight | Streak |
|---|---|---|---|---|---|---|
| THC Tenet Healthcare… | 2.84M | 2.66M | +6.7% | $358.13M | 9.1% | |
| DNB | 14.79M | 9.56M | +54.8% | $184.32M | 4.7% | ●●○○○○ |
| UHS Universal Health… | 879.30K | 733.26K | +19.9% | $157.76M | 4.0% | |
| VTRS Viatris Inc. | 9.32M | 7.57M | +23.1% | $116.08M | 2.9% | ●●○○○○ |
| GTM ZoomInfo Technologies… | 9.99M | 3.94M | +153.8% | $104.96M | 2.7% | ●●○○○○ |
| UBER Uber Technologies, Inc. | 1.39M | 1.05M | +32.8% | $83.88M | 2.1% | |
| TFX Teleflex Incorporated | 329.98K | 165.13K | +99.8% | $58.73M | 1.5% | ●●○○○○ |
| MYGN Myriad Genetics, Inc. | 4.16M | 1.26M | +229.6% | $57.00M | 1.4% | |
| WDC Western Digital… | 698.82K | 434.28K | +60.9% | $41.67M | 1.1% | ●●○○○○ |
| BC Brunswick Corporation | 436.01K | 284.79K | +53.1% | $28.20M | 0.7% | |
| HSIC Henry Schein, Inc. | 317.65K | 174.66K | +81.9% | $21.98M | 0.6% | ●●○○○○ |
| Security | Shares | Prior | Change | Value | Weight | Streak |
|---|---|---|---|---|---|---|
| GPN Global Payments Inc. | 3.93M | 4.14M | -5.2% | $439.96M | 11.1% | |
| CI Cigna Corporation | 632.41K | 1.05M | -39.9% | $174.63M | 4.4% | ●●○○○○ |
| CTVA Corteva, Inc. | 2.06M | 5.24M | -60.8% | $117.09M | 3.0% | |
| DXC DXC Technology Company | 7.89M | 11.17M | -29.4% | $157.60M | 4.0% | |
| CLVT Clarivate Plc | 18.57M | 26.24M | -29.2% | $94.33M | 2.4% | |
| EXPE Expedia Group, Inc. | 878.58K | 1.09M | -19.4% | $163.71M | 4.1% | |
| MCK McKesson Corporation | 151.62K | 266.94K | -43.2% | $86.41M | 2.2% | |
| ESI Element Solutions Inc | 2.45M | 4.51M | -45.6% | $62.32M | 1.6% | ●●○○○○ |
| USFD US Foods Holding Corp. | 1.61M | 1.81M | -11.3% | $108.51M | 2.7% | ●●○○○○ |
| AMZN Amazon.com, Inc. | 333.32K | 475.43K | -29.9% | $73.13M | 1.8% | |
| KNX Knight-Swift… | 1.20M | 1.53M | -21.1% | $63.86M | 1.6% | |
| CAR Avis Budget Group, Inc. | 650.60K | 666.93K | -2.5% | $52.44M | 1.3% | |
| BKD Brookdale Senior Living… | 1.50M | 2.50M | -40.0% | $7.54M | 0.2% | ●●○○○○ |
| DMRC | 26.26K | 199.25K | -86.8% | $983,400 | 0.0% | ●●○○○○ |
| DNA Ginkgo Bioworks… | 187.50K | 475.00K | -60.5% | $1.84M | 0.0% | ●●○○○○ |
| Security | Shares | Prior | Change | Value | Weight | Streak |
|---|---|---|---|---|---|---|
| MRVL Marvell Technology, Inc. | — | 1.17M | Exit | $84.03M | 1.8% | |
| WCC WESCO International… | — | 274.79K | Exit | $46.16M | 1.0% | |
| STX Seagate Technology… | — | 402.77K | Exit | $44.12M | 0.9% | |
| MTCH Match Group, Inc. | — | 1.15M | Exit | $43.42M | 0.9% | |
| DD DuPont de Nemours, Inc. | — | 275.49K | Exit | $24.55M | 0.5% | |
| SEE Sealed Air Corporation | — | 674.66K | Exit | $24.49M | 0.5% | |
| EVLV Evolv Technologies… | — | 4.89M | Exit | $19.81M | 0.4% | |
| LYV Live Nation… | — | 174.31K | Exit | $19.09M | 0.4% | |
| LYFT Lyft, Inc. | — | 789.39K | Exit | $10.06M | 0.2% | |
| HTZ Hertz Global Holdings… | — | 439.25K | Exit | $1.45M | 0.0% | |
| OFIX | — | 63.20K | Exit | $987,122 | 0.0% | |
| RPID | — | 547.99K | Exit | $487,711 | 0.0% |
Consecutive quarters each current position has been reported, within our data window.
| Manager | Common positions | Name overlap | Weighted similarity | |
|---|---|---|---|---|
| Holocene Advisors, LP | 24 | 3.0% | 0.2532 | Compare ⇄ |
| Dodge & Cox | 16 | 6.5% | 0.2039 | Compare ⇄ |
| Appaloosa | 4 | 6.3% | 0.2021 | Compare ⇄ |
| Parnassus Investments, Llc | 13 | 7.9% | 0.1892 | Compare ⇄ |
| Point72 Asset Management | 32 | 1.7% | 0.1872 | Compare ⇄ |
| Grantham, Mayo, Van Otterloo & Co. LLC | 21 | 3.1% | 0.1843 | Compare ⇄ |
| Tiger Global Management | 7 | 8.6% | 0.1769 | Compare ⇄ |
| Boston Partners | 26 | 3.2% | 0.1752 | Compare ⇄ |
Similarity of reported longs only — hedges and non-13F assets are invisible. Methodology
$5.49B · 45 holdings listed · View original SEC filing ↗
$3.98B · 44 holdings listed · View original SEC filing ↗
$4.91B · 57 holdings listed · View original SEC filing ↗
$4.49B · 54 holdings listed · View original SEC filing ↗
$3.57B · 43 holdings listed · View original SEC filing ↗
$4.07B · 45 holdings listed · View original SEC filing ↗
$3.96B · 36 holdings listed · View original SEC filing ↗
$5.17B · 46 holdings listed · View original SEC filing ↗
$5.08B · 48 holdings listed · View original SEC filing ↗