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Portfolio diff

Glenview Capital

Q1 2026 ⇄ Q2 2026

+12Added
−11Removed
29Resized
1Unchanged

Added (Q2 2026)

SecurityValueShares
A AGILENT TECHNOLOGIES… $261.61M1.97M
LLY ELI LILLY & CO $69.29M57.77K
MKSI MKS INC. $43.83M98.53K
STM STMICROELECTRONICS N V $41.94M560.06K
ABBV ABBVIE INC $37.47M148.91K
AZN ASTRAZENECA PLC $34.94M184.28K
ELV ELEVANCE HEALTH INC… $25.76M66.60K
MCHP MICROCHIP TECHNOLOGY… $24.22M265.58K
BRKR BRUKER CORP $15.18M252.17K
NVS NOVARTIS AG $13.62M86.91K
BSX BOSTON SCIENTIFIC CORP $4.83M113.10K
CAH CARDINAL HEALTH INC $4.28M18.02K

Removed (was held in Q1 2026)

SecurityValue thenShares then
DXC DXC TECHNOLOGY CO $111.82M8.90M
GTM ZOOMINFO TECHNOLOGIES… $95.11M15.91M
USFD US FOODS HLDG CORP $35.41M384.01K
Z ZILLOW GROUP INC $32.68M789.67K
LAD LITHIA MTRS INC $31.87M127.61K
LION LIONSGATE STUDIOS CORP $26.65M2.78M
MYGN MYRIAD GENETICS INC $24.35M5.41M
SGRY SURGERY PARTNERS INC $21.46M1.80M
AKAM AKAMAI TECHNOLOGIES… $17.97M156.45K
INTC INTEL CORP $17.63M399.51K
BIIB BIOGEN INC $10.45M57.02K

Resized positions

SecurityQ1 2026 sharesQ2 2026 sharesChange
DHR DANAHER CORP DEL 156.28K 1.15M +633.3%
META META PLATFORMS INC 122.66K 356.84K +190.9%
TMO THERMO FISHER… 250.53K 627.24K +150.4%
EYE NATIONAL VISION HLDGS… 1.57M 3.10M +98.0%
TECH BIO-TECHNE CORP 186.31K 58.32K -68.7%
AMAT APPLIED MATLS INC 197.21K 65.20K -66.9%
DOCN DIGITALOCEAN HLDGS INC 250.00K 84.81K -66.1%
BKR BAKER HUGHES COMPANY 303.68K 493.52K +62.5%
GENI GENIUS SPORTS LIMITED 8.56M 13.50M +57.6%
AMD ADVANCED MICRO DEVICES… 650.79K 298.41K -54.1%
THC TENET HEALTHCARE CORP 1.52M 2.24M +46.6%
CNC CENTENE CORP DEL 3.21M 1.89M -41.3%
CVS CVS HEALTH CORP 8.20M 4.82M -41.1%
GPN GLOBAL PMTS INC 6.36M 8.91M +40.0%
ESI ELEMENT SOLUTIONS INC 1.63M 994.58K -38.9%
DKS DICKS SPORTING GOODS INC 298.91K 401.07K +34.2%
ONTO ONTO INNOVATION INC 299.72K 205.79K -31.3%
HUM HUMANA INC 334.89K 254.22K -24.1%
PRMB PRIMO BRANDS CORPORATION 531.05K 404.97K -23.7%
TEVA TEVA PHARMACEUTICAL… 6.66M 5.08M -23.7%
UBER UBER TECHNOLOGIES INC 1.46M 1.79M +23.2%
CSCO CISCO SYS INC 339.82K 413.33K +21.6%
AMZN AMAZON COM INC 1.06M 1.27M +20.1%
CI THE CIGNA GROUP 498.84K 412.22K -17.4%
XYZ BLOCK INC 1.36M 1.20M -12.3%
FUN SIX FLAGS ENTERTAINMENT… 2.22M 2.02M -9.2%
VTRS VIATRIS INC 9.09M 9.88M +8.7%
UAL UNITED AIRLS HLDGS INC 496.86K 494.74K -0.4%
BLCO BAUSCH PLUS LOMB CORP 1.91M 1.92M +0.4%

Raw share-count comparison between the two selected quarters (as reported; splits between distant quarters are not adjusted here — the quarterly change tabs on the manager page are split-adjusted). Common-stock positions with mapped tickers only.

Provenance: Both snapshots come from the manager's parsed 13F information tables (latest accepted versions). ← Back to the manager record