GLENVIEW CAPITAL MANAGEMENT, LLC Q3 2017 Filing

Filed November 14, 2017

Portfolio Value

$17.2T

Holdings

56

Report Date

Q3 2017

Filing Type

13F-HR

All Holdings (56 positions)

#StockSharesValue% PortfolioType
1
HCAHCA HEALTHCARE INC
15,155,942$1.2T7.00%
2
DOWDUPONT INC
16,238,778$1.1T6.52%
3
FMCF M C CORP
11,721,194$1.0T6.07%
4
SHIRE PLC
5,869,138$898.8B5.22%
5
QUINTILES IMS HOLDINGS INC
8,921,356$848.2B4.92%
6
ELVANTHEM INC
3,802,515$722.0B4.19%
7
DXCDXC TECHNOLOGY CO
7,819,944$671.6B3.90%
8
FLEXFLEX LTD
39,432,751$653.4B3.79%
9
AETNA INC NEW
3,794,484$603.4B3.50%
10
GOOGLALPHABET INC
608,110$592.1B3.44%
11
CICIGNA CORPORATION
3,083,753$576.5B3.34%
12
TMOTHERMO FISHER SCIENTIFIC INC
2,728,827$516.3B3.00%
13
ABBVABBVIE INC
5,341,332$474.6B2.75%
14
LABORATORY CORP AMER HLDGS
2,908,188$439.0B2.55%
15
MCKMCKESSON CORP
2,720,878$418.0B2.43%
16
EBAEBAY INC
10,456,699$402.2B2.33%
17
AAPLAPPLE INC
2,489,532$383.7B2.23%
18
CBS CORP NEW
6,567,902$380.9B2.21%
19
ZBHZIMMER BIOMET HLDGS INC
3,155,386$369.5B2.14%
20
LOWLOWES COS INC
4,191,810$335.1B1.94%
21
FDCFIRST DATA CORP NEW
16,969,432$306.1B1.78%
22
THCTENET HEALTHCARE CORP
17,890,230$293.9B1.71%
23
CUCAAVIS BUDGET GROUP
7,598,004$289.2B1.68%
24
LBTYBLIBERTY GLOBAL PLC
7,758,465$263.1B1.53%
25
UHSUNIVERSAL HLTH SVCS INC
2,299,484$255.1B1.48%
26
DELPHI AUTOMOTIVE PLC
2,376,174$233.8B1.36%
27
WMBWILLIAMS COS INC DEL
7,527,089$225.9B1.31%
28
LBTYBLIBERTY GLOBAL PLC
6,531,357$213.6B1.24%
29
VVISA INC
2,028,651$213.5B1.24%
30
DUN & BRADSTREET CORP DEL NE
1,810,906$210.8B1.22%
31
B7SBROOKDALE SR LIVING INC
15,750,718$167.0B0.97%
32
PLATFORM SPECIALTY PRODS COR
14,328,633$159.8B0.93%
33
ARCPEURVEREIT INC
19,084,897$158.2B0.92%
34
MTORMERITOR INC
5,876,817$152.9B0.89%
35
CCEPCOCA COLA EUROPEAN PARTNERS
3,159,116$131.5B0.76%
36
HOUSREALOGY HLDGS CORP
3,896,651$128.4B0.74%
37
PNRPENTAIR PLC
1,771,167$120.4B0.70%
38
HERTZ GLOBAL HLDGS INC
5,062,166$113.2B0.66%
39
CVSCVS HEALTH CORP
1,369,003$111.3B0.65%
40
NKENIKE INC
2,092,657$108.5B0.63%
41
MHKMOHAWK INDS INC
422,233$104.5B0.61%
42
ENDO INTL PLC
10,953,261$93.8B0.54%
43
CMCSACOMCAST CORP NEW
2,302,642$88.6B0.51%
44
TWTRUSDTWITTER INC
4,977,679$84.0B0.49%
45
CNDTCONDUENT INC
4,000,000$62.7B0.36%
46
WYNEURWYNDHAM WORLDWIDE CORP
477,974$50.4B0.29%
47
MONSANTO CO NEW
355,764$42.6B0.25%
48
KMIKINDER MORGAN INC DEL
1,819,630$34.9B0.20%
49
TAILORED BRANDS INC
2,400,000$34.7B0.20%
50
MGMMGM RESORTS INTERNATIONAL
994,046$32.4B0.19%
51
FDXFEDEX CORP
127,521$28.8B0.17%
52
NXDRKINDRED HEALTHCARE INC
4,217,713$28.7B0.17%
53
PXGBXPRAXAIR INC
100,000$14.0B0.08%
54
VANTIV INC
163,901$11.6B0.07%
55
WBAWALGREENS BOOTS ALLIANCE INC
49,400$3.8B0.02%
56
CITIGROUP INC
8,031,020$925.0M0.01%