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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Viropharma Incorporated (MM) | NASDAQ:VPHM | NASDAQ | Common Stock |
Price Change | % Change | Share Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 49.98 | 0 | 01:00:00 |
DJ CFA SOURCE: SEC 13F-HR FILER: Maverick Capital Ltd. QUARTER ENDED: 09/30/2013 SEC RECEIVED: 11/14/2013
The following sets forth up to 200 of the largest holdings of Maverick Capital Ltd. as of Sep. 30, according to a Form 13F filed with the Securities and Exchange Commission.
As of Sep. 30, Maverick Capital Ltd. held 63 positions valued at $7,363,806,620.
Up to 200 of the largest holdings of Maverick Capital Ltd. are listed below in order of dollar value as of Sep. 30.
Company Name Value Holdings Change CHARTER COMMUNICATIONS INC CL $286,299,102 2,124,511 2,124,511 * HOME DEPOT INC COM $285,591,482 3,765,214 2,057,270 PRICELINE COM INC COM $279,756,150 276,726 (65,950) QUALCOMM INC COM $272,470,497 4,047,393 (531,859) LIBERTY GLOBAL PLC CL A $262,806,645 3,311,993 (55,500) EXPRESS SCRIPTS HOLDING CO CO $258,581,212 4,184,162 2,654,106 SOLARWINDS INC COM $250,123,019 7,134,142 2,911,971 TRANSDIGM GROUP INC COM $248,863,723 1,794,259 570,440 DOLLAR GENERAL CORP COM $248,573,845 4,402,654 (25,594) COMMUNITY HEALTH SYSTEMS INC $221,855,265 5,345,910 2,856,578 NVR INC COM $216,037,226 235,030 70,710 UNITED PARCEL SERVICE INC CL $202,695,665 2,218,405 (676,986) NETAPP INC COM $196,365,257 4,607,350 (1,028,228) FIDELITY NATIONAL INFO SERVICE $184,117,928 3,964,641 (23,428) CITRIX SYSTEMS INC COM $181,010,430 2,563,524 (1,505,558) CROWN CASTLE INTERNATIONAL COR $180,865,295 2,476,589 (890,763) APPLE INC COM $177,266,139 371,822 (412,590) CAMERON INTERNATIONAL CORP CO $174,101,425 2,982,721 1,181,415 FIDELITY NATIONAL FINANCIAL C $164,138,625 6,170,625 1,301,003 FORTINET INC COM $162,031,801 7,997,621 (3,928,349) HCA HOLDINGS INC COM $157,932,052 3,694,317 (2,051,197) QLIK TECHNOLOGIES INC COM $152,139,069 4,444,612 1,178,930 RALPH LAUREN CORP CL A $150,689,568 914,767 580,640 PALO ALTO NETWORKS INC COM $147,653,071 3,222,459 658,194 METLIFE INC COM $134,491,374 2,864,566 927,215 REALOGY HOLDINGS CORP COM $131,321,303 3,052,564 (885,959) CAPITAL ONE FINANCIAL CORP CO $114,561,809 1,666,596 (487,806) TEAM HEALTH HOLDINGS INC COM $106,518,485 2,807,551 422,066 FOMENTO ECON MEX (FEMSA) ADR $103,449,589 1,065,502 (204,870) AUTODESK INC COM $99,668,741 2,420,907 2,420,907 * TWENTY FIRST CENTURY FOX INC $99,651,267 2,973,777 1,483,105 ANHEUSER BUSCH INBEV SA ADR $99,310,013 1,001,109 67,145 AMBEV SA SPONSORED ADR $99,004,322 2,581,599 1,319,352 LOWES COS INC COM $96,611,974 2,029,237 (4,862,633) NATIONAL OILWELL VARCO INC CO $96,323,690 1,233,180 220,286 FACEBOOK INC CL A $94,214,251 1,875,657 1,875,657 * UNITEDHEALTH GROUP INC COM $91,611,676 1,279,314 (1,208,003) COLFAX CORP COM $87,090,068 1,541,690 (97,728) YANDEX NV CL A $86,982,177 2,388,308 2,388,308 * NIELSEN HOLDINGS NV ORD $72,033,401 1,976,225 137,358 MGIC INVESTMENT CORP (WI) COM $70,949,045 9,745,748 (5,039,252) NOVARTIS AG ADR $61,682,434 804,099 62,410 MANITOWOC CO INC COM $54,142,951 2,767,903 2,767,903 * CBS CORP CL B $50,775,221 920,508 920,508 * MONSANTO CO COM $50,567,265 484,500 484,500 * VIROPHARMA INC COM $49,081,871 1,250,175 1,250,175 * RADIAN GROUP INC COM $48,888,923 3,509,614 3,509,614 * D R HORTON INC COM $46,592,907 2,397,988 2,397,988 * GENESEE & WYOMING INC CL A $46,363,302 498,691 498,691 * CITIGROUP INC COM $45,599,400 940,000 940,000 * ADOBE SYSTEMS INC COM $39,122,662 753,228 753,228 * PACIFIC BIOSCIENCES OF CA INC $32,097,249 5,814,719 2,282,766 SEARS HOLDINGS CORP COM $30,814,273 517,974 517,974 * HEALTH MANAGEMENT ASSOCIATES $28,223,462 2,204,958 2,204,958 * RESTORATION HARDWARE HLDGS INC $19,005,000 300,000 300,000 * ZOETIS INC CL A $11,201,582 359,948 359,948 * ROYAL BANK OF SCOTLAND ADR PF $1,049,000 50,000 50,000 * ROYAL BK SCOTLAND GRP PFD 6.6 $1,026,090 47,881 47,881 * ROYAL BK SCOTLAND GRP PFD 6.7 $699,473 31,954 31,954 * ROYAL BANK OF SCOTLAND ADR PF $616,500 30,000 30,000 * ROYAL BANK OF SCOTLAND ADR PF $312,900 15,000 (55,895) ROYAL BANK OF SCOTLAND ADR PF $186,481 9,404 9,404 * SALESFORCE COM INC COM $0 0 (3,019,873) TIBCO SOFTWARE INC COM $0 0 (1,777,517) VMWARE INC CL A $0 0 (2,207,055) ASML HOLDING NV NY SH $0 0 (247,326) MACYS INC COM $0 0 (4,884,925) COGNIZANT TECHNOLOGY SOLUTIONS $0 0 (2,825,162) EMC CORP/MA COM $0 0 (2,521,892) F5 NETWORKS INC COM $0 0 (3,010,888) VERISIGN INC COM $0 0 (1,312,077) FAMILY DOLLAR STORES INC COM $0 0 (1,124,365) FLEETCOR TECHNOLOGIES INC COM $0 0 (254,530) MASTERCARD INC CL A $0 0 (262,431) VALEANT PHARMACEUTICALS INTL $0 0 (561,601) WHOLE FOODS MARKET INC COM $0 0 (1,730,042) DECKERS OUTDOOR CORP COM $0 0 (42,274) LAM RESEARCH CORP COM $0 0 (1,637,817)
* New holding 13F data provided by: FactSet Research Systems Inc.; Please send questions to lionsharesinfo@factset.com. Copyright, FactSet Research Systems, 2013. All Rights Reserved.
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