Maverick Capital 13F Shows New Stakes in Blue Buffalo Pet (BUFF), Dollar General (DG), Increase in ABI (BUD), Philip Morris (PM), (More...)

November 14, 2016 4:56 PM EST
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Maverick Capital released its 13F for the quarter ended Sept. 2016. Below is a summary

New Stakes
Akorn, Inc. (NASDAQ: AKRX) new 116,040 share position
ALTISOURCE REG (NASDAQ: ASPS) new 35,340 share position
Analog Devices, Inc. (NASDAQ: ADI) new 50,120 share position
Applied Materials Inc (NASDAQ: AMAT) new 105,100 share position
Best Buy Co. Inc. (NYSE: BBY) new 81,490 share position
Blue Buffalo Pet Products (NASDAQ: BUFF) new 121,640 share position
Childrens Place (NASDAQ: PLCE) new 37,899 share position
Cirrus Logic, Inc. (NASDAQ: CRUS) new 59,780 share position
Dollar General (NYSE: DG) new 2,662,092 share position
Dollar Tree (NASDAQ: DLTR) new 37,920 share position
FAIR ISAAC COPORATION (NYSE: FIC) new 24,280 share position
INSYS THERAPEUT (NASDAQ: INSY) new 203,860 share position
Intuitive Surgical Inc. (NASDAQ: ISRG) new 1,750 share position
LENDINGTREE (NASDAQ: TREE) new 32,680 share position
lululemon athletica, Inc. (NASDAQ: LULU) new 40,990 share position
Molson Coors Brewing Company (NYSE: TAP) new 17,830 share position
Noble Corp (NYSE: NE) new 208,750 share position
QUALCOMM Inc. (NASDAQ: QCOM) new 49,720 share position
Quest Diagnostics (NYSE: DGX) new 37,510 share position
RETROPHIN (NASDAQ: RTRX) new 148,661 share position
S&P DEP RECEIPTS (NYSE: SPY) new 236,600 share position
SPECTRUM BRANDS HOLDINGS INC. NEW (NYSE: SPB) new 23,370 share position, Inc. (NYSE: SUM) new 488,123 share position
SWIFT TRANSPORTATION CO. (NYSE: SWFT) new 162,590 share position
T-MOBILE US, Inc. (NASDAQ: TMUS) new 953,100 share position
TJX Companies Inc. (NYSE: TJX) new 40,490 share position
VMWARE, Inc. (NYSE: VMW) new 42,760 share position
WABTEC, Inc. (NYSE: WAB) new 21,460 share position
WEIBO SP ADS-A (NASDAQ: WB) new 24,540 share position
WELLCARE HEALTH PLANS, Inc. (NYSE: WCG) new 27,820 share position
YANDEX (NASDAQ: YNDX) new 54,550 share position

Raised Stakes
ALPHABET (NASDAQ: GOOG) raised from 293,987 shares to 299,535 shares
ANHEUSER-BUSCH INBEV SA/NV (NYSE: BUD) raised from 630,713 shares to 1,652,876 shares
Anthem (NYSE: ANTM) raised from 9,300 shares to 9,480 shares
Apple Inc. (NASDAQ: AAPL) raised from 6,030 shares to 1,990,867 shares
CARTER'S, Inc. (NYSE: CRI) raised from 6,070 shares to 6,310 shares
CBS Corp. (NYSE: CBS) raised from 57,620 shares to 61,480 shares
Check Point Software Technolog (NASDAQ: CHKP) raised from 4,200 shares to 4,610 shares
CIGNA Corp. (NYSE: CI) raised from 9,710 shares to 456,283 shares
Cognizant Technology Solutions (NASDAQ: CTSH) raised from 52,830 shares to 53,060 shares
COMMSCOPE (NASDAQ: COMM) raised from 15,242,742 shares to 16,500,011 shares
Computer Sciences Corp. (NYSE: CSC) raised from 3,060,018 shares to 3,470,699 shares
Delta Air Lines (NYSE: DAL) raised from 14,070 shares to 16,810 shares
Ericsson Telephone Company (NASDAQ: ERIC) raised from 6,795,608 shares to 8,082,068 shares
EXPRESS, Inc. (NYSE: EXPR) raised from 85,600 shares to 101,640 shares
Gilead Sciences (NASDAQ: GILD) raised from 7,020 shares to 7,880 shares
JAZZ PHARMACEUTICAL (NASDAQ: JAZZ) raised from 8,210 shares to 9,710 shares
KATE SPADE & COMPANY (NYSE: KATE) raised from 145,530 shares to 168,060 shares
LEIDOS HOLDINGS, Inc. (NYSE: LDOS) raised from 63,980 shares to 76,270 shares
LEVEL 3 COMMUNICATIONS, Inc. (NYSE: LVLT) raised from 937,290 shares to 5,590,526 shares
Lowe's Cos. (NYSE: LOW) raised from 7,630 shares to 7,900 shares
MANPOWERGROUP (NYSE: MAN) raised from 15,440 shares to 16,540 shares
MicroStrategy, Inc. (NASDAQ: MSTR) raised from 13,910 shares to 15,290 shares
Myriad Genetics, Inc. (NASDAQ: MYGN) raised from 93,870 shares to 152,050 shares
Newell Rubbermaid Co. (NYSE: NWL) raised from 1,440,115 shares to 1,873,805 shares
O'Reilly Automotive (NASDAQ: ORLY) raised from 12,180 shares to 977,219 shares
PACIFIC BIO CA (NASDAQ: PACB) raised from 7,820,808 shares to 9,095,663 shares
Pfizer Inc. (NYSE: PFE) raised from 18,426,824 shares to 21,380,155 shares
Philip Morris International, Inc. (NYSE: PM) raised from 5,851,537 shares to 7,226,591 shares Inc (NASDAQ: PCLN) raised from 376,419 shares to 408,702 shares
SABRE (NASDAQ: SABR) raised from 19,820,738 shares to 21,368,618 shares
Shire plc (: SHPGF) raised from 1,920 shares to 570,907 shares
Sonic Corp (NASDAQ: SONC) raised from 87,810 shares to 88,470 shares
Southwest Airlines (NYSE: LUV) raised from 14,390 shares to 16,750 shares
UNIVERSAL HEALTH SERVICES, INC. CLASS B (NYSE: UHS) raised from 2,768,938 shares to 4,584,358 shares
Vulcan Materials (NYSE: VMC) raised from 192,948 shares to 338,844 shares
WASTE CONNECTIONS, Inc. (NYSE: WCN) raised from 5,551,069 shares to 5,888,842 shares
WebMD Health Corp. (NASDAQ: WBMD) raised from 48,370 shares to 60,810 shares

Lowered Stakes
AbbVie (NYSE: ABBV) lowered from 50,540 shares to 49,600 shares
Adobe Systems Inc (NASDAQ: ADBE) lowered from 2,572,317 shares to 1,095,491 shares
AMERICAN AIRLINES (NASDAQ: AAL) lowered from 19,150 shares to 17,010 shares
American Express Co (NYSE: AXP) lowered from 4,646,790 shares to 3,558,379 shares
Amgen Inc (NASDAQ: AMGN) lowered from 3,940 shares to 3,630 shares
Baxter International Inc. (NYSE: BAX) lowered from 73,700 shares to 67,360 shares
BIOGEN IDEC Inc. (NASDAQ: BIIB) lowered from 11,010 shares to 10,380 shares
Cadence Design Systems (NASDAQ: CDNS) lowered from 50,350 shares to 47,710 shares
Cisco Systems (NASDAQ: CSCO) lowered from 21,350 shares to 19,650 shares
Citrix Systems (NASDAQ: CTXS) lowered from 14,660 shares to 13,900 shares
Comcast Class A (NASDAQ: CMCSA) lowered from 3,359,258 shares to 2,786,567 shares
eBay Inc. (NASDAQ: EBAY) lowered from 107,500 shares to 79,340 shares
Edwards Lifesciences (NYSE: EW) lowered from 32,300 shares to 26,900 shares
Expeditors Int'l (NASDAQ: EXPD) lowered from 53,630 shares to 50,540 shares
Facebook (NASDAQ: FB) lowered from 2,780,705 shares to 1,716,210 shares
FMC Corporation (NYSE: FMC) lowered from 116,820 shares to 114,290 shares
Grupo Financiero Galicia SA (NASDAQ: GGAL) lowered from 42,920 shares to 40,706 shares
HERBALIFE LTD. (NYSE: HLF) lowered from 6,170 shares to 5,830 shares
Intel (NASDAQ: INTC) lowered from 82,840 shares to 71,090 shares
Johnson & Johnson (NYSE: JNJ) lowered from 28,230 shares to 26,320 shares
Kansas City Southern (NYSE: KSU) lowered from 525,113 shares to 519,573 shares
KLA-Tencor Corp. (NASDAQ: KLAC) lowered from 45,240 shares to 44,950 shares
L Brands (NYSE: LTD) lowered from 8,910 shares to 8,110 shares
Lam Research (NASDAQ: LRCX) lowered from 5,465,549 shares to 4,545,258 shares
LEAR CORPORATION (NYSE: LEA) lowered from 27,600 shares to 27,150 shares
Linear Technology Corp. (NASDAQ: LLTC) lowered from 67,220 shares to 53,850 shares
McDonald's Corp. (NYSE: MCD) lowered from 26,330 shares to 26,270 shares
Michael Kors (NYSE: KORS) lowered from 29,130 shares to 24,560 shares
Moody's Corp (NYSE: MCO) lowered from 6,290 shares to 5,680 shares
Mylan Inc. (NASDAQ: MYL) lowered from 2,294,698 shares to 1,336,436 shares
NAVIENT (NASDAQ: NAVI) lowered from 232,030 shares to 218,290 shares (NASDAQ: NTES) lowered from 6,990 shares to 5,190 shares
Nexstar Broadcasting Group, Inc.Class A (NASDAQ: NXST) lowered from 59,770 shares to 58,960 shares
Northrop Grumman Corp. (NYSE: NOC) lowered from 1,166,696 shares to 1,106,456 shares
Nvidia Corporation (NASDAQ: NVDA) lowered from 69,420 shares to 50,440 shares
PPG Industries (NYSE: PPG) lowered from 29,540 shares to 29,310 shares
RADIAN GROUP, Inc. (NYSE: RDN) lowered from 13,941,442 shares to 9,298,595 shares
Ross Stores (NASDAQ: ROST) lowered from 60,440 shares to 50,380 shares
Sealed Air Corp.(New) (NYSE: SEE) lowered from 69,910 shares to 68,540 shares
Starbucks Corp. (NASDAQ: SBUX) lowered from 47,320 shares to 45,530 shares
STARZ-A (NASDAQ: STRZA) lowered from 94,370 shares to 81,810 shares
TAL EDUCATION GROUP (NYSE: XRS) lowered from 23,290 shares to 18,430 shares
Tesoro Petroleum Co. (NYSE: TSO) lowered from 41,800 shares to 40,860 shares
TRANSDIGM GROUP INCORPORATED (NYSE: TDG) lowered from 800,192 shares to 721,037 shares
Ulta Salon, Cosmetics & Fragrance, Inc. (NASDAQ: ULTA) lowered from 13,660 shares to 12,700 shares
UNITED CONTINENTAL HOLDINGS, Inc. (NYSE: UAL) lowered from 58,500 shares to 50,610 shares
United Therapeutics Corp (NASDAQ: UTHR) lowered from 26,710 shares to 25,910 shares
U.S. Bancorp (NYSE: USB) lowered from 3,615,569 shares to 2,713,933 shares
Valero Energy (NYSE: VLO) lowered from 59,730 shares to 56,670 shares
Virgin America (NASDAQ: VA) lowered from 56,820 shares to 56,010 shares
Xilinx Inc (NASDAQ: XLNX) lowered from 68,200 shares to 57,840 shares

Liquidated Stakes
Allergan Inc (NYSE: AGN) liquidated
ARAMARK (NYSE: ARMK) liquidated
BANCO MACRO S.A. (NYSE: BMA) liquidated
Colgate-Palmolive (NYSE: CL) liquidated
Cooper-standard Holdings (NYSE: CPS) liquidated
Discover Financial Services (NYSE: DFS) liquidated
Goodyear Tire & Rubber (NASDAQ: GT) liquidated
Illinois Tool Works (NYSE: ITW) liquidated
InterContinental Hotels Group (NYSE: IHG) liquidated
Interpublic Group (NYSE: IPG) liquidated
Jack in the Box, Inc. (NYSE: JBX) liquidated
Kraft Heinz (NASDAQ: KHC) liquidated
Medivation, Inc. (NASDAQ: MDVN) liquidated
PBF ENERGY, Inc. (NYSE: PBF) liquidated
POSCO (NYSE: PKX) liquidated
Sanofi (: SNYNF) liquidated
Sprouts Farmers Market (NASDAQ: SFM) liquidated
Texas Instruments (NASDAQ: TXN) liquidated
Tyson Foods (NYSE: TSN) liquidated
United Health Group Inc. (NYSE: UNH) liquidated
WILLIAMS-SONOMA, Inc. (NYSE: WSM) liquidated
YELP, Inc. (NYSE: YELP) liquidated
YY SP ADR-A (NASDAQ: YY) liquidated

Maintained Stakes
Aetna Inc (NYSE: AET) maintained 5,330 share stake
ALASKA AIR GROUP, Inc. (NYSE: ALK) maintained 9,200 share stake
ALLEGHANY CORPORATION (NYSE: Y) maintained 6,070 share stake
Allstate Corp (NYSE: ALL) maintained 9,030 share stake
Ameriprise Financial (NYSE: AMP) maintained 6,010 share stake
CASTLIGHT HEALTH, Inc. (NYSE: CSLT) maintained 1,188,074 share stake
Home Depot (NYSE: HD) maintained 4,640 share stake
Mastercard Inc. (NYSE: MA) maintained 6,390 share stake
Transocean (NYSE: RIG) maintained 36,470 share stake

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