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
Get Alerts AKRX Hot Sheet
Trade AKRX Now!
Join SI Premium – FREE

Get inside Wall Street with StreetInsider Premium. Claim your 2-week free trial here.

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
SUMmedia.com, 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
Priceline.com 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
Netease.com (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
ABERCROMBIE & FITCH CO. (NYSE: ANF) liquidated
Allergan Inc (NYSE: AGN) liquidated
ARAMARK (NYSE: ARMK) liquidated
BANCO MACRO S.A. (NYSE: BMA) liquidated
CHINA LODGE SP ADR (NASDAQ: HTHT) liquidated
Colgate-Palmolive (NYSE: CL) liquidated
COMPANHIA DE SANEAMENTO B SICO DO ESTADO DE SAO PAULO-SABESP ADS'S (NYSE: SBS) 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
LIBERTY GLOBAL -C- (NASDAQ: LBTYK) liquidated
LIBERTY GLOBAL -A- (NASDAQ: LBTYA) liquidated
LIBERTY GLOBAL -A- (NASDAQ: LBTYA) liquidated
LIBERTY GLOBAL -C- (NASDAQ: LBTYK) liquidated
Medivation, Inc. (NASDAQ: MDVN) liquidated
MSC INDUSTRIAL DIRECT CO. (NYSE: MSM) liquidated
PBF ENERGY, Inc. (NYSE: PBF) liquidated
POSCO (NYSE: PKX) liquidated
QIHOO 360 TECHNOLOGY CO. LTD. (NYSE: QIHU) liquidated
Sanofi (: SNYNF) liquidated
AO. SMITH CORPORATION (NYSE: AOS) liquidated
SPIRIT AEROSYSTEMS HOLDINGS, Inc. (NYSE: SPR) liquidated
Sprouts Farmers Market (NASDAQ: SFM) liquidated
TAIWAN SEMICONDUCTOR MANUFACTURING (NYSE: TSM) 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



Serious News for Serious Traders! Try StreetInsider.com Premium Free!

You May Also Be Interested In






Related Categories

13Fs, Hedge Funds

Related Entities

Morgan Stanley, Maverick Capital, Standard & Poor's

Add Your Comment