Maverick Capital's 13F Shows New Stakes in Computer Sciences (CSC), Level 3 (LVLT), Philip Morris (PM), Increase in Comcast (CMCSA), Gilead (GILD) (More...)

August 15, 2016 3:32 PM EDT

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Maverick Capital released its 13F for the quarter ending June 30 2016. Below is a summary.

New Stakes
ABERCROMBIE & FITCH CO. (NYSE: ANF) new 159,930 share position
BANCO MACRO S.A. (NYSE: BMA) new 18,560 share position
Baxter International Inc. (NYSE: BAX) new 73,700 share position
CBS Corp. (NYSE: CBS) new 57,620 share position
CHINA LODGE SP ADR (NASDAQ: HTHT) new 36,480 share position
Colgate-Palmolive (NYSE: CL) new 45,170 share position
Computer Sciences Corp. (NYSE: CSC) new 3,060,018 share position
Cooper-standard Holdings (NYSE: CPS) new 36,829 share position
Delta Air Lines (NYSE: DAL) new 14,070 share position
Edwards Lifesciences (NYSE: EW) new 32,300 share position
FMC Corporation (NYSE: FMC) new 116,820 share position
Grupo Financiero Galicia SA (NASDAQ: GGAL) new 42,920 share position
InterContinental Hotels Group (NYSE: IHG) new 31,973 share position
Jack in the Box, Inc. (NYSE: JBX) new 666,861 share position
Johnson & Johnson (NYSE: JNJ) new 28,230 share position
KATE SPADE & COMPANY (NYSE: KATE) new 145,530 share position
Leidos (NYSE: LDOS) new 63,980 share position
LEVEL 3 COMMUNICATIONS, Inc. (NYSE: LVLT) new 937,290 share position
Linear Technology Corp. (NASDAQ: LLTC) new 67,220 share position
Medivation, Inc. (NASDAQ: MDVN) new 52,620 share position
MSC INDUSTRIAL DIRECT CO. (NYSE: MSM) new 42,170 share position
Mylan Inc. (NASDAQ: MYL) new 2,294,698 share position
Myriad Genetics, Inc. (NASDAQ: MYGN) new 93,870 share position
Philip Morris International, Inc. (NYSE: PM) new 5,851,537 share position
POSCO (NYSE: PKX) new 28,350 share position
PPG Industries (NYSE: PPG) new 29,540 share position
Sanofi (NYSE:: SNY) new 42,790 share position
Sprouts Farmers Market (NASDAQ: SFM) new 126,660 share position
TAL EDUCATION GROUP (NYSE: XRS) new 23,290 share position
Tyson Foods (NYSE: TSN) new 49,870 share position

Raised Stakes
AbbVie (NYSE: ABBV) raised from 43,170 shares to 50,540 shares
Aetna Inc (NYSE: AET) raised from 4,520 shares to 5,330 shares
ALASKA AIR GROUP, Inc. (NYSE: ALK) raised from 6,730 shares to 9,200 shares
ALLEGHANY CORPORATION (NYSE: Y) raised from 4,970 shares to 6,070 shares
Allstate Corp (NYSE: ALL) raised from 7,740 shares to 9,030 shares
AMERICAN AIRLINES (NASDAQ: AAL) raised from 11,980 shares to 19,150 shares
American Express Co (NYSE: AXP) raised from 8,840 shares to 4,646,790 shares
Ameriprise Financial (NYSE: AMP) raised from 5,840 shares to 6,010 shares
Amgen Inc (NASDAQ: AMGN) raised from 3,460 shares to 3,940 shares
Anthem (NYSE: ANTM) raised from 8,430 shares to 9,300 shares
Apple Inc. (NASDAQ: AAPL) raised from 5,070 shares to 6,030 shares
BIOGEN IDEC Inc. (NASDAQ: BIIB) raised from 9,370 shares to 11,010 shares
CARTER'S, Inc. (NYSE: CRI) raised from 4,830 shares to 6,070 shares
CASTLIGHT HEALTH, Inc. (NYSE: CSLT) raised from 1,144,324 shares to 1,188,074 shares
Check Point Software Technolog (NASDAQ: CHKP) raised from 3,050 shares to 4,200 shares
CIGNA Corp. (NYSE: CI) raised from 7,700 shares to 9,710 shares
Cisco Systems (NASDAQ: CSCO) raised from 18,750 shares to 21,350 shares
Cognizant Technology Solutions (NASDAQ: CTSH) raised from 40,250 shares to 52,830 shares
Comcast Class A (NASDAQ: CMCSA) raised from 1,729,998 shares to 3,359,258 shares
COMMSCOPE (NASDAQ: COMM) raised from 13,478,428 shares to 15,242,742 shares
Discover Financial Services (NYSE: DFS) raised from 36,250 shares to 46,360 shares
eBay Inc. (NASDAQ: EBAY) raised from 74,100 shares to 107,500 shares
Expeditors Int'l (NASDAQ: EXPD) raised from 36,940 shares to 53,630 shares
EXPRESS, Inc. (NYSE: EXPR) raised from 64,010 shares to 85,600 shares
Facebook (NASDAQ: FB) raised from 1,596,378 shares to 2,780,705 shares
Gilead Sciences (NASDAQ: GILD) raised from 5,630 shares to 7,020 shares
Goodyear Tire & Rubber (NASDAQ: GT) raised from 55,870 shares to 91,100 shares
HERBALIFE LTD. (NYSE: HLF) raised from 4,630 shares to 6,170 shares
Home Depot (NYSE: HD) raised from 3,980 shares to 4,640 shares
Illinois Tool Works (NYSE: ITW) raised from 5,200 shares to 5,880 shares
Intel (NASDAQ: INTC) raised from 56,870 shares to 82,840 shares
Interpublic Group (NYSE: IPG) raised from 110,210 shares to 133,570 shares
KLA-Tencor Corp. (NASDAQ: KLAC) raised from 33,870 shares to 45,240 shares
L Brands (NYSE: LTD) raised from 5,720 shares to 8,910 shares
Lam Research (NASDAQ: LRCX) raised from 2,976,002 shares to 5,465,549 shares
LEAR CORPORATION (NYSE: LEA) raised from 22,640 shares to 27,600 shares
Lowe's Cos. (NYSE: LOW) raised from 7,160 shares to 7,630 shares
MANPOWERGROUP (NYSE: MAN) raised from 14,240 shares to 15,440 shares
Mastercard Inc. (NYSE: MA) raised from 5,590 shares to 6,390 shares
McDonald's Corp. (NYSE: MCD) raised from 19,580 shares to 26,330 shares
Michael Kors (NYSE: KORS) raised from 19,470 shares to 29,130 shares
MicroStrategy, Inc. (NASDAQ: MSTR) raised from 10,490 shares to 13,910 shares
Moody's Corp (NYSE: MCO) raised from 5,530 shares to 6,290 shares
NAVIENT (NASDAQ: NAVI) raised from 213,730 shares to 232,030 shares
Nexstar Broadcasting Group, Inc.Class A (NASDAQ: NXST) raised from 54,210 shares to 59,770 shares
Northrop Grumman Corp. (NYSE: NOC) raised from 658,618 shares to 1,166,696 shares
O'Reilly Automotive (NASDAQ: ORLY) raised from 8,820 shares to 12,180 shares
PACIFIC BIO CA (NASDAQ: PACB) raised from 7,561,268 shares to 7,820,808 shares
PBF ENERGY, Inc. (NYSE: PBF) raised from 75,970 shares to 122,690 shares
Pfizer Inc. (NYSE: PFE) raised from 8,232,303 shares to 18,426,824 shares Inc (NASDAQ: PCLN) raised from 262,612 shares to 376,419 shares
QIHOO 360 TECHNOLOGY CO. LTD. (NYSE: QIHU) raised from 15,340 shares to 16,620 shares
Ross Stores (NASDAQ: ROST) raised from 41,740 shares to 60,440 shares
SABRE (NASDAQ: SABR) raised from 15,110,216 shares to 19,820,738 shares
Sealed Air Corp.(New) (NYSE: SEE) raised from 50,570 shares to 69,910 shares
Shire plc (: SHPGF) raised from 1,630 shares to 1,920 shares
Sonic Corp (NASDAQ: SONC) raised from 57,300 shares to 87,810 shares
Southwest Airlines (NYSE: LUV) raised from 11,730 shares to 14,390 shares
SPIRIT AEROSYSTEMS HOLDINGS, Inc. (NYSE: SPR) raised from 38,300 shares to 55,370 shares
Starbucks Corp. (NASDAQ: SBUX) raised from 30,480 shares to 47,320 shares
STARZ-A (NASDAQ: STRZA) raised from 68,510 shares to 94,370 shares
TAIWAN SEMICONDUCTOR MANUFACTURING (NYSE: TSM) raised from 46,820 shares to 50,500 shares
Tesoro Petroleum Co. (NYSE: TSO) raised from 28,440 shares to 41,800 shares
Texas Instruments (NASDAQ: TXN) raised from 31,750 shares to 43,000 shares
Transocean (NYSE: RIG) raised from 29,330 shares to 36,470 shares
UNITED CONTINENTAL HOLDINGS, Inc. (NYSE: UAL) raised from 30,840 shares to 58,500 shares
United Therapeutics Corp (NASDAQ: UTHR) raised from 20,930 shares to 26,710 shares
UNIVERSAL HEALTH SERVICES, INC. CLASS B (NYSE: UHS) raised from 966,544 shares to 2,768,938 shares
U.S. Bancorp (NYSE: USB) raised from 990,111 shares to 3,615,569 shares
Valero Energy (NYSE: VLO) raised from 38,190 shares to 59,730 shares
WASTE CONNECTIONS, Inc. (NYSE: WCN) raised from 855,796 shares to 5,551,069 shares
WebMD Health Corp. (NASDAQ: WBMD) raised from 40,960 shares to 48,370 shares
WILLIAMS-SONOMA, Inc. (NYSE: WSM) raised from 44,030 shares to 59,770 shares
Xilinx Inc (NASDAQ: XLNX) raised from 50,990 shares to 68,200 shares
YY SP ADR-A (NASDAQ: YY) raised from 21,190 shares to 28,650 shares

Lowered Stakes
Adobe Systems Inc (NASDAQ: ADBE) lowered from 4,410,613 shares to 2,572,317 shares
Allergan Inc (NYSE: AGN) lowered from 1,410,362 shares to 878,319 shares
ALPHABET (NASDAQ: GOOG) lowered from 320,498 shares to 293,987 shares
ANHEUSER-BUSCH INBEV SA/NV (NYSE: BUD) lowered from 1,238,563 shares to 630,713 shares
ARAMARK (NYSE: ARMK) lowered from 10,884,687 shares to 6,782,175 shares
Cadence Design Systems (NASDAQ: CDNS) lowered from 51,300 shares to 50,350 shares
Citrix Systems (NASDAQ: CTXS) lowered from 15,650 shares to 14,660 shares
Ericsson Telephone Company (NASDAQ: ERIC) lowered from 7,387,254 shares to 6,795,608 shares
JAZZ PHARMACEUTICAL (NASDAQ: JAZZ) lowered from 9,070 shares to 8,210 shares
Kansas City Southern (NYSE: KSU) lowered from 2,297,178 shares to 525,113 shares
Kraft Heinz (NASDAQ: KHC) lowered from 1,648,946 shares to 22,740 shares
LIBERTY GLOBAL -C- (NASDAQ: LBTYK) lowered from 7,169,918 shares to 683,149 shares
LIBERTY GLOBAL -A- (NASDAQ: LBTYA) lowered from 990,464 shares to 68,462 shares
LIBERTY GLOBAL -A- (NASDAQ: LBTYA) lowered from 990,464 shares to 21,000 shares
LIBERTY GLOBAL -C- (NASDAQ: LBTYK) lowered from 7,169,918 shares to 1,518,458 shares (NASDAQ: NTES) lowered from 8,190 shares to 6,990 shares
Newell Rubbermaid Co. (NYSE: NWL) lowered from 5,399,103 shares to 1,440,115 shares
Nvidia Corporation (NASDAQ: NVDA) lowered from 73,160 shares to 69,420 shares
RADIAN GROUP, Inc. (NYSE: RDN) lowered from 16,680,341 shares to 13,941,442 shares
AO. SMITH CORPORATION (NYSE: AOS) lowered from 15,570 shares to 15,120 shares
TRANSDIGM GROUP INCORPORATED (NYSE: TDG) lowered from 992,599 shares to 800,192 shares
Ulta Salon, Cosmetics & Fragrance, Inc. (NASDAQ: ULTA) lowered from 13,880 shares to 13,660 shares
United Health Group Inc. (NYSE: UNH) lowered from 1,115,279 shares to 13,010 shares
Virgin America (NASDAQ: VA) lowered from 73,570 shares to 56,820 shares
Vulcan Materials (NYSE: VMC) lowered from 1,229,659 shares to 192,948 shares
YELP, Inc. (NYSE: YELP) lowered from 5,427,915 shares to 66,760 shares

Liquidated Stakes
Accenture plc (NYSE: ACN) liquidated
AmTrust Financial Services, Inc. (NASDAQ: AFSI) liquidated
AUTOHOME, Inc. (NYSE: ATHM) liquidated
Avago Tech (NASDAQ: AVGO) liquidated
BT GROUP PLC (NYSE: BT) liquidated
Cameron International Corp. (NYSE: CAM) liquidated
Celgene Corp. (NASDAQ: CELG) liquidated
Hartford Financial Svc.Gp. (NYSE: HIG) liquidated
Euronav Nv Antwerpen (: EONVF) liquidated
General Dynamics (NYSE: GD) liquidated
Hawaiian Holdings, Inc. (NASDAQ: HA) liquidated
HCA HOLDINGS, Inc. (NYSE: HCA) liquidated
JetBlue Airways Corp (NASDAQ: JBLU) liquidated
Juniper Networks (NYSE: JNPR) liquidated
Marathon Petroleum (NYSE: MPC) liquidated
Mellanox Technologies, Ltd. (NASDAQ: MLNX) liquidated
Microsoft Corp. (NASDAQ: MSFT) liquidated
NVR, Inc. (NYSE: NVR) liquidated
PACIRA (NASDAQ: PCRX) liquidated
PINNACLE FOODS, Inc. (NYSE: PF) liquidated
Polycom, Inc. (NASDAQ: PLCM) liquidated
Ryanair Holdings plc (NASDAQ: RYAAY) liquidated
Viacom (NYSE: VIA-B) liquidated

Maintained Stakes

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