Maverick Capital's 13F Shows New Stakes in Dow (DOW), MGM (MGM), Molson (TAP) (more...)

August 14, 2017 5:43 PM EDT

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Maverick Capital released its 13F for the quarter ended June, 2017. Below is a summary:

New Stakes
ADVANCE AUTO PARTS, Inc. (NYSE: AAP) new 18,870 share position
Align Technology, Inc. (NASDAQ: ALGN) new 16,140 share position
Amazon.com Inc (NASDAQ: AMZN) new 4,150 share position
AMERICAN EAGLE OUTFITTERS (NYSE: AEO) new 272,722 share position
Authorize.Net Holdings (NYSE: ANET) new 15,960 share position
Bard (C.R.) Inc. (NYSE: BCR) new 7,620 share position
BARNES & NOBLE, Inc. (NYSE: BKS) new 92,255 share position
Best Buy Co. Inc. (NYSE: BBY) new 54,490 share position
BLOOMIN BRANDS (NASDAQ: BLMN) new 143,410 share position
BRINKER INTERNATIONAL (NYSE: EAT) new 80,420 share position
BURLINGTON STORES, Inc. (NYSE: BURL) new 28,700 share position
Celgene Corp. (NASDAQ: CELG) new 19,150 share position
CEMEX S.A.B. DE C.V. (NYSE: CX) new 88,620 share position
CHARTER COMM-A (NASDAQ: CHTR) new 327,221 share position
CITIZENS FINL (NYSE: CFG) new 67,900 share position
Columbia Sportswear Co (NASDAQ: COLM) new 1,584 share position
Comerica Inc. (NYSE: CMA) new 55,690 share position
Crocs, Inc. (NASDAQ: CROX) new 156,761 share position
Darden Restaurants (NYSE: DRI) new 16,260 share position
DILLARDS, Inc. (NYSE: DDS) new 63,653 share position
Dow Chemical (NYSE: DOW) new 4,354,960 share position
DXC TECHNOLOGY (NYSE: DXC) new 2,953,801 share position
DYCOM INDUSTRIES, Inc. (NYSE: DY) new 27,380 share position
Entegris, Inc. (NASDAQ: ENTG) new 171,310 share position
Etsy (NASDAQ: ETSY) new 32,804 share position
Exelixis, Inc. (NASDAQ: EXEL) new 188,010 share position
EXPRESS, Inc. (NYSE: EXPR) new 291,737 share position
Fidelity National Information Services (NYSE: FIS) new 2,063,463 share position
FIVE BELOW (NASDAQ: FIVE) new 36,390 share position
GNC HOLDINGS, Inc. (NYSE: GNC) new 331,740 share position
GOPRO (NASDAQ: GPRO) new 72,481 share position
Grand Canyon Education, Inc. (NASDAQ: LOPE) new 48,389 share position
GRUBHUB, Inc. (NYSE: GRUB) new 30,170 share position
HDFC BANK LIMITED (NYSE: HDB) new 27,420 share position
Hologic, Inc. (NASDAQ: HOLX) new 88,510 share position
Humana Inc. (NYSE: HUM) new 16,610 share position
HUNTSMAN CORPORATION (NYSE: HUN) new 159,520 share position
Idexx Laboratories, Inc. (NASDAQ: IDXX) new 23,580 share position
Intuitive Surgical Inc. (NASDAQ: ISRG) new 4,240 share position
Juniper Networks (NYSE: JNPR) new 139,020 share position
LOUISIANA-PACIFIC CORP. (NYSE: LPX) new 101,050 share position
Lowe's Cos. (NYSE: LOW) new 26,290 share position
THE MSG-A (NYSE: MSG) new 896 share position
MGM RESORTS INTERNATIONAL (NYSE: MGM) new 6,883,370 share position
Michael Kors (NYSE: KORS) new 30,650 share position
Michaels Cos. (NASDAQ: MIK) new 292,570 share position
Molson Coors Brewing Company (NYSE: TAP) new 5,081,514 share position
Motorola Solutions Inc. (NYSE: MSI) new 46,050 share position
NEUSTAR, INC. CLASS A (NYSE: NSR) new 97,990 share position
NEW ORIENTAL EDUCATION AND TECHNOLOGY GROUP, Inc. (NYSE: EDU) new 33,510 share position
NIKE Inc. (NYSE: NKE) new 57,140 share position
PayPal (NASDAQ: PYPL) new 58,550 share position
PENNEY COMPANY, Inc. (NYSE: JCP) new 883,090 share position
PetMed Express, Inc. (NASDAQ: PETS) new 11,598 share position
PIER 1 IMPORTS, Inc. (NYSE: PIR) new 481,370 share position
PRIMERICA, Inc. (NYSE: PRI) new 47,922 share position
QUALCOMM Inc. (NASDAQ: QCOM) new 3,812,886 share position
Red Robin Gourmet Burgers, Inc. (NASDAQ: RRGB) new 29,476 share position
Ruth's Hospitality Group, Inc. (NASDAQ: RUTH) new 14,986 share position
SALLY BEAUTY HOLDINGS, Inc. (NYSE: SBH) new 93,620 share position
SKECHERS U.S.A., Inc. (NYSE: SKX) new 160,590 share position
Smart & Final Stores (NYSE: SFS) new 27,500 share position
Sonic Corp (NASDAQ: SONC) new 48,570 share position
SPIRIT AIRLINES (NASDAQ: SAVE) new 72,940 share position
SPORTMANS WRHS HLDG (NASDAQ: SPWH) new 82,775 share position
SPROUTS FARMERS MKT (NASDAQ: SFM) new 188,210 share position
Steel Dynamics, Inc. (NASDAQ: STLD) new 68,310 share position
Tailored Brands (NYSE: TLRD) new 128,022 share position
Target Corp. (NYSE: TGT) new 38,980 share position
Texas Roadhouse, Inc. (NASDAQ: TXRH) new 65,019 share position
Tiffany & Co. (NYSE: TIF) new 43,770 share position
United Health Group Inc. (NYSE: UNH) new 21,830 share position
Visa Inc. (NYSE: V) new 1,090,239 share position
Waters Corporation (NYSE: WAT) new 21,580 share position
Brush Engineered Material (NYSE: W) new 52,220 share position
WILLIAMS-SONOMA, Inc. (NYSE: WSM) new 100,320 share position
Wingstop (NASDAQ: WING) new 75,983 share position
Yum! Brands Inc (NYSE: YUM) new 35,870 share position

Raised Stakes
AbbVie (NYSE: ABBV) raised from 44,400 shares to 57,400 shares
ALASKA AIR GROUP, Inc. (NYSE: ALK) raised from 6,820 shares to 19,460 shares
Allstate Corp (NYSE: ALL) raised from 8,200 shares to 19,790 shares
AMERICAN AIRLINES (NASDAQ: AAL) raised from 14,720 shares to 34,990 shares
AMERICAN AXLE & MANUFACTURING HOLDINGS, Inc. (NYSE: AXL) raised from 142,550 shares to 257,980 shares
American Express Co (NYSE: AXP) raised from 8,440 shares to 20,770 shares
Amgen Inc (NASDAQ: AMGN) raised from 3,780 shares to 10,200 shares
Anthem (NYSE: ANTM) raised from 8,290 shares to 12,830 shares
Apple Inc. (NASDAQ: AAPL) raised from 4,870 shares to 11,890 shares
Applied Materials Inc (NASDAQ: AMAT) raised from 77,950 shares to 92,030 shares
BIOGEN IDEC Inc. (NASDAQ: BIIB) raised from 9,610 shares to 15,230 shares
Cadence Design Systems (NASDAQ: CDNS) raised from 43,730 shares to 69,680 shares
CASTLIGHT HEALTH, Inc. (NYSE: CSLT) raised from 1,188,074 shares to 1,221,809 shares
CBS Corp. (NYSE: CBS) raised from 41,710 shares to 62,940 shares
Centerstate Banks, Inc. (NASDAQ: CSFL) raised from 111,250 shares to 131,679 shares
Cisco Systems (NASDAQ: CSCO) raised from 19,940 shares to 54,910 shares
Citrix Systems (NASDAQ: CTXS) raised from 17,110 shares to 29,480 shares
Delta Air Lines (NYSE: DAL) raised from 13,550 shares to 32,600 shares
Dollar Tree (NASDAQ: DLTR) raised from 4,358,026 shares to 8,135,605 shares
DOMINO'S PIZZA, Inc. (NYSE: DPZ) raised from 15,040 shares to 18,450 shares
E-Trade (NASDAQ: ETFC) raised from 80,980 shares to 109,080 shares
eBay Inc. (NASDAQ: EBAY) raised from 63,440 shares to 93,620 shares
Edwards Lifesciences (NYSE: EW) raised from 30,890 shares to 33,680 shares
Electronic Arts (NASDAQ: EA) raised from 32,420 shares to 36,020 shares
ENVISION HEALTHCARE HOLDINGS, Inc. (NYSE: EVHC) raised from 3,065,266 shares to 5,093,292 shares
Facebook (NASDAQ: FB) raised from 3,470,922 shares to 3,527,877 shares
Fiat Chrysler Automobiles (NYSE: FCAU) raised from 123,190 shares to 224,440 shares
Gilead Sciences (NASDAQ: GILD) raised from 9,460 shares to 24,760 shares
Goldman Sachs Group (NYSE: GS) raised from 11,290 shares to 18,060 shares
HCA HOLDINGS, Inc. (NYSE: HCA) raised from 32,270 shares to 46,550 shares
HERBALIFE LTD. (NYSE: HLF) raised from 6,490 shares to 20,080 shares
Home Depot (NYSE: HD) raised from 4,650 shares to 11,420 shares
IMPAX LABORATORIES, Inc. (NASDAQ: IPXL) raised from 105,200 shares to 7,159,336 shares
JAZZ PHARMACEUTICAL (NASDAQ: JAZZ) raised from 10,180 shares to 15,690 shares
Johnson & Johnson (NYSE: JNJ) raised from 23,120 shares to 30,100 shares
LAS VEGAS SANDS CORP. (NYSE: LVS) raised from 508,733 shares to 1,369,589 shares
LEAR CORPORATION (NYSE: LEA) raised from 19,820 shares to 27,830 shares
Mastercard Inc. (NYSE: MA) raised from 5,990 shares to 14,170 shares
McDonald's Corp. (NYSE: MCD) raised from 22,050 shares to 43,230 shares
MicroStrategy, Inc. (NASDAQ: MSTR) raised from 11,370 shares to 17,540 shares
Mopals.com, Inc. (NASDAQ: MOMO) raised from 50,730 shares to 63,460 shares
Netease.com (NASDAQ: NTES) raised from 4,420 shares to 8,010 shares
PACIFIC BIO CA (NASDAQ: PACB) raised from 9,073,874 shares to 10,603,944 shares
Parker-Hannifin (NYSE: PH) raised from 18,050 shares to 24,980 shares
Philip Morris International, Inc. (NYSE: PM) raised from 25,770 shares to 32,830 shares
Priceline.com Inc (NASDAQ: PCLN) raised from 1,664 shares to 2,217 shares
Rowan Cos. (NYSE: RDC) raised from 74,570 shares to 213,380 shares
S&P Global (NYSE: SPGI) raised from 21,880 shares to 27,100 shares
Shire plc (: SHPGF) raised from 1,619,477 shares to 1,942,087 shares
Skyworks Solutions, Inc. (NASDAQ: SWKS) raised from 29,680 shares to 39,570 shares
Southwest Airlines (NYSE: LUV) raised from 11,530 shares to 28,080 shares
SPIRIT AEROSYSTEMS HOLDINGS, Inc. (NYSE: SPR) raised from 45,900 shares to 70,320 shares
SWIFT TRANSPORTATION CO. (NYSE: SWFT) raised from 129,940 shares to 156,780 shares
TAIWAN SEMICONDUCTOR MANUFACTURING (NYSE: TSM) raised from 42,660 shares to 67,860 shares
Take-Two Interactive Softwar (NASDAQ: TTWO) raised from 48,780 shares to 53,780 shares
TAL EDUCATION GROUP (NYSE: XRS) raised from 16,000 shares to 19,940 shares
Texas Instruments (NASDAQ: TXN) raised from 36,160 shares to 50,300 shares
TJX Companies Inc. (NYSE: TJX) raised from 35,870 shares to 54,890 shares
TORO COMPANY (NYSE: TTC) raised from 46,870 shares to 56,790 shares
Ulta Salon, Cosmetics & Fragrance, Inc. (NASDAQ: ULTA) raised from 10,360 shares to 13,650 shares
UNITED CONTINENTAL HOLDINGS, Inc. (NYSE: UAL) raised from 29,060 shares to 43,080 shares
UNITED RENTALS, Inc. (NYSE: URI) raised from 21,900 shares to 35,760 shares
UNIVERSAL HEALTH SERVICES, INC. CLASS B (NYSE: UHS) raised from 4,952,724 shares to 5,426,487 shares
VALE S.A. (NYSE: VALE) raised from 130,570 shares to 276,820 shares
VMWARE, Inc. (NYSE: VMW) raised from 31,490 shares to 43,480 shares
WASTE CONNECTIONS, Inc. (NYSE: WCN) raised from 5,111,040 shares to 5,537,682 shares
WEIGHT WATCHERS INTERNATIONAL, Inc. (NYSE: WTW) raised from 2,186 shares to 110,656 shares
WIX.COM (NASDAQ: WIX) raised from 21,600 shares to 33,400 shares
Wynn Resorts Ltd (NASDAQ: WYNN) raised from 920,698 shares to 1,260,248 shares
XENCOR (NASDAQ: XNCR) raised from 113,335 shares to 157,928 shares
Xilinx Inc (NASDAQ: XLNX) raised from 48,070 shares to 59,510 shares
YANDEX (NASDAQ: YNDX) raised from 60,060 shares to 89,460 shares

Lowered Stakes
Adobe Systems Inc (NASDAQ: ADBE) lowered from 4,263,755 shares to 1,304,724 shares
Aetna Inc (NYSE: AET) lowered from 987,480 shares to 11,470 shares
Akorn, Inc. (NASDAQ: AKRX) lowered from 131,770 shares to 71,220 shares
GOOGLE-C (NASDAQ: GOOG) lowered from 367,842 shares to 327,448 shares
Analog Devices, Inc. (NASDAQ: ADI) lowered from 44,089 shares to 29,420 shares
ANHEUSER-BUSCH INBEV SA/NV (NYSE: BUD) lowered from 1,627,302 shares to 1,377,577 shares
Baxter International Inc. (NYSE: BAX) lowered from 55,790 shares to 39,730 shares
CHEMOURS (NYSE: CC) lowered from 83,910 shares to 63,880 shares
CIGNA Corp. (NYSE: CI) lowered from 2,456,819 shares to 1,447,984 shares
Cognex Corp (NASDAQ: CGNX) lowered from 35,920 shares to 26,980 shares
COMMSCOPE (NASDAQ: COMM) lowered from 8,942,555 shares to 4,976,160 shares
Constellation Brands (NYSE: STZ) lowered from 769,703 shares to 698,310 shares
Lam Research (NASDAQ: LRCX) lowered from 23,830 shares to 16,130 shares
LPL FIN HLDG (NASDAQ: LPLA) lowered from 71,650 shares to 59,030 shares
lululemon athletica, Inc. (NASDAQ: LULU) lowered from 43,910 shares to 36,630 shares
MARTIN MARIETTA MATERIALS (NYSE: MLM) lowered from 773,189 shares to 491,760 shares
O'Reilly Automotive (NASDAQ: ORLY) lowered from 505,138 shares to 270,491 shares
Pfizer Inc. (NYSE: PFE) lowered from 19,833,477 shares to 10,052,571 shares
SABRE (NASDAQ: SABR) lowered from 18,205,930 shares to 14,820,095 shares
SLM Corporation (NASDAQ: SLM) lowered from 237,910 shares to 216,170 shares
TELEDYNE TECH, Inc. (NYSE: TDY) lowered from 98,140 shares to 73,750 shares
Tesoro Petroleum Co. (NYSE: TSO) lowered from 3,411,198 shares to 2,139,606 shares
United Therapeutics Corp (NASDAQ: UTHR) lowered from 19,440 shares to 18,720 shares
U.S. Bancorp (NYSE: USB) lowered from 3,645,149 shares to 2,478,108 shares
US Foods (NYSE: USFD) lowered from 4,754,292 shares to 1,276,434 shares
Vulcan Materials (NYSE: VMC) lowered from 2,620,228 shares to 1,733,220 shares
BroadWebAsia, Inc. (NASDAQ: WBA) lowered from 1,013,553 shares to 251,710 shares

Liquidated Stakes
ALLEGHANY CORPORATION (NYSE: Y) liquidated
ALLISON TRANSMISSION HOLDINGS, Inc. (NYSE: ALSN) liquidated
Ameriprise Financial (NYSE: AMP) liquidated
ASSURED GUARANTY, LTD (NYSE: AGO) liquidated
Bank of the Ozarks, Inc. (NASDAQ: OZRK) liquidated
BHP Billiton plc (: BHPBF) liquidated
Blue Buffalo Pet Products (NASDAQ: BUFF) liquidated
Check Point Software Technolog (NASDAQ: CHKP) liquidated
Comcast Class A (NASDAQ: CMCSA) liquidated
Computer Sciences Corp. (NYSE: CSC) liquidated
DIAGEO PLC (NYSE: DEO) liquidated
EAGLE MATERIALS, Inc. (NYSE: EXP) liquidated
F5 Networks (NASDAQ: FFIV) liquidated
FERRARI N V (NYSE: RACE) liquidated
FLEETCOR TECHNOLOGIES, Inc. (NYSE: FLT) liquidated
FOOT LOCKER, Inc. (NYSE: FL) liquidated
The Hershey Company (NYSE: HSY) liquidated
Isle of Capri Casinos, Inc. (NASDAQ: ISLE) liquidated
Kraft Heinz (NASDAQ: KHC) liquidated
Mercado Libre, Inc. (NASDAQ: MELI) liquidated
Moody's Corp (NYSE: MCO) liquidated
Mylan Inc. (NASDAQ: MYL) liquidated
NCR CORPORATION (NYSE: NCR) liquidated
Newell Rubbermaid Co. (NYSE: NWL) liquidated
Nexstar Broadcasting Group, Inc.Class A (NASDAQ: NXST) liquidated
Nvidia Corporation (NASDAQ: NVDA) liquidated
Regions Financial Corp. (NYSE: RF) liquidated
SBA Communications (NASDAQ: SBAC) liquidated
SVB Financial Group (NASDAQ: SIVB) liquidated
TD AMERITRADE HOLDING CORP (NASDAQ: AMTD) liquidated
Valero Energy (NYSE: VLO) liquidated

Maintained Stakes



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