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

August 14, 2017 5:43 PM EDT

Get inside Wall Street with StreetInsider Premium. Claim your 1-week free trial here.

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 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
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, Inc. (NASDAQ: MOMO) raised from 50,730 shares to 63,460 shares (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 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
Ameriprise Financial (NYSE: AMP) 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
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
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
Valero Energy (NYSE: VLO) liquidated

Maintained Stakes

Serious News for Serious Traders! Try Premium Free!

You May Also Be Interested In

Related Categories

13Fs, Hedge Funds

Related Entities

Chrysler LLC, Goldman Sachs, Morgan Stanley, Maverick Capital, Standard & Poor's