Larry Robbins's portfolio and holdings - Jan 2024

As per corporate shareholdings filed for , people matching Larry Robbins publicly holds 38 stocks with a net worth of over US$ 5.3 B.

These are shares held by Larry Robbins as per the shareholding data filed with the exchanges. The latest quarter tends to have missing data since not all companies may have reported their shareholding data till now.

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Stock Name Holders Name Current Price US$ Quantity Held Holding Percent Change from Previous Qtr Holding Value US$ History
Brookdale Senior Living Inc Glenview Capital Management Llc 8.68 16,944,673 8.95% -0.96 147.1 M
Tenet Healthcare Corp. Glenview Capital Management Llc 200.00 7,742,322 7.93% 1.17 1.5 B
DXC Technology Co Glenview Capital Management Llc 12.85 13,006,623 7.11% 2.09 167.1 M
Myriad Genetics, Inc. Glenview Capital Management Llc 7.80 5,283,982 5.84% 1.62 41.2 M
Butterfly Network Inc - Ordinary Shares - Class A Glenview Capital Management Llc 2.12 8,033,501 3.86% -0.02 17.0 M
Clarivate Plc Glenview Capital Management Llc 3.58 24,651,047 3.69% 0.65 88.3 M
Evolv Technologies Holdings Inc - Ordinary Shares - Class A Glenview Capital Management Llc 8.08 5,599,039 3.60% 0.56 45.2 M
Alight Inc. - Ordinary Shares - Class A Glenview Capital Management Llc 2.97 18,202,012 3.34% 0.04 54.1 M
Rapid Micro Biosystems Inc - Ordinary Shares - Class A Glenview Capital Management Llc 3.08 1,318,288 3.10% -0.01 4.1 M
Universal Health Services, Inc. - Ordinary Shares - Class B Glenview Capital Management Llc 204.56 1,701,416 2.53% -0.04 348.0 M
Valvoline Inc Glenview Capital Management Llc 34.85 2,320,173 1.79% -0.16 80.9 M
Element Solutions Inc Glenview Capital Management Llc 25.59 3,762,620 1.55% 0.40 96.3 M
Digimarc Corporation Glenview Capital Management Llc 8.60 291,855 1.43% -0.57 2.5 M
Orthofix Medical Inc Glenview Capital Management Llc 15.06 500,000 1.34% NEW 7.5 M
Global Payments, Inc. Glenview Capital Management Llc 85.42 1,948,128 0.76% 0.05 166.4 M
Cigna Group (The) Glenview Capital Management Llc 299.27 2,142,526 0.76% 0.23 641.2 M
US Foods Holding Corp Glenview Capital Management Llc 76.12 1,753,729 0.72% -0.20 133.5 M
Corteva Inc Glenview Capital Management Llc 61.40 4,698,725 0.67% 0.37 288.5 M
Cibus Inc - Ordinary Shares - Class A Glenview Capital Management Llc 1.55 116,465 0.54% -0.17 180.5 K
Knight-Swift Transportation Holdings Inc - Ordinary Shares - Class A Glenview Capital Management Llc 47.04 855,577 0.53% -0.10 40.2 M
Brunswick Corp. Glenview Capital Management Llc 63.91 360,677 0.53% 0.16 23.1 M
Expedia Group Inc Glenview Capital Management Llc 214.76 701,261 0.53% -0.05 150.6 M
Viatris Inc Glenview Capital Management Llc 10.17 6,065,047 0.51% NEW 61.7 M
Mckesson Corporation Glenview Capital Management Llc 786.00 326,896 0.25% -0.02 256.9 M
Fiserv, Inc. Glenview Capital Management Llc 121.65 943,277 0.16% -0.05 114.7 M
Teva- Pharmaceutical Industries Ltd. - ADR Glenview Capital Management Llc 19.31 1,604,633 0.14% NEW 31.0 M
HCA Healthcare Inc Glenview Capital Management Llc 426.16 251,516 0.10% -0.03 107.2 M
Uber Technologies Inc Glenview Capital Management Llc 92.30 1,964,351 0.09% -0.01 181.3 M
Activision Blizzard Inc Glenview Capital Management Llc 94.42 683,849 0.09% 0.00 64.6 M
Cardinal Health, Inc. Glenview Capital Management Llc 156.41 203,254 0.08% -0.02 31.8 M
Charter Communications Inc. - Ordinary Shares - Class A Glenview Capital Management Llc 253.16 116,933 0.08% -0.03 29.6 M
CVS Health Corp Glenview Capital Management Llc 82.52 746,144 0.06% NEW 61.6 M
Liberty Global plc - Ordinary Shares - Class A Glenview Capital Management Llc 11.00 176,110 0.05% NEW 1.9 M
Marvell Technology Inc Glenview Capital Management Llc 87.95 179,709 0.02% NEW 15.8 M
Elevance Health Inc Glenview Capital Management Llc 348.77 37,909 0.02% 0.01 13.2 M
Intel Corp. Glenview Capital Management Llc 37.01 344,263 0.01% -0.04 12.7 M
Amazon.com Inc. Glenview Capital Management Llc 213.04 694,077 0.01% 0.00 147.9 M
Meta Platforms Inc - Ordinary Shares - Class A Glenview Capital Management Llc 716.92 157,140 0.01% 0.00 112.7 M
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