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Q2 2026 59/68 funds filed
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Some record dates are in the future and are excluded from the latest observation date.

Investor portfolio

Viking Global Investors

GrowthPublic Tech

Viking Global Investors is Andreas Halvorsen's investment management firm.

Linked investors: Andreas Halvorsen

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US 13F portfolio

Quarter
Q2 2026
Filed
2026-08-14
Portfolio value
$35,079,228,595
Positions
90
history Ticker Change % of portfolio
≡ AAPL SOLD —
≡ CSX SOLD —
≡ GOOG(L) SOLD —
≡ PNC SOLD —
≡ TMUS SOLD —
≡ HCA SOLD —
≡ CLS SOLD —
≡ PGR SOLD —
≡ AIG SOLD —
≡ APG SOLD —
≡ FPS SOLD —
≡ EQPT SOLD —
≡ TWLO SOLD —
≡ EW SOLD —
≡ RAL SOLD —
≡ WST SOLD —
≡ CRWV SOLD —
≡ STLA SOLD —
≡ LULU SOLD —
≡ AJG SOLD —
≡ CBOE SOLD —
≡ PEPG 0.02%
≡ RLYB 0.02%
≡ AZUL Newly reported 0.03%
≡ XE Newly reported 0.04%
≡ DPC Newly reported 0.04%
≡ TOL Newly reported 0.05%
≡ ALT Newly reported 0.06%
≡ FRVO Newly reported 0.06%
≡ QNT Newly reported 0.07%
≡ ARTV Newly reported 0.07%
≡ INFQ Newly reported 0.08%
≡ TRVI −52% 0.08%
≡ TW Newly reported 0.09%
≡ CME Newly reported 0.1%
≡ DNA 0.1%
≡ LAB 0.14%
≡ BRKR Newly reported 0.15%
≡ ORIC −12% 0.16%
≡ DMRA 0.17%
≡ SEDG Newly reported 0.18%
≡ CRBG Newly reported 0.22%
≡ COF −76% 0.22%
≡ DB Newly reported 0.24%
≡ NTRA Newly reported 0.3%
≡ INBX −22% 0.3%
≡ BTSG Newly reported 0.32%
≡ UBS Newly reported 0.34%
≡ PHVS 0.36%
≡ CB −71% 0.37%
≡ SION 0.4%
≡ NAMS 0.41%
≡ ORKA −44% 0.41%
≡ USFD Newly reported 0.51%
≡ BCE Newly reported 0.51%
≡ MDLN −58% 0.54%
≡ MANE −8% 0.55%
≡ AS −18% 0.57%
≡ SPCX Newly reported 0.58%
≡ ROIV −6% 0.63%
≡ ATI −65% 0.65%
≡ TSLA −78% 0.66%
≡ TTWO Newly reported 0.67%
≡ EQH Newly reported 0.68%
≡ SNOW Newly reported 0.7%
≡ DKS −13% 0.72%
≡ AVB Newly reported 0.72%
≡ HAS −17% 0.73%
≡ RDDT −39% 0.77%
≡ APTV Newly reported 0.8%
≡ QCOM Newly reported 0.8%
≡ TIC 0.83%
≡ HD +83% 0.93%
≡ MS Newly reported 0.97%
≡ ICE −43% 0.97%
≡ FDXF Newly reported 1.02%
≡ CVS Newly reported 1.08%
≡ AON +6% 1.09%
≡ GM −46% 1.1%
≡ CCL Newly reported 1.16%
≡ DLR Newly reported 1.18%
≡ IBKR +247% 1.2%
≡ BMRN +8% 1.24%
≡ RRX −33% 1.43%
≡ CPT −4% 1.47%
≡ SE +20% 1.55%
≡ MSFT −37% 1.55%
≡ UNP Newly reported 1.59%
≡ JCI −5% 1.75%
≡ WAT +32% 1.78%
≡ ADPT 1.83%
≡ MSCI Newly reported 1.85%
≡ FDX +11% 1.92%
≡ DIS −46% 1.96%
≡ MAA +5% 2.0%
≡ BA +3% 2.02%
≡ BBIO −16% 2.11%
≡ MCD −22% 2.18%
≡ CVNA +343% 2.31%
≡ RACE Newly reported 2.33%

13F filings show only a manager's disclosed reportable long positions; this filing contains no call or put rows — methodology & caveats.

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