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Bridger Capital 13F holdings, Q4 2018

Holdings as of December 31, 2018 · filings on SEC EDGAR · latest filing →

Bridger Capital disclosed 71 US equity positions worth $86.8m in its Q4 2018 13F filing. The largest position was WK at 5.8% of the reported book, followed by ADBE and NVDA. Against the Q3 2018 filing, it opened 1 new position, added to 0 and reduced 0 among the top 50 holdings.

← Q3 2018 · Q1 2019 →

What did Bridger Capital own in Q4 2018? Top 50 positions

#StockSectorWeightValueSharesΔ sharesvs Q3 2018
1 WK WORKIVA INC Technology 5.8%$5.0m147,040 0% held
2 ADBE ADOBE INC Technology 3.8%$3.3m13,281 0% held
3 NVDA NVIDIA CORP Technology 3.7%$3.2m13,541 0% held
4 MA MASTERCARD INCORPORATED Financial Services 3.1%$2.7m13,290 0% held
5 AMZN AMAZON COM INC Consumer Cyclical 3.1%$2.7m1,516 0% held
6 AAPL APPLE INC Technology 2.8%$2.4m11,230 0% held
7 EOG EOG RES INC Energy 2.7%$2.3m19,500 0% held
8 NOC NORTHROP GRUMMAN CORP Industrials 2.5%$2.2m7,175 0% held
9 JNJ JOHNSON & JOHNSON Healthcare 2.5%$2.2m15,692 0% held
10 CSX CSX CORP Industrials 2.4%$2.1m30,790 0% held
11 BMY BRISTOL MYERS SQUIBB CO Healthcare 2.4%$2.1m37,730 0% held
12 PEP PEPSICO INC Consumer Defensive 2.4%$2.1m19,055 0% held
13 BAX BAXTER INTL INC Healthcare 2.4%$2.0m29,030 0% held
14 COST COSTCO WHSL CORP NEW Consumer Defensive 2.3%$2.0m8,757 0% held
15 EW EDWARDS LIFESCIENCES CORP Healthcare 2.2%$1.9m13,110 new
16 TMO THERMO FISHER SCIENTIFIC INC Healthcare 2.2%$1.9m8,301 0% held
17 BR BROADRIDGE FINL SOLUTIONS IN Technology 2.2%$1.9m15,840 0% held
18 ULTIMATE SOFTWARE GROUP INC 2.0%$1.8m5,935 0% held
19 TXN TEXAS INSTRS INC Technology 2.0%$1.8m17,810 0% held
20 CLX CLOROX CO DEL Consumer Defensive 2.0%$1.7m11,315 0% held
21 ADSK AUTODESK INC Technology 1.9%$1.7m12,150 0% held
22 ELBIT SYS LTD 1.9%$1.7m13,730 0% held
23 FISV FISERV INC 1.9%$1.6m20,618 0% held
24 PYPL PAYPAL HLDGS INC Financial Services 1.8%$1.6m19,670 0% held
25 MSFT MICROSOFT CORP Technology 1.8%$1.6m14,285 0% held
26 GOOGL ALPHABET INC Communication Services 1.8%$1.5m1,397 0% held
27 ZTS ZOETIS INC Healthcare 1.7%$1.5m16,145 0% held
28 CL COLGATE PALMOLIVE CO Consumer Defensive 1.7%$1.5m23,665 0% held
29 ISHARES TR 1.7%$1.4m16,971 0% held
30 SHY ISHARES TR 1.7%$1.4m17,280 0% held
31 VANGUARD INDEX FDS 1.6%$1.4m11,210 0% held
32 FDX FEDEX CORP Industrials 1.6%$1.4m6,540 0% held
33 HD HOME DEPOT INC Consumer Cyclical 1.6%$1.4m7,733 0% held
34 PFE PFIZER INC Healthcare 1.6%$1.4m31,309 0% held
35 BIL SPDR SER TR 1.5%$1.3m14,465 0% held
36 EPD ENTERPRISE PRODS PARTNERS L Energy 1.2%$1.0m35,641 0% held
37 NKE NIKE INC Consumer Cyclical 1.1%$994.0k13,150 0% held
38 DHR DANAHER CORP DEL Healthcare 1.0%$891.0k8,800 0% held
39 HONEYWELL INTL INC 1.0%$868.0k5,586 0% held
40 MCD MCDONALDS CORP Consumer Cyclical 1.0%$843.0k5,055 0% held
41 MMM 3M CO Industrials 0.9%$801.0k3,998 0% held
42 VANGUARD INDEX FDS 0.9%$739.0k4,905 0% held
43 UNP UNION PAC CORP Industrials 0.8%$736.0k4,958 0% held
44 RVTY PERKINELMER INC Healthcare 0.8%$710.0k8,070 0% held
45 PIONEER NAT RES CO 0.8%$693.0k4,130 0% held
46 ISHARES TR 0.6%$510.0k2,787 0% held
47 CASY CASEYS GEN STORES INC Consumer Cyclical 0.6%$498.0k3,890 0% held
48 WASTE MGMT INC DEL 0.5%$464.0k5,150 0% held
49 ISHARES TR 0.5%$437.0k2,030 0% held
50 ORCL ORACLE CORP Technology 0.5%$420.0k8,854 0% held

Weights are shares of the reported long US equity book (options excluded). Values are as filed, normalised to whole dollars. Share changes compare against the immediately preceding filing only.