Bridger Management Llc (1166309) Portfolio


Number of Companies: 27
Inflow: $236,737 K
Outflow: $-172,555 K
Net Flow: $64,181 K
2016-03-31: Recent SEC Filing
2015-12-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
2791 27 St Jude Medical Inc (STJ) Medical Devices 911,008 New Holding 911,008 $55.00 $50,105 $50,105
53 2 Dexcom Inc (DXCM) Medical Equipment 834,203 Added More 555,163 $67.91 $37,701 $56,650
2974 36 Chipotle Mexican Grill Inc (CMG) Restaurants 67,625 New Holding 67,625 $470.97 $31,849 $31,849
160 2 Nektar Therapeutics (NKTR) Specialty Pharma 3,517,011 Added More 1,953,149 $13.75 $26,855 $48,358
2477 15 Tenet Healthcare Corp (THC) Health Care Facilities 868,044 New Holding 868,044 $28.93 $25,112 $25,112
703 8 Pacific Biosciences Of Calif (PACB) Life Science Equipment 4,096,877 Added More 1,938,090 $8.50 $16,473 $34,823
2106 61 Opko Health Inc (OPK) Specialty Pharma 1,334,306 New Holding 1,334,306 $10.39 $13,863 $13,863
1821 14 Spectranetics Corp (SPNC) Medical Devices 748,642 New Holding 748,642 $14.52 $10,870 $10,870
2654 16 Boyd Gaming Corp (BYD) Casinos And Gaming 958,111 Added More 419,817 $20.66 $8,673 $19,794
2218 46 Medicines Company (MDCO) Biotech 3,101,298 Added More 184,777 $31.77 $5,870 $98,528
94 5 Alnylam Pharmaceuticals Inc (ALNY) Biotech 797,212 Added More 79,691 $62.77 $5,002 $50,040
173 4 Ironwood Pharmaceuticals Inc (IRWD) Specialty Pharma 5,178,628 Added More 234,034 $10.94 $2,560 $56,654
2399 4 Weight Watchers Intl Inc (WTW) Personal Care Services 423,831 Added More 123,831 $14.53 $1,799 $6,158
2831 5 Kansas City Southern (KSU) Rail Freight 662,207 No Change 0 $85.44 $0 $56,585
3043 8 Charter Communication-A (CHTR) Cable And Satellite 253,822 No Change 0 $202.42 $0 $51,381
2571 15 Mgm Resorts International (MGM) Casinos And Gaming 3,958,970 No Change 0 $21.44 $0 $84,880
2693 15 Verisign Inc (VRSN) Internet Based Services 411,637 No Change 0 $88.54 $0 $36,446
82 1 Grupo Televisa Sa (TV) Publishing And Broadcasting 648,825 No Change 0 $27.45 $0 $17,816
3010 11 Aetna Inc (AET) Managed Care 560,087 Sold Some -1,964 $112.34 $-220 $62,925
2523 7 Wellcare Health Plans Inc (WCG) Managed Care 328,503 Sold Some -42,217 $92.75 $-3,915 $30,468
3074 26 Facebook Inc-A (FB) Internet Media 420,598 Sold Some -53,811 $114.09 $-6,139 $47,990
2280 12 Scientific Games Corp-A (SGMS) Casinos And Gaming 1,632,180 Sold Some -1,388,400 $9.43 $-13,092 $15,391
2813 23 Laboratory Crp Of Amer Hldgs (LH) Health Care Services 663,004 Sold Some -142,388 $117.12 $-16,677 $77,657
2552 29 Post Holdings Inc (POST) Packaged Food 1,112,589 Sold Some -279,183 $68.76 $-19,199 $76,512
3063 12 Unitedhealth Group Inc (UNH) Managed Care 390,016 Sold Some -219,030 $128.89 $-28,232 $50,273
2739 9 Teva Pharmaceutical (TEVA) Generic Pharma 1,108,574 Sold Some -773,263 $53.50 $-41,377 $59,319
105 1 Centene Corp (CNC) Managed Care 610,566 Sold Some -709,751 $61.57 $-43,699 $37,592