Partner Investment Management L P (1442276) Portfolio


Number of Companies: 56
Inflow: $16,142 K
Outflow: $-16,969 K
Net Flow: $-826 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)
3040 9 Abbvie Inc (ABBV) Large Pharma 46,029 New Holding 46,029 $57.11 $2,629 $2,629
2946 21 Hca Holdings Inc (HCA) Health Care Facilities 42,444 Added More 32,125 $78.05 $2,507 $3,312
3079 54 Apple Inc (AAPL) Communications Equipment 18,765 New Holding 18,765 $108.98 $2,045 $2,045
3051 57 Gilead Sciences Inc (GILD) Biotech 17,379 Added More 16,446 $91.86 $1,510 $1,596
3072 34 Microsoft Corp (MSFT) Infrastructure Software 23,654 Added More 15,431 $55.23 $852 $1,306
911 5 Brookdale Senior Living Inc (BKD) Health Care Facilities 44,831 New Holding 44,831 $15.88 $711 $711
2821 31 Applied Materials Inc (AMAT) Semiconductor Mfg 27,236 New Holding 27,236 $21.18 $576 $576
1933 56 Jazz Pharmaceuticals Plc (JAZZ) Specialty Pharma 15,336 Added More 4,292 $130.55 $560 $2,002
8 1 Herbalife Ltd (HLF) Packaged Food 8,453 New Holding 8,453 $61.56 $520 $520
3006 19 Becton Dickinson And Co (BDX) Health Care Supplies 3,082 New Holding 3,082 $151.82 $467 $467
2748 30 Lam Research Corp (LRCX) Semiconductor Mfg 18,998 Added More 5,556 $82.59 $458 $1,569
2986 89 Salesforcecom Inc (CRM) Application Software 6,080 New Holding 6,080 $73.83 $448 $448
3060 21 Blackrock Inc (BLK) Investment Management 3,272 Added More 1,113 $340.57 $379 $1,114
28 1 Ctripcom International (CTRP) Internet Based Services 8,431 New Holding 8,431 $44.25 $373 $373
2929 20 Davita Healthcare Partners I (DVA) Health Care Facilities 4,544 New Holding 4,544 $73.37 $333 $333
2511 16 Amsurg Corp (AMSG) Health Care Facilities 3,230 New Holding 3,230 $74.59 $240 $240
2389 9 Marketaxess Holdings Inc (MKTX) Information Services 1,819 New Holding 1,819 $124.83 $227 $227
278 5 Zeltiq Aesthetics Inc (ZLTQ) Medical Equipment 19,974 Added More 8,302 $27.16 $225 $542
64 1 Cbre Group Inc - A (CBG) Real Estate Services 7,644 New Holding 7,644 $28.82 $220 $220
2989 128 American Tower Corp (AMT) Reit 2,136 New Holding 2,136 $102.37 $218 $218
2715 69 Pioneer Natural Resources Co (PXD) Exploration And Production 1,540 New Holding 1,540 $140.74 $216 $216
2035 44 Cirrus Logic Inc (CRUS) Semiconductor Devices 4,627 New Holding 4,627 $36.41 $168 $168
13 1 Acadia Healthcare Co Inc (ACHC) Health Care Facilities 2,765 New Holding 2,765 $55.11 $152 $152
1821 14 Spectranetics Corp (SPNC) Medical Devices 6,160 New Holding 6,160 $14.52 $89 $89
3043 8 Charter Communication-A (CHTR) Cable And Satellite 2,473 Added More 39 $202.42 $7 $500
528 1 Rite Aid Corp (RAD) Food And Drug Stores 49,411 Sold Some -327 $8.15 $-2 $402
1117 10 Accuray Inc (ARAY) Medical Equipment 78,883 Sold Some -504 $5.78 $-2 $455
524 13 Maxlinear Inc-Class A (MXL) Semiconductor Devices 0 Sold All -1,314 $18.50 $-24 $0
53 2 Dexcom Inc (DXCM) Medical Equipment 3,798 Sold Some -398 $67.91 $-27 $257
2919 19 Universal Health Services-B (UHS) Health Care Facilities 11,187 Sold Some -441 $124.72 $-55 $1,395
575 16 Clovis Oncology Inc (CLVS) Biotech 31,945 Sold Some -3,355 $19.20 $-64 $613
2218 46 Medicines Company (MDCO) Biotech 46,338 Sold Some -2,155 $31.77 $-68 $1,472
2984 25 Netflix Inc (NFLX) Internet Media 6,399 Sold Some -747 $102.23 $-76 $654
296 12 Amag Pharmaceuticals Inc (AMAG) Biotech 0 Sold All -6,267 $23.40 $-146 $0
3080 12 Amazoncom Inc (AMZN) Ecommerce Discretionary 2,208 Sold Some -249 $593.64 $-147 $1,310
2864 28 Edwards Lifesciences Corp (EW) Medical Devices 20,654 Sold Some -2,840 $88.20 $-250 $1,821
3013 9 Mckesson Corp (MCK) Health Care Supply Chain 0 Sold All -1,864 $157.25 $-293 $0
3074 26 Facebook Inc-A (FB) Internet Media 5,927 Sold Some -2,845 $114.09 $-324 $676
3021 55 Celgene Corp (CELG) Biotech 0 Sold All -3,249 $100.08 $-325 $0
2681 14 United Rentals Inc (URI) Industrial Distribution And Rental 0 Sold All -6,624 $62.18 $-411 $0
2305 48 Acorda Therapeutics Inc (ACOR) Biotech 11,190 Sold Some -16,742 $26.45 $-442 $295
2781 29 Servicenow Inc (NOW) Infrastructure Software 0 Sold All -8,057 $61.18 $-492 $0
2968 23 Hologic Inc (HOLX) Medical Equipment 9,194 Sold Some -16,294 $34.50 $-562 $317
3063 12 Unitedhealth Group Inc (UNH) Managed Care 0 Sold All -4,485 $128.89 $-578 $0
3070 18 Home Depot Inc (HD) Home Products Stores 0 Sold All -4,629 $133.42 $-617 $0
436 1 Macquarie Infrastructure Cor (MIC) Transport Support Services 0 Sold All -9,437 $67.44 $-636 $0
2922 32 Palo Alto Networks Inc (PANW) Infrastructure Software 8,601 Sold Some -5,118 $163.13 $-834 $1,403
2568 8 Molina Healthcare Inc (MOH) Managed Care 0 Sold All -12,971 $64.48 $-836 $0
2336 15 Fortune Brands Home And Securi (FBHS) Home Improvement 0 Sold All -14,995 $56.04 $-840 $0
2854 6 Vulcan Materials Co (VMC) Cement And Aggregates 8,530 Sold Some -8,566 $105.57 $-904 $900
3010 11 Aetna Inc (AET) Managed Care 2,991 Sold Some -8,084 $112.34 $-908 $336
3014 6 Bristol-Myers Squibb Co (BMY) Large Pharma 34,687 Sold Some -14,235 $63.88 $-909 $2,215
424 6 Textron Inc (TXT) Aircraft And Parts 0 Sold All -26,272 $36.45 $-957 $0
2779 8 Schwab Charles Corp (SCHW) Wealth Management 0 Sold All -46,441 $28.02 $-1,301 $0
20 1 Aercap Holdings Nv (AER) Commercial Finance 0 Sold All -48,829 $38.75 $-1,892 $0
2739 9 Teva Pharmaceutical (TEVA) Generic Pharma 0 Sold All -37,993 $53.50 $-2,033 $0