Bloom Tree Partners Llc (1567752) Portfolio


Number of Companies: 15
Inflow: $226,926 K
Outflow: $-215,766 K
Net Flow: $11,160 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)
2942 7 Tesla Motors Inc (TSLA) Automobiles 259,020 New Holding 259,020 $229.77 $59,515 $59,515
3072 34 Microsoft Corp (MSFT) Infrastructure Software 1,044,990 New Holding 1,044,990 $55.23 $57,714 $57,714
2978 41 Cognizant Tech Solutions-A (CTSH) It Services 877,162 New Holding 877,162 $62.70 $54,998 $54,998
3031 8 Pfizer Inc (PFE) Large Pharma 1,203,850 New Holding 1,203,850 $29.63 $35,682 $35,682
105 1 Centene Corp (CNC) Managed Care 301,935 New Holding 301,935 $61.57 $18,590 $18,590
2780 27 Fleetcor Technologies Inc (FLT) Consumer Finance 566,125 Added More 2,868 $148.75 $426 $84,211
3019 8 Union Pacific Corp (UNP) Rail Freight 384,000 No Change 0 $79.55 $0 $30,547
629 7 Baidu Inc (BIDU) Internet Media 365,767 Sold Some -32,298 $190.88 $-6,165 $69,817
2918 11 Vipshop Holdings Ltd (VIPS) Ecommerce Discretionary 2,209,998 Sold Some -535,112 $12.88 $-6,892 $28,464
2724 32 Pilgrims Pride Corp (PPC) Packaged Food 0 Sold All -459,500 $25.40 $-11,671 $0
2870 14 Monsanto Co (MON) Agricultural Chemicals 0 Sold All -144,000 $87.73 $-12,634 $0
3010 11 Aetna Inc (AET) Managed Care 382,770 Sold Some -143,300 $112.34 $-16,099 $43,004
3043 8 Charter Communication-A (CHTR) Cable And Satellite 302,876 Sold Some -147,143 $202.42 $-29,786 $61,311
968 9 Spirit Aerosystems Hold-Cl A (SPR) Aircraft And Parts 0 Sold All -1,408,781 $45.36 $-63,902 $0
2946 21 Hca Holdings Inc (HCA) Health Care Facilities 0 Sold All -879,120 $78.05 $-68,615 $0