
VIKING GLOBAL INVESTORS LP
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | LAB | 58.65M | $76.25M |
![]() | TIC | 34.36M | $457.33M |
![]() | ADPT | 29.99M | $448.71M |
![]() | ROIV | 23.59M | $356.99M |
![]() | PRMB | 23.03M | $509.05M |
![]() | FTV | 20.48M | $1.00B |
![]() | SCHW | 16.58M | $1.58B |
![]() | BBIO | 15.98M | $829.89M |
![]() | CSX | 15.95M | $566.30M |
![]() | DKNG | 15.00M | $561.13M |
![]() | UBS | 13.10M | $534.85M |
![]() | GM | 13.03M | $794.26M |
![]() | APG | 12.31M | $422.97M |
![]() | BAC | 11.50M | $593.30M |
![]() | DIS | 10.45M | $1.20B |
![]() | NKE | 9.00M | $627.33M |
![]() | BMRN | 8.32M | $450.73M |
![]() | PNC | 7.96M | $1.60B |
![]() | COF | 7.39M | $1.57B |
![]() | JCI | 6.80M | $747.32M |

Standard BioTools Inc.
LAB
Shares Held
58.65M
Value
$76.25M

TIC Solutions, Inc.
TIC
Shares Held
34.36M
Value
$457.33M

Adaptive Biotechnologies Corporation
ADPT
Shares Held
29.99M
Value
$448.71M

Roivant Sciences Ltd.
ROIV
Shares Held
23.59M
Value
$356.99M

Primo Brands Corporation
PRMB
Shares Held
23.03M
Value
$509.05M

Fortive Corporation
FTV
Shares Held
20.48M
Value
$1.00B

The Charles Schwab Corporation
SCHW
Shares Held
16.58M
Value
$1.58B

BridgeBio Pharma, Inc.
BBIO
Shares Held
15.98M
Value
$829.89M

CSX Corporation
CSX
Shares Held
15.95M
Value
$566.30M

DraftKings Inc.
DKNG
Shares Held
15.00M
Value
$561.13M

UBS Group AG
UBS
Shares Held
13.10M
Value
$534.85M

General Motors Company
GM
Shares Held
13.03M
Value
$794.26M

APi Group Corporation
APG
Shares Held
12.31M
Value
$422.97M

Bank of America Corporation
BAC
Shares Held
11.50M
Value
$593.30M

The Walt Disney Company
DIS
Shares Held
10.45M
Value
$1.20B

NIKE, Inc.
NKE
Shares Held
9.00M
Value
$627.33M

BioMarin Pharmaceutical Inc.
BMRN
Shares Held
8.32M
Value
$450.73M

The PNC Financial Services Group, Inc.
PNC
Shares Held
7.96M
Value
$1.60B

Capital One Financial Corporation
COF
Shares Held
7.39M
Value
$1.57B

Johnson Controls International plc
JCI
Shares Held
6.80M
Value
$747.32M
