Institutional Portfolio Description | Hide Summary  

Address
MAVERICK CAPITAL LTD
300 CRESCENT COURT
DALLAS, TX 75201
Position Statistics
Report Date:9/30/2009
Total Value (in $Millions): $8,471
Turnover (in Millions): 242
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Company
Select a company below for more information.
Class Value
($1000)
Change
($1000)
% Change Shares
Held
APPLE INC COM $304,577 ($45,006) (12.87%) 1,519,010
HEWLETT PACKARD CO COM $296,753 $32,794 12.42% 5,956,513
CORNING INC COM $279,403 $279,403 New 16,861,980
PRICELINE COM INC COM NEW $263,483 $78,155 42.17% 1,268,942
QUALCOMM INC COM $235,369 $235,369 New 5,219,977
LIBERTY MEDIA CORP NEW ENT COM SER A $219,762 $86 0.04% 6,119,807
GILEAD SCIENCES INC COM $207,120 $68,007 48.89% 4,452,275
VISA INC COM CL A $203,225 $95,216 88.16% 2,534,613
JPMORGAN CHASE & CO COM $201,989 $29,504 17.11% 4,747,100
MACYS INC COM $192,161 $192,161 New 11,056,435
MARVELL TECHNOLOGY GROU... ORD $190,543 $57,289 42.99% 12,478,271
BLACK & DECKER CORP COM $190,243 $7,358 4.02% 3,115,165
PROGRESSIVE CORP OHIO COM $186,515 $2,914 1.59% 11,115,296
ACCENTURE PLC IRELAND SHS CLASS A $180,757 $180,757 New 4,547,339
CITIGROUP INC COM $180,499 $180,499 New 42,370,680
AMGEN INC COM $178,466 $42,589 31.34% 3,183,480
STAPLES INC COM $171,288 ($12,533) (6.82%) 7,562,402
XTO ENERGY INC COM $160,678 ($5,788) (3.48%) 3,859,669
CVS CAREMARK CORPORATIO... COM $157,944 $157,944 New 5,081,838
APOLLO GROUP INC CL A $156,773 $51,823 49.38% 2,842,669

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