- New Purchases: MSFT, AAPL, AMZN, FB, GOOG, GOOGL, BRK.B, LMT, V, PG, JNJ, JPM, VZ, UNH, INTC, HD, MA, WMT, MRK, VRTX, BURL, CSCO, PFE, SRPT, KO, DIS, HON, PEP, NVDA, FIS, ADBE, NFLX, NEE, TGT, BAC, MDT, ABT, CVX, C, TMO, TJX, EYE, DOV, XOM, CRM, SHW, CMCSA, COST, T, MCD, ROST, VMC, PM, UAA, AMGN, WFC, BMY, CHTR, MOS, PYPL, UTHR, ACN, GOLD, COF, LLY, ORCL, ADI, ITT, NKE, IBM, SRE, TEL, AMT, PXD, LIN, RTN, AVGO, BG, DG, DUK, UNP, BAX, ALXN, EIX, GNTX, LRCX, CF, CFG, CVS, ISRG, KMB, LOW, CCJ, DHR, DE, SBUX, SYK, UA, MO, GILD, MDLZ, OLN, QCOM, TXN, TKR, ALLY, DLTR, KLAC, CI, COP, COMM, AJG, KPTI, NVMI, AMD, CCI, SPGI, NOW, ANTM, BIIB, CME, CL, D, ETN, EMR, FTV, LPX, MLM, PCAR, PLD, SO, AME, BLK, BKNG, EW, MRVL, MU, PE, SUM, WPX, AIZ, BLUE, EQIX, GS, NBL, PGR, XP, BA, DD, KEY, MNTA, WLTW, ZTS, ATVI, BECN, EOG, EVRG, GPN, MSI, NSC, NTR, UPS, CNP, CSX, FE, ICE, KNX, PRNB, SPAQ, AMTD, TM, AEP, ADP, BSX, EWBC, GD, HUM, INTU, SIVB, TMUS, TFC, WLK, APD, ALL, ATR, ATO, BK, DLR, HII, MMC, NEM, NXPI, PNC, SAFM, SBAC, TTWO, AQN, ADSK, CNC, ETR, EXC, GRA, JBL, LHX, MPC, MAS, NLOK, NVT, OSK, OC, PEG, RMD, SAIC, TT, WBA, ASTE, CCMP, CB, CXO, FDX, GIS, NI, GLD, ZBRA, CX, EA, GE, GM, HIG, HI, HOLX, MTD, MS, PNM, PPL, PSA, REGN, AFL, ARDX, ATRC, BMRN, CTSH, ES, HPQ, MLNX, OGE, OMF, SKY, AAP, A, BABA, CABA, CMA, STZ, DOW, HSC, HCA, JKHY, INFO, IFF, KR, MCK, MPWR, MCO, MSCI, MYL, ORLY, PRQR, VRSK, ABMD, AIG, ANSS, ADM, AMK, AZN, AVB, XEC, CLX, ETFC, EQT, FLS, GVA, HAE, HSY, IQV, KMI, MAR, MET, MAA, MNST, NYCB, NVO, ORTX, PPG, SWK, STT, SBE, SNPS, SYY, VLO, XENE, YUM, ZBH, ARE, AMCI, AMAT, ASH, BDX, CDNS, CERN, CMS, CTVA, DAL, DTE, FITB, F, FTVPA.PFD, FOXA, GTES, ILMN, LSXMK, MKC, ORBC, TROW, O, LUV, TCF, SHLL, TSCO, TSN, VRSN, VIAV, WELL, WMB, ADVM, AER, AKAM, ABC, APH, NTB, BCRX, BXP, CAH, CDW, CMG, CHD, CTAS, CTXS, CAG, COO, CPRT, DXCM, DISH, EQR, ESS, FTNT, FBHS, GCP, HEES, IDXX, IIVI, INSP, K, KHC, LVS, EL, LIVN, PEN, PSX, PRU, RTRX, TFX, TBPH, TIF, TRU, QURE, VNTR, WAL, XLNX, LNT, AMAL, AMCR, AXP, AMP, ARYA, BBY, BAH, CPT, CAT, CBRE, CCXI, GLW, DHI, FANG, DRE, EXR, FLIR, HALO, PEAK, HRL, IP, IRWD, J, KSU, KEYS, LH, LEN, MKTX, NDAQ, NUE, OMC, PNR, DGX, RF, SJM, SPOT, SCS, STML, UDR, VOYA, WCN, WBT, ABEO, ADNT, AES, AA, ALEC, ALGN, AZO, AVTR, BLL, BF.B, CPB, CBOE, CHMA, CNX, CFX, OFC, DAN, DDOG, EME, EXPE, EXPD, FLT, FCX, GRMN, IT, GDS, GMS, HAS, HPE, HST, INCY, LW, MRNS, TAP, NEBU, NTAP, NVRO, NTRS, NVR, ODFL, OKE, PAYX, PKI, PNW, POL, PUMP, QGEN, RRC, RJF, RETA, STX, SWKS, NOVA, SNDX, TECK, TDG, UAL, URI, UFPI, UHS, UROV, VTR, VC, WDC, WWE, ZGNX, AGLE, ARMK, ARNA, ANET, AUPH, AXSM, BKR, BLU, BDSI, BHVN, BWA, CHRW, COG, WHD, CCL, CLLS, CC, CR, CRWD, DRI, DVA, DISCK, EMN, ERJ, EFX, FFIV, FARM, FRT, GSM, GPC, GL, HSIC, JBHT, IEX, IRM, JBT, KIN, KURA, LNC, LYV, LKQ, MGTX, MGM, NWL, NLSN, NRG, OUT, PKG, PAYC, PRGO, PRVL, PHM, QRVO, RWT, REG, ROL, RCL, SMTC, SWAV, SSD, SOI, STE, SYF, TXT, TPTX, VNO, WAB, WRK, WYNN, AUY, ZION, AIR, ACRS, WMS, ALK, AAL, AIT, APTV, ARCH, ARWR, ASND, ATH, AAWW, HRB, BXC, MNRL, DOOO, CACI, KMX, CATY, CHRS, CTB, COTY, CRY, CBAY, XRAY, DVN, DRNA, DFS, DISCA, DXC, DT, DAVA, EPAM, EQH, ESPR, FG, FGEN, FISV, FOX, BEN, FI, G, GSKY, HOG, HBT, HSKA, HFC, HUBG, HBAN, IR, IDDA, XENT, IVZ, JNPR, KALV, KMT, KIM, LB, LAMR, LOGC, LPLA, MXIM, MLND, MLHR, NAV, NWSA, NCLH, PFG, PROS, PVH, QEP, PWR, RSG, RHI, SLB, SEE, WTTR, SLG, STOK, STNE, STRO, TW, UNM, VRT, WBC, WM, WAT, WTS, WY, XRX, ADS, ALTM, NLY, AIV, AVY, AVRO, AXGT, CNQ, CVE, CDEV, CMTL, CNDT, CFRX, CTRA, CUB, BOOM, DEI, EBAY, EIGR, ESI, EVR, RE, EVER, FPRX, GTX, GPRK, GDP, GTE, ICD, NTEC, IPGP, JBLU, KRNY, KOS, LHC, MEI, MR, MOG.A, NBR, NWS, NINE, PACD, PRSP, RBC, REZI, RYTM, SVRA, SPKE, SPR, SNDL, ZSAN,
For the details of ADAGE CAPITAL PARTNERS GP LLC's stock buys and sells, go to https://www.gurufocus.com/guru/adage+capital+partners+gp+llc/current-portfolio/portfolio
These are the top 5 holdings of ADAGE CAPITAL PARTNERS GP LLC- Microsoft Corp (MSFT) - 8,970,186 shares, 4.26% of the total portfolio. New Position
- Apple Inc (AAPL) - 4,897,399 shares, 3.75% of the total portfolio. New Position
- Amazon.com Inc (AMZN) - 508,683 shares, 2.98% of the total portfolio. New Position
- Facebook Inc (FB) - 2,942,435 shares, 1.48% of the total portfolio. New Position
- Alphabet Inc (GOOG) - 341,711 shares, 1.20% of the total portfolio. New Position
Adage Capital Partners Gp Llc initiated holding in Microsoft Corp. The purchase prices were between $135.42 and $188.7, with an estimated average price of $164.71. The stock is now traded at around $200.57. The impact to a portfolio due to this purchase was 4.26%. The holding were 8,970,186 shares as of .
New Purchase: Apple Inc (AAPL)Adage Capital Partners Gp Llc initiated holding in Apple Inc. The purchase prices were between $224.37 and $327.2, with an estimated average price of $295.01. The stock is now traded at around $358.87. The impact to a portfolio due to this purchase was 3.75%. The holding were 4,897,399 shares as of .
New Purchase: Amazon.com Inc (AMZN)Adage Capital Partners Gp Llc initiated holding in Amazon.com Inc. The purchase prices were between $1676.61 and $2170.22, with an estimated average price of $1936.38. The stock is now traded at around $2713.82. The impact to a portfolio due to this purchase was 2.98%. The holding were 508,683 shares as of .
New Purchase: Facebook Inc (FB)Adage Capital Partners Gp Llc initiated holding in Facebook Inc. The purchase prices were between $146.01 and $223.23, with an estimated average price of $196.62. The stock is now traded at around $239.22. The impact to a portfolio due to this purchase was 1.48%. The holding were 2,942,435 shares as of .
New Purchase: Alphabet Inc (GOOG)Adage Capital Partners Gp Llc initiated holding in Alphabet Inc. The purchase prices were between $1056.62 and $1526.69, with an estimated average price of $1361.82. The stock is now traded at around $1451.86. The impact to a portfolio due to this purchase was 1.2%. The holding were 341,711 shares as of .
New Purchase: Alphabet Inc (GOOGL)Adage Capital Partners Gp Llc initiated holding in Alphabet Inc. The purchase prices were between $1054.13 and $1524.87, with an estimated average price of $1359.46. The stock is now traded at around $1450.66. The impact to a portfolio due to this purchase was 1.15%. The holding were 328,107 shares as of .
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