Holding Performance

1%-0% 2%-1% 3%-2% 4%-3% 5%-4% 6%-5%
Top 25 Holdings Portfolio Weight % Shares Owned Shares Change   Sector Mkt Cap (Mil) Total Ret YTD (Daily)  
Gilead Sciences Inc 3.22 5,413,300 370,300 healthcare 264.87 51.78
Netflix, Inc. 2.90 1,259,600 -243,800 consumer cyclical 238.58 158.72
Galaxy Entertainment Group Ltd. 2.53 49,909,000 0 consumer cyclical 208.31 --
Google, Inc. Class A 2.20 227,800 18,500 technology 180.88 28.44
SOFTBANK Corp 1.94 3,463,000 87,000 communication services 159.63 62.77
Hologic Inc 1.94 7,054,550 0 healthcare 159.43 6.05
Alexion Pharmaceuticals, Inc. 1.70 1,522,600 510,000 healthcare 140.29 6.71
Samsung Electronics Co Ltd 1.51 90,437 0 technology 124.12 -1.11
Thermo Fisher Scientific Inc 1.33 1,428,000 0 healthcare 109.23 36.30
Nielsen Holdings NV 1.28 2,951,750 828,556 industrials 105.73 16.35
Ryanair Holdings PLC ADR 1.15 2,274,700 0 industrials 95.04 37.66
Baidu, Inc. ADR 1.11 1,042,400 0 technology 91.42 0.20
Forest Laboratories, Inc. 1.11 2,400,000 0 healthcare 91.30 7.53
Texas Instruments, Inc. 1.10 2,555,000 0 technology 90.65 20.17
Sky Deutschland AG 1.09 16,303,088 379,141 consumer cyclical 89.87 --
PT AKR Corporindo Tbk 1.09 173,899,680 0 basic materials 89.48 --
Crown Castle International Corp 1.06 1,254,400 -903,722 communication services 87.36 6.33
Intuit, Inc. 1.05 1,320,000 650,000 technology 86.66 0.85
Daily Mail and General Trust PLC 1.05 8,020,821 739,400 consumer cyclical 86.46 --
Accenture PLC 1.04 1,130,000 400,000 technology 85.85 25.32
Amazon.com Inc 1.03 318,200 -91,800 consumer cyclical 84.80 6.68
Schlumberger NV 1.02 1,122,400 70,000 energy 84.06 12.17
News Corporation Class A 0.99 2,679,164 76,349 consumer cyclical 81.77 29.89
AIA Group Ltd. 0.99 18,542,200 -9,793,800 financial services 81.21 --
Allergan, Inc. 0.98 724,700 224,700 healthcare 80.90 7.43
YTD Return through 05-20-13| Portfolio Holdings as of 03-31-13