Instuitional Investor - New Mountain Vantage Advisers, L.l.c.

Fund Profile
Filing Period:
Fund Name: New Mountain Vantage Advisers, L.l.c.
Portfolio Value $4,330,244,000
Fund Holdings Sector Distribution
Top 13F Holdings
Filing Period:
No. Security Ticker Shares Value % Port
1. SGFY 139,614,806 $1,926,684,000 44.49%
2.
R1 Rcm Inc
94,373,743 $1,763,452,000 40.72%
3. AVTR 14,000,000 $435,400,000 10.05%
4. ALIT 30,327,223 $204,708,000 4.72%
5. WTW 0 $0 0%