HoldingsChannel.com
C WorldWide Group Holding A S Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
VISA INC 6,750,142 -851,428 $1,171,487
     V6,750,142-851,428$1,171,487
THERMO FISHER SCIENTIFIC INC 2,147,387 -72,916 $630,645
     TMO2,147,387-72,916$630,645
ECOLAB INC 3,143,953 -223,957 $620,742
     ECL3,143,953-223,957$620,742
HOME DEPOT INC 2,906,471 -97,684 $604,459
     HD2,906,471-97,684$604,459
AMAZON INC 291,859 -11,652 $552,673
     AMZN291,859-11,652$552,673
ALPHABET INC 493,666 +14,022 $533,609
     GOOG493,666+14,022$533,609
MICROSOFT CORP 3,957,837 -107,683 $530,192
     MSFT3,957,837-107,683$530,192
AMERICAN TOWER CORP NEW 2,015,158 -90,397 $411,999
     AMT2,015,158-90,397$411,999
PROCTER AND GAMBLE CO 3,646,634 -102,008 $399,853
     PG3,646,634-102,008$399,853
COCA COLA CO 7,771,552 -206,703 $395,728
     KO7,771,552-206,703$395,728
FIRST REP BK SAN FRANCISCO C 3,046,460 -72,678 $297,486
     FRC3,046,460-72,678$297,486
EXXON MOBIL CORP 3,870,233 -350,876 $296,576
     XOM3,870,233-350,876$296,576
WELLS FARGO CO NEW 5,677,141 -173,216 $268,642
     WFC5,677,141-173,216$268,642
HDFC BANK LTD 1,575,066 -108,286 $204,822
     HDB1,575,066-108,286$204,822
MSCI INC 764,587 +764,587 $182,576
     MSCI764,587+764,587$182,576
ALIBABA GROUP HLDG LTD 866,136 -9,651 $146,767
     BABA866,136-9,651$146,767
ICICI BK LTD 5,294,459 -64,972 $66,657
     IBN5,294,459-64,972$66,657
US BANCORP DEL 724,850 UNCH $37,982
     USB724,850UNCH$37,982
MONDELEZ INTL INC 645,526 -6,518 $34,793
     MDLZ645,526-6,518$34,793
ANTHEM INC 121,080 +112,985 $34,170
     ANTM121,080+112,985$34,170
STARBUCKS CORP 360,615 -386,284 $30,230
     SBUX360,615-386,284$30,230
BAIDU INC 243,971 -3,610 $28,632
     BIDU243,971-3,610$28,632
WEYERHAEUSER CO 1,076,306 UNCH $28,350
     WY1,076,306UNCH$28,350
CVS HEALTH CORP 516,015 -19,567 $28,118
     CVS516,015-19,567$28,118
EDWARDS LIFESCIENCES CORP 120,943 +75,000 $22,343
     EW120,943+75,000$22,343
MERCK & CO INC 264,955 -65,000 $22,216
     MRK264,955-65,000$22,216
INTUITIVE SURGICAL INC 41,937 +28,800 $21,998
     ISRG41,937+28,800$21,998
EXACT SCIENCES CORP 178,932 +120,000 $21,121
     EXAS178,932+120,000$21,121
ILLUMINA INC 54,505 +40,000 $20,066
     ILMN54,505+40,000$20,066
DEX INC 121,949 +95,000 $18,273
     DXCM121,949+95,000$18,273
INSULET CORP 152,672 +100,000 $18,226
     PODD152,672+100,000$18,226
SAREPTA THERAPEUTICS INC 115,329 +90,000 $17,524
     SRPT115,329+90,000$17,524
CENTENE CORP DEL 317,306 +130,000 $16,640
     CNC317,306+130,000$16,640
GLAUKOS CORP 209,265 +165,000 $15,779
     GKOS209,265+165,000$15,779
TELADOC HEALTH INC 234,834 +130,000 $15,595
     TDOC234,834+130,000$15,595
CARA THERAPEUTICS INC 703,460 +560,000 $15,124
     CARA703,460+560,000$15,124
COHERUS BIOSCIENCES INC 678,464 +480,000 $14,994
     CHRS678,464+480,000$14,994
TELEFLEX INC 45,000 +45,000 $14,902
     TFX45,000+45,000$14,902
AMARIN CORP PLC 761,329 UNCH $14,762
     AMRN761,329UNCH$14,762
HUMANA INC 55,000 +55,000 $14,592
     HUM55,000+55,000$14,592
BIOMARIN PHARMACEUTICAL INC 163,851 +95,000 $14,034
     BMRN163,851+95,000$14,034
BIOHAVEN PHARMACTL HLDG CO L 311,751 -70,000 $13,652
     BHVN311,751-70,000$13,652
AERIE PHARMACEUTICALS INC 456,142 +320,000 $13,479
     AERI456,142+320,000$13,479
LHC GROUP INC 110,657 +65,000 $13,232
     LHCG110,657+65,000$13,232
NOVOCURE LTD 208,059 +100,000 $13,156
     NVCR208,059+100,000$13,156
STEMLINE THERAPEUTICS INC 858,082 +500,000 $13,146
     STML858,082+500,000$13,146
HERON THERAPEUTICS INC 702,069 +450,000 $13,051
     HRTX702,069+450,000$13,051
VERTEX PHARMACEUTICALS INC 68,557 UNCH $12,572
     VRTX68,557UNCH$12,572
ACCELERATE DIAGNOSTICS INC 524,683 +410,000 $12,005
     AXDX524,683+410,000$12,005
HORIZON PHARMA PLC 491,544 +300,000 $11,827
     HZNP491,544+300,000$11,827

See Full List: All Stocks Held By C WorldWide Group Holding A S
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By C WorldWide Group Holding A S

Size ($ in 1000's)
At 06/30/2019: $8,044,602
At 03/31/2019: $7,880,866

Combined Holding Report Includes:
C WorldWide Group Holding A S
C WorldWide Fund Management A S
C WorldWide Asset Management Fondsmaeglerselskab A S

C WorldWide Group Holding A S holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from C WorldWide Group Holding A S 13F filings. Link to 13F filings: SEC filings

C WorldWide Group Holding A S Top Holdings 13F Filings | www.HoldingsChannel.com

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