HoldingsChannel.com
Marshall Wace North America L.P. Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
ZOETIS INC 3,459,641 +431,653 $431,035
     ZTS3,459,641+431,653$431,035
BOEING CO THE 1,073,165 +279,588 $408,306
     BA1,073,165+279,588$408,306
MICROSOFT CORP 2,752,602 +955,739 $382,695
     MSFT2,752,602+955,739$382,695
BOSTON SCIENTIFC 8,653,688 +218,273 $352,118
     BSX8,653,688+218,273$352,118
APPLE INC 1,333,427 +990,550 $298,646
     AAPL1,333,427+990,550$298,646
SEALED AIR CORP 6,513,192 +132,204 $270,363
     SEE6,513,192+132,204$270,363
FIDELITY NATIONA 1,907,385 -608,222 $253,224
     FIS1,907,385-608,222$253,224
GILEAD SCIENCES 3,877,015 +458,819 $245,725
     GILD3,877,015+458,819$245,725
ALIBABA GRP ADR 1,342,020 +4,505 $224,425
     BABA1,342,020+4,505$224,425
HUMANA INC 871,021 +334,746 $222,692
     HUM871,021+334,746$222,692
QUEST DIAGNOSTIC 2,056,112 +275,530 $220,067
     DGX2,056,112+275,530$220,067
US FOODS HOLDING 5,316,935 -387,177 $218,524
     USFD5,316,935-387,177$218,524
THERMO FISHER 725,548 +250,602 $211,332
     TMO725,548+250,602$211,332
DANAHER CORP 1,462,350 -555,922 $211,207
     DHR1,462,350-555,922$211,207
ADOBE INC 751,633 -75,481 $207,639
     ADBE751,633-75,481$207,639
PTC INC 2,975,200 +979,611 $202,849
     PTC2,975,200+979,611$202,849
AMAZON.COM INC 116,344 -41,690 $201,962
     AMZN116,344-41,690$201,962
FACEBOOK INC A 1,038,041 -633,705 $184,854
     FB1,038,041-633,705$184,854
TELEFLEX INC 531,849 +51,915 $180,695
     TFX531,849+51,915$180,695
BERRY GLOBAL GRO 4,434,570 +132,596 $174,145
     BERY4,434,570+132,596$174,145
AVERY DENNISON 1,510,042 +478,952 $171,495
     AVY1,510,042+478,952$171,495
FISERV INC 1,613,987 +385,201 $167,193
     FISV1,613,987+385,201$167,193
PFIZER INC 4,566,062 +4,452,420 $164,059
     PFE4,566,062+4,452,420$164,059
MERCK & CO 1,900,630 -1,117,951 $159,995
     MRK1,900,630-1,117,951$159,995
S&P GLOBAL INC 632,132 -144,451 $154,861
     SPGI632,132-144,451$154,861
COOPER COS INC 521,205 +101,026 $154,796
     COO521,205+101,026$154,796
ASTRAZENECA ADR 3,411,676 +398,027 $152,059
     AZN3,411,676+398,027$152,059
GLOBAL PAYMENTS 915,783 +54,975 $145,610
     GPN915,783+54,975$145,610
MICRON TECH 3,360,534 +739,527 $144,000
     MU3,360,534+739,527$144,000
JOHNSON&JOHNSON 1,065,531 +1,065,531 $137,859
     JNJ1,065,531+1,065,531$137,859
PENTAIR PLC 3,550,555 +411,448 $134,211
     PNR3,550,555+411,448$134,211
IQVIA HOLDINGS I 892,812 +434,438 $133,367
     IQV892,812+434,438$133,367
SS&C TECHNOLOGIE 2,585,969 +2,585,969 $133,358
     SSNC2,585,969+2,585,969$133,358
WALT DISNEY CO 1,015,295 -404,491 $132,313
     DIS1,015,295-404,491$132,313
GODADDY INC A 1,973,044 +311,989 $130,182
     GDDY1,973,044+311,989$130,182
PAYPAL HOLDINGS 1,247,767 +366,519 $129,257
     PYPL1,247,767+366,519$129,257
VERTEX PHARM 752,668 -132,322 $127,516
     VRTX752,668-132,322$127,516
L3HARRIS TECHNOL 606,453 +233,829 $126,529
     LHX606,453+233,829$126,529
MCDONALDS CORP 565,861 +1,355 $121,497
     MCD565,861+1,355$121,497
CISCO SYSTEMS 2,446,579 +1,489,726 $120,885
     CSCO2,446,579+1,489,726$120,885
ELECTRONIC ARTS 1,220,023 -403,786 $119,342
     EA1,220,023-403,786$119,342
AMERICAN EXPRESS 992,437 +626,875 $117,385
     AXP992,437+626,875$117,385
VMWARE INC CL A 728,625 +367,943 $109,337
     VMW728,625+367,943$109,337
PURE STORAGE A 6,444,663 +6,031,231 $109,173
     PSTG6,444,663+6,031,231$109,173
CARLISLE COS INC 717,534 -229,840 $104,430
     CSL717,534-229,840$104,430
PROGRESSIVE CORP 1,333,998 +525,593 $103,051
     PGR1,333,998+525,593$103,051
IDEXX LABS 366,187 -332,040 $99,578
     IDXX366,187-332,040$99,578
ZIMMER BIOMET HO 719,388 +564,298 $98,751
     ZBH719,388+564,298$98,751
RESTAURANT BRAND 1,340,784 +1,340,784 $95,383
     QSR1,340,784+1,340,784$95,383
ABBVIE INC 1,255,138 +523,132 $95,039
     ABBV1,255,138+523,132$95,039

See Full List: All Stocks Held By Marshall Wace North America L.P.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Marshall Wace North America L.P.

Size ($ in 1000's)
At 09/30/2019: $17,583,215
At 06/30/2019: $16,111,118

Combined Holding Report Includes:
Marshall Wace North America L.P.
MARSHALL WACE LLP
MARSHALL WACE ASIA Ltd

Marshall Wace North America L.P. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Marshall Wace North America L.P. 13F filings. Link to 13F filings: SEC filings

Marshall Wace North America L.P. Top Holdings 13F Filings | www.HoldingsChannel.com

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