HoldingsChannel.com
Marshall Wace North America L.P. Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
ZOETIS INC 3,488,708 +29,067 $461,732
     ZTS3,488,708+29,067$461,732
BOEING CO THE 1,310,820 +237,655 $427,012
     BA1,310,820+237,655$427,012
BOSTON SCIENTIFC 7,389,897 -1,263,791 $334,171
     BSX7,389,897-1,263,791$334,171
ADOBE INC 988,246 +236,613 $325,933
     ADBE988,246+236,613$325,933
PFIZER INC 8,091,140 +3,525,078 $317,010
     PFE8,091,140+3,525,078$317,010
MICROSOFT CORP 1,896,189 -856,413 $299,029
     MSFT1,896,189-856,413$299,029
GODADDY INC A 4,382,590 +2,409,546 $297,666
     GDDY4,382,590+2,409,546$297,666
FIDELITY NATIONA 2,013,094 +105,709 $280,000
     FIS2,013,094+105,709$280,000
AMAZON.COM INC 141,791 +25,447 $262,008
     AMZN141,791+25,447$262,008
BERRY GLOBAL GRO 5,510,822 +1,076,252 $261,709
     BERY5,510,822+1,076,252$261,709
SEALED AIR CORP 6,562,867 +49,675 $261,399
     SEE6,562,867+49,675$261,399
COOPER COS INC 813,443 +292,238 $261,352
     COO813,443+292,238$261,352
HUMANA INC 686,640 -184,381 $251,668
     HUM686,640-184,381$251,668
GLOBAL PAYMENTS 1,368,928 +453,145 $249,911
     GPN1,368,928+453,145$249,911
THERMO FISHER 766,359 +40,811 $248,967
     TMO766,359+40,811$248,967
HCA HEALTHCARE I 1,649,326 +1,646,670 $243,786
     HCA1,649,326+1,646,670$243,786
QUEST DIAGNOSTIC 2,272,439 +216,327 $242,672
     DGX2,272,439+216,327$242,672
PTC INC 3,144,935 +169,735 $235,524
     PTC3,144,935+169,735$235,524
WALT DISNEY CO 1,593,779 +578,484 $230,507
     DIS1,593,779+578,484$230,507
APPLE INC 759,419 -574,008 $223,004
     AAPL759,419-574,008$223,004
ALIBABA GRP ADR 969,391 -372,629 $205,608
     BABA969,391-372,629$205,608
US FOODS HOLDING 4,678,978 -637,957 $196,001
     USFD4,678,978-637,957$196,001
FACEBOOK INC A 912,379 -125,662 $187,266
     FB912,379-125,662$187,266
CISCO SYSTEMS 3,875,098 +1,428,519 $185,849
     CSCO3,875,098+1,428,519$185,849
TELEFLEX INC 492,595 -39,254 $185,432
     TFX492,595-39,254$185,432
SS&C TECHNOLOGIE 2,998,144 +412,175 $184,085
     SSNC2,998,144+412,175$184,085
CIGNA CORP 894,988 +737,631 $183,014
     CI894,988+737,631$183,014
ABBVIE INC 2,039,761 +784,623 $180,601
     ABBV2,039,761+784,623$180,601
ELECTRONIC ARTS 1,642,066 +422,043 $176,540
     EA1,642,066+422,043$176,540
ALPHABET INC A 124,993 +54,500 $167,415
     GOOGL124,993+54,500$167,415
FISERV INC 1,396,963 -217,024 $161,531
     FISV1,396,963-217,024$161,531
IQVIA HOLDINGS I 1,028,474 +135,662 $158,910
     IQV1,028,474+135,662$158,910
S&P GLOBAL INC 541,761 -90,371 $147,926
     SPGI541,761-90,371$147,926
COSTCO WHOLESALE 494,205 +172,791 $145,257
     COST494,205+172,791$145,257
PENTAIR PLC 3,096,646 -453,909 $142,044
     PNR3,096,646-453,909$142,044
MERCK & CO 1,544,873 -355,757 $140,507
     MRK1,544,873-355,757$140,507
BROADCOM INC 426,971 +89,517 $134,930
     AVGO426,971+89,517$134,930
AVERY DENNISON 1,029,760 -480,282 $134,713
     AVY1,029,760-480,282$134,713
PAYPAL HOLDINGS 1,238,839 -8,928 $134,006
     PYPL1,238,839-8,928$134,006
VERTEX PHARM 589,318 -163,350 $129,031
     VRTX589,318-163,350$129,031
NORFOLK SOUTHERN 658,614 +215,479 $127,857
     NSC658,614+215,479$127,857
VARIAN MEDICAL S 874,525 +716,309 $124,191
     VAR874,525+716,309$124,191
RESTAURANT BRAND 1,889,326 +548,542 $120,484
     QSR1,889,326+548,542$120,484
AVANTOR INC 6,436,545 +1,165,338 $116,823
     AVTR6,436,545+1,165,338$116,823
KEYSIGHT TEC 1,086,625 +427,629 $111,522
     KEYS1,086,625+427,629$111,522
TAIWAN SEMIC ADR 1,888,481 +419,440 $109,720
     TSM1,888,481+419,440$109,720
DANAHER CORP 712,198 -750,152 $109,308
     DHR712,198-750,152$109,308
SYNOPSYS INC 772,636 +435,983 $107,551
     SNPS772,636+435,983$107,551
MICRON TECH 1,992,460 -1,368,074 $107,155
     MU1,992,460-1,368,074$107,155
ASTRAZENECA ADR 2,141,365 -1,270,311 $106,769
     AZN2,141,365-1,270,311$106,769

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 12/31/2019: $20,723,637
At 09/30/2019: $17,583,215

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

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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