
Entity | Amount | Change
06/30/2019 to 09/30/2019 |
Position Size ($ in 1000's) |
---|---|---|---|
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3,459,641 | +431,653 | $431,035 |
ZTS | 3,459,641 | +431,653 | $431,035 |
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1,073,165 | +279,588 | $408,306 |
BA | 1,073,165 | +279,588 | $408,306 |
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2,752,602 | +955,739 | $382,695 |
MSFT | 2,752,602 | +955,739 | $382,695 |
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8,653,688 | +218,273 | $352,118 |
BSX | 8,653,688 | +218,273 | $352,118 |
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1,333,427 | +990,550 | $298,646 |
AAPL | 1,333,427 | +990,550 | $298,646 |
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6,513,192 | +132,204 | $270,363 |
SEE | 6,513,192 | +132,204 | $270,363 |
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1,907,385 | -608,222 | $253,224 |
FIS | 1,907,385 | -608,222 | $253,224 |
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3,877,015 | +458,819 | $245,725 |
GILD | 3,877,015 | +458,819 | $245,725 |
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1,342,020 | +4,505 | $224,425 |
BABA | 1,342,020 | +4,505 | $224,425 |
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871,021 | +334,746 | $222,692 |
HUM | 871,021 | +334,746 | $222,692 |
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2,056,112 | +275,530 | $220,067 |
DGX | 2,056,112 | +275,530 | $220,067 |
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5,316,935 | -387,177 | $218,524 |
USFD | 5,316,935 | -387,177 | $218,524 |
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725,548 | +250,602 | $211,332 |
TMO | 725,548 | +250,602 | $211,332 |
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1,462,350 | -555,922 | $211,207 |
DHR | 1,462,350 | -555,922 | $211,207 |
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751,633 | -75,481 | $207,639 |
ADBE | 751,633 | -75,481 | $207,639 |
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2,975,200 | +979,611 | $202,849 |
PTC | 2,975,200 | +979,611 | $202,849 |
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116,344 | -41,690 | $201,962 |
AMZN | 116,344 | -41,690 | $201,962 |
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1,038,041 | -633,705 | $184,854 |
FB | 1,038,041 | -633,705 | $184,854 |
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531,849 | +51,915 | $180,695 |
TFX | 531,849 | +51,915 | $180,695 |
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4,434,570 | +132,596 | $174,145 |
BERY | 4,434,570 | +132,596 | $174,145 |
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1,510,042 | +478,952 | $171,495 |
AVY | 1,510,042 | +478,952 | $171,495 |
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1,613,987 | +385,201 | $167,193 |
FISV | 1,613,987 | +385,201 | $167,193 |
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4,566,062 | +4,452,420 | $164,059 |
PFE | 4,566,062 | +4,452,420 | $164,059 |
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1,900,630 | -1,117,951 | $159,995 |
MRK | 1,900,630 | -1,117,951 | $159,995 |
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632,132 | -144,451 | $154,861 |
SPGI | 632,132 | -144,451 | $154,861 |
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521,205 | +101,026 | $154,796 |
COO | 521,205 | +101,026 | $154,796 |
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3,411,676 | +398,027 | $152,059 |
AZN | 3,411,676 | +398,027 | $152,059 |
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915,783 | +54,975 | $145,610 |
GPN | 915,783 | +54,975 | $145,610 |
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3,360,534 | +739,527 | $144,000 |
MU | 3,360,534 | +739,527 | $144,000 |
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1,065,531 | +1,065,531 | $137,859 |
JNJ | 1,065,531 | +1,065,531 | $137,859 |
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3,550,555 | +411,448 | $134,211 |
PNR | 3,550,555 | +411,448 | $134,211 |
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892,812 | +434,438 | $133,367 |
IQV | 892,812 | +434,438 | $133,367 |
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2,585,969 | +2,585,969 | $133,358 |
SSNC | 2,585,969 | +2,585,969 | $133,358 |
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1,015,295 | -404,491 | $132,313 |
DIS | 1,015,295 | -404,491 | $132,313 |
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1,973,044 | +311,989 | $130,182 |
GDDY | 1,973,044 | +311,989 | $130,182 |
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1,247,767 | +366,519 | $129,257 |
PYPL | 1,247,767 | +366,519 | $129,257 |
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752,668 | -132,322 | $127,516 |
VRTX | 752,668 | -132,322 | $127,516 |
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606,453 | +233,829 | $126,529 |
LHX | 606,453 | +233,829 | $126,529 |
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565,861 | +1,355 | $121,497 |
MCD | 565,861 | +1,355 | $121,497 |
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2,446,579 | +1,489,726 | $120,885 |
CSCO | 2,446,579 | +1,489,726 | $120,885 |
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1,220,023 | -403,786 | $119,342 |
EA | 1,220,023 | -403,786 | $119,342 |
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992,437 | +626,875 | $117,385 |
AXP | 992,437 | +626,875 | $117,385 |
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728,625 | +367,943 | $109,337 |
VMW | 728,625 | +367,943 | $109,337 |
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6,444,663 | +6,031,231 | $109,173 |
PSTG | 6,444,663 | +6,031,231 | $109,173 |
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717,534 | -229,840 | $104,430 |
CSL | 717,534 | -229,840 | $104,430 |
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1,333,998 | +525,593 | $103,051 |
PGR | 1,333,998 | +525,593 | $103,051 |
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366,187 | -332,040 | $99,578 |
IDXX | 366,187 | -332,040 | $99,578 |
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719,388 | +564,298 | $98,751 |
ZBH | 719,388 | +564,298 | $98,751 |
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1,340,784 | +1,340,784 | $95,383 |
QSR | 1,340,784 | +1,340,784 | $95,383 |
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1,255,138 | +523,132 | $95,039 |
ABBV | 1,255,138 | +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.
![]() At 09/30/2019: $17,583,215 At 06/30/2019: $16,111,118 Combined Holding Report Includes:
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 |