HoldingsChannel.com
Marshall Wace North America L.P. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MICROSOFT CORP 2,339,474 +443,285 $368,960
     MSFT2,339,474+443,285$368,960
AMAZON.COM INC 179,860 +38,069 $350,676
     AMZN179,860+38,069$350,676
ZOETIS INC 2,303,134 -1,185,574 $271,054
     ZTS2,303,134-1,185,574$271,054
UNITEDHEALTH GRP 954,482 +954,482 $238,029
     UNH954,482+954,482$238,029
ADOBE INC 721,464 -266,782 $229,599
     ADBE721,464-266,782$229,599
ABBVIE INC 2,803,855 +764,094 $213,625
     ABBV2,803,855+764,094$213,625
MERCK & CO 2,774,232 +1,229,359 $213,449
     MRK2,774,232+1,229,359$213,449
FIDELITY NATIONA 1,719,497 -293,597 $209,160
     FIS1,719,497-293,597$209,160
APPLE INC 805,133 +45,714 $204,737
     AAPL805,133+45,714$204,737
JOHNSON&JOHNSON 1,527,994 +826,107 $200,365
     JNJ1,527,994+826,107$200,365
BOSTON SCIENTIFC 5,086,724 -2,303,173 $165,979
     BSX5,086,724-2,303,173$165,979
COOPER COS INC 552,267 -261,176 $152,244
     COO552,267-261,176$152,244
PFIZER INC 4,651,706 -3,439,434 $151,832
     PFE4,651,706-3,439,434$151,832
TELEFLEX INC 483,322 -9,273 $141,548
     TFX483,322-9,273$141,548
THERMO FISHER 480,372 -285,987 $136,233
     TMO480,372-285,987$136,233
NVIDIA CORP 486,146 +479,881 $128,150
     NVDA486,146+479,881$128,150
INSULET CORP 762,676 +402,130 $126,360
     PODD762,676+402,130$126,360
ACTIVISION BLIZZ 2,116,420 +1,075,290 $125,885
     ATVI2,116,420+1,075,290$125,885
NEXTERA ENERGY 514,071 +514,071 $123,697
     NEE514,071+514,071$123,697
HOME DEPOT INC 645,264 +442,977 $120,476
     HD645,264+442,977$120,476
SEALED AIR CORP 4,741,342 -1,821,525 $117,159
     SEE4,741,342-1,821,525$117,159
COSTCO WHOLESALE 399,030 -95,175 $113,777
     COST399,030-95,175$113,777
PROCTER & GAMBLE 1,023,488 +887,133 $112,584
     PG1,023,488+887,133$112,584
GODADDY INC A 1,945,635 -2,436,955 $111,115
     GDDY1,945,635-2,436,955$111,115
ALPHABET INC A 94,424 -30,569 $109,716
     GOOGL94,424-30,569$109,716
L3HARRIS TECHNOL 594,519 +240,794 $107,085
     LHX594,519+240,794$107,085
FISERV INC 1,095,021 -301,942 $104,015
     FISV1,095,021-301,942$104,015
IQVIA HOLDINGS I 951,710 -76,764 $102,651
     IQV951,710-76,764$102,651
BERRY GLOBAL GRO 3,010,509 -2,500,313 $101,483
     BERY3,010,509-2,500,313$101,483
COCA COLA CO THE 2,271,308 +2,270,204 $100,504
     KO2,271,308+2,270,204$100,504
AGILENT TECH INC 1,356,144 +147,562 $97,127
     A1,356,144+147,562$97,127
QUEST DIAGNOSTIC 1,208,657 -1,063,782 $97,055
     DGX1,208,657-1,063,782$97,055
ELECTRONIC ARTS 935,829 -706,237 $93,742
     EA935,829-706,237$93,742
INTEL CORP 1,708,504 +1,708,504 $92,465
     INTC1,708,504+1,708,504$92,465
SEATTLE GENETICS 788,652 +87,965 $90,995
     SGEN788,652+87,965$90,995
GRAPHIC PACKAGIN 7,359,854 +4,271,347 $89,791
     GPK7,359,854+4,271,347$89,791
GLOBAL PAYMENTS 610,209 -758,719 $88,010
     GPN610,209-758,719$88,010
BECTON DICKINSON 376,214 +55,346 $86,443
     BDX376,214+55,346$86,443
SS&C TECHNOLOGIE 1,918,086 -1,080,058 $84,051
     SSNC1,918,086-1,080,058$84,051
PAYPAL HOLDINGS 875,314 -363,525 $83,803
     PYPL875,314-363,525$83,803
CROWN HOLDINGS I 1,411,622 +691,705 $81,931
     CCK1,411,622+691,705$81,931
AVANTOR INC 6,459,676 +23,131 $80,682
     AVTR6,459,676+23,131$80,682
CVS HEALTH CORP 1,348,490 +1,070,425 $80,006
     CVS1,348,490+1,070,425$80,006
HOLOGIC INC 2,264,185 +255,211 $79,473
     HOLX2,264,185+255,211$79,473
NIKE INC CL B 946,598 -39,878 $78,321
     NKE946,598-39,878$78,321
RAYTHEON CO 593,461 +111,902 $77,832
     RTN593,461+111,902$77,832
RAYTHEON TECHNOL 822,511 +822,511 $77,587
     RTX822,511+822,511$77,587
LINDE PLC 443,107 +434,945 $77,300
     LIN443,107+434,945$77,300
VARIAN MEDICAL S 745,347 -129,178 $76,517
     VAR745,347-129,178$76,517
WELLS FARGO & CO 2,656,128 +2,656,128 $76,232
     WFC2,656,128+2,656,128$76,232

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 03/31/2020: $13,204,936
At 12/31/2019: $20,723,637

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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