HoldingsChannel.com
Marshall Wace North America L.P. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
BOSTON SCIENTIFC 8,435,415 -567,255 $362,553
     BSX8,435,415-567,255$362,553
ZOETIS INC 3,027,988 -751,782 $343,645
     ZTS3,027,988-751,782$343,645
FACEBOOK INC A 1,671,746 +1,424,922 $322,647
     FB1,671,746+1,424,922$322,647
FIDELITY NATIONA 2,515,607 +741,411 $308,615
     FIS2,515,607+741,411$308,615
AMAZON.COM INC 158,034 +8,292 $299,257
     AMZN158,034+8,292$299,257
BOEING CO THE 793,577 +413,478 $288,869
     BA793,577+413,478$288,869
DANAHER CORP 2,018,272 -97,166 $288,451
     DHR2,018,272-97,166$288,451
SEALED AIR CORP 6,380,988 +237,126 $272,979
     SEE6,380,988+237,126$272,979
MERCK & CO 3,018,581 +285,322 $253,108
     MRK3,018,581+285,322$253,108
ADOBE INC 827,114 +84,772 $243,710
     ADBE827,114+84,772$243,710
MICROSOFT CORP 1,796,863 +244,360 $240,708
     MSFT1,796,863+244,360$240,708
GILEAD SCIENCES 3,418,196 +2,559,972 $230,934
     GILD3,418,196+2,559,972$230,934
ALIBABA GRP ADR 1,337,515 +1,326,579 $226,642
     BABA1,337,515+1,326,579$226,642
BERRY GLOBAL GRO 4,301,974 +780,573 $226,241
     BERY4,301,974+780,573$226,241
US FOODS HOLDING 5,704,112 +268,974 $203,979
     USFD5,704,112+268,974$203,979
WALT DISNEY CO 1,419,786 +747,247 $198,261
     DIS1,419,786+747,247$198,261
IDEXX LABS 698,227 +294,186 $192,242
     IDXX698,227+294,186$192,242
QUEST DIAGNOSTIC 1,780,582 +448,332 $181,281
     DGX1,780,582+448,332$181,281
PTC INC 1,995,589 +530,204 $179,124
     PTC1,995,589+530,204$179,124
S&P GLOBAL INC 776,583 +22,464 $176,898
     SPGI776,583+22,464$176,898
ELECTRONIC ARTS 1,623,809 +360,208 $164,427
     EA1,623,809+360,208$164,427
VERTEX PHARM 884,990 +92,983 $162,289
     VRTX884,990+92,983$162,289
TELEFLEX INC 479,934 -14,848 $158,929
     TFX479,934-14,848$158,929
ABBOTT LABS 1,884,363 +1,884,363 $158,475
     ABT1,884,363+1,884,363$158,475
HUMANA INC 536,275 +528,637 $142,273
     HUM536,275+528,637$142,273
COOPER COS INC 420,179 +224,844 $141,554
     COO420,179+224,844$141,554
THERMO FISHER 474,946 +166,927 $139,482
     TMO474,946+166,927$139,482
GLOBAL PAYMENTS 860,808 +8,110 $137,841
     GPN860,808+8,110$137,841
CARLISLE COS INC 947,374 -280,517 $133,021
     CSL947,374-280,517$133,021
ALPHABET INC A 115,059 -81,797 $124,586
     GOOGL115,059-81,797$124,586
ASTRAZENECA ADR 3,013,649 +2,898,998 $124,403
     AZN3,013,649+2,898,998$124,403
BOOKING HOLDINGS 64,174 +52,887 $120,308
     BKNG64,174+52,887$120,308
AVERY DENNISON 1,031,090 +531,517 $119,277
     AVY1,031,090+531,517$119,277
MCDONALDS CORP 564,506 +240,056 $117,226
     MCD564,506+240,056$117,226
PENTAIR PLC 3,139,107 +3,042,541 $116,775
     PNR3,139,107+3,042,541$116,775
GODADDY INC A 1,661,055 -182,512 $116,521
     GDDY1,661,055-182,512$116,521
FISERV INC 1,228,786 -125,699 $112,016
     FISV1,228,786-125,699$112,016
SYNOPSYS INC 801,668 +255,451 $103,167
     SNPS801,668+255,451$103,167
MICRON TECH 2,621,007 +2,385,807 $101,145
     MU2,621,007+2,385,807$101,145
PAYPAL HOLDINGS 881,248 +167,556 $100,867
     PYPL881,248+167,556$100,867
ASCENDIS PHA ADR 873,645 -287,831 $100,600
     ASND873,645-287,831$100,600
UNIVERSAL HLTH B 756,805 +13,811 $98,679
     UHS756,805+13,811$98,679
INSULET CORP 732,796 +732,796 $87,481
     PODD732,796+732,796$87,481
INTUIT INC 332,109 -89,614 $86,791
     INTU332,109-89,614$86,791
NORFOLK SOUTHERN 421,884 +47,431 $84,095
     NSC421,884+47,431$84,095
AMICUS THERAPEUT 6,708,228 +278,209 $83,718
     FOLD6,708,228+278,209$83,718
COSTAR GROUP INC 150,349 -70,867 $83,301
     CSGP150,349-70,867$83,301
COCA COLA CO THE 1,598,775 +1,575,559 $81,410
     KO1,598,775+1,575,559$81,410
BERKSHIRE HATH B      $81,182
     BRK.B318,108+310,000$67,812
     BRK.A42+41$13,370
GW PHARM ADR 466,062 +149,163 $80,345
     GWPH466,062+149,163$80,345

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 06/30/2019: $16,111,118
At 03/31/2019: $14,132,992

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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