HoldingsChannel.com
TCW Group Inc. Top Holdings
As of  12/31/2023, below is a summary of the TCW Group Inc. top holdings by largest position size, as per the latest 13f filing made by TCW Group Inc.. In the TCW Group Inc.-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by TCW Group Inc. in that top holding, then the share count change between reporting periods, and finally the TCW Group Inc. top holding position size for that row.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
MICROSOFT CORP 1,301,090 +74,166 $489,154
     MSFT1,301,090+74,166$489,154
NVIDIA CORPORATION 893,327 -93,077 $442,394
     NVDA893,327-93,077$442,394
SERVICENOW INC 459,198 -59,432 $324,407
     NOW459,198-59,432$324,407
ALPHABET INC 2,267,495 -98,808 $319,586
     GOOG2,267,495-98,808$319,586
AMAZON COM INC 2,091,900 -86,482 $318,056
     AMZN2,091,900-86,482$318,056
VISA INC 854,330 -83,059 $222,426
     V854,330-83,059$222,426
SALESFORCE INC 750,989 -60,498 $197,653
     CRM750,989-60,498$197,653
S&P GLOBAL INC 407,524 -66,567 $179,529
     SPGI407,524-66,567$179,529
CROWDSTRIKE HLDGS INC 670,466 -67,995 $171,186
     CRWD670,466-67,995$171,186
MASTERCARD INCORPORATED 371,060 -35,888 $158,259
     MA371,060-35,888$158,259
COSTCO WHSL CORP NEW 239,681 -46,517 $158,230
     COST239,681-46,517$158,230
PALO ALTO NETWORKS INC 514,943 +13,610 $151,850
     PANW514,943+13,610$151,850
ZOETIS INC 701,131 -84,942 $138,381
     ZTS701,131-84,942$138,381
ASML HOLDING N V 182,144 -14,270 $137,869
     ASML182,144-14,270$137,869
ADOBE INC 224,427 -22,556 $133,886
     ADBE224,427-22,556$133,886
BROADCOM INC 119,815 -2,535 $133,786
     AVGO119,815-2,535$133,786
UNITEDHEALTH GROUP INC 247,224 -3,192 $130,133
     UNH247,224-3,192$130,133
AMERICAN TOWER CORP NEW 598,284 -131,567 $129,167
     AMT598,284-131,567$129,167
THE TRADE DESK INC 1,509,381 -117,367 $108,625
     TTD1,509,381-117,367$108,625
HOME DEPOT INC 312,732 -26,320 $108,390
     HD312,732-26,320$108,390
APPLE INC 557,279 +233,131 $107,536
     AAPL557,279+233,131$107,536
DEXCOM INC 846,662 -99,171 $105,063
     DXCM846,662-99,171$105,063
BOSTON SCIENTIFIC CORP 1,777,978 -218,089 $102,750
     BSX1,777,978-218,089$102,750
WASTE CONNECTIONS INC 676,523 -40,937 $100,983
     WCN676,523-40,937$100,983
INTUITIVE SURGICAL INC 287,956 +6,848 $97,151
     ISRG287,956+6,848$97,151
GARTNER INC 199,062 +7,639 $89,800
     IT199,062+7,639$89,800
META PLATFORMS INC 241,764 +37,690 $85,728
     META241,764+37,690$85,728
NIKE INC 787,257 -99,742 $85,477
     NKE787,257-99,742$85,477
JPMORGAN CHASE & CO 490,714 +21,417 $83,480
     JPM490,714+21,417$83,480
LENNAR CORP 554,166 -33,106 $82,593
     LEN554,166-33,106$82,593
ULTA BEAUTY INC 158,239 -27,393 $77,533
     ULTA158,239-27,393$77,533
SCHWAB CHARLES CORP 1,113,213 -117,716 $76,606
     SCHW1,113,213-117,716$76,606
SNOWFLAKE INC 380,356 -32,913 $75,702
     SNOW380,356-32,913$75,702
GENERAL ELECTRIC CO 571,466 +54,601 $72,999
     GE571,466+54,601$72,999
INTERCONTINENTAL EXCHANGE IN (ICE) 537,260 +3,068 $69,002
     ICE537,260+3,068$69,002
FISERV INC 517,895 +517,895 $68,802
     FI517,895+517,895$68,802
COMCAST CORP NEW 1,535,858 +38,031 $67,365
     CMCSA1,535,858+38,031$67,365
AMERIPRISE FINL INC 171,850 -5,572 $65,276
     AMP171,850-5,572$65,276
MCKESSON CORP 139,562 -2,202 $64,603
     MCK139,562-2,202$64,603
EXXON MOBIL CORP 599,084 +156,450 $59,921
     XOM599,084+156,450$59,921
PEPSICO INC 343,999 +1,102 $58,415
     PEP343,999+1,102$58,415
DARDEN RESTAURANTS INC 354,073 -22,294 $58,174
     DRI354,073-22,294$58,174
SPDR S&P 500 ETF TR (SPY) 122,368 -1,183 $58,163
     SPY122,368-1,183$58,163
INTERNATIONAL BUSINESS MACHS 340,670 +17,983 $55,719
     IBM340,670+17,983$55,719
ALPHABET INC 394,720 +97,145 $55,189
     GOOGL394,720+97,145$55,189
BAKER HUGHES COMPANY 1,607,965 -1 $54,961
     BKR1,607,965-1$54,961
ABBVIE INC 340,671 +31,748 $52,788
     ABBV340,671+31,748$52,788
UNITED PARCEL SERVICE INC 325,350 -10,160 $51,156
     UPS325,350-10,160$51,156
ARISTA NETWORKS INC 215,343 -14,385 $50,721
     ANET215,343-14,385$50,721
AMGEN INC 174,891 +35,040 $50,376
     AMGN174,891+35,040$50,376

See Full List: All Stocks Held By TCW Group Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By TCW Group Inc.

Size ($ in 1000's)
At 12/31/2023: $8,974,016
At 09/30/2023: $7,960,452

Combined Holding Report Includes:
TCW GROUP INC
TCW INVESTMENT MANAGEMENT Co LLC
TCW ASSET MANAGEMENT CO LLC
ALPS ADVISORS INC
Metropolitan West Asset Management LLC
SEI INVESTMENTS MANAGEMENT CORP
Carlyle Group Inc.
Sepulveda Management LLC
Cornerstone Advisors Inc.
TCW SPECIAL SITUATIONS LLC
GuideStone Capital Management LLC

TCW Group Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from TCW Group Inc. 13F filings. Link to 13F filings: SEC filings

TCW Group Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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