HoldingsChannel.com
TCW Group Inc. Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
VISA INC 1,865,235 -86,417 $320,838
     V1,865,235-86,417$320,838
AMAZON COM INC 174,845 -3,684 $303,516
     AMZN174,845-3,684$303,516
AMERICAN TOWER CORP NEW 1,299,394 -36,393 $287,335
     AMT1,299,394-36,393$287,335
ADOBE INC 921,929 -37,111 $254,682
     ADBE921,929-37,111$254,682
ALPHABET INC 203,460 -1,917 $248,018
     GOOG203,460-1,917$248,018
SERVICENOW INC 947,206 -46,427 $240,448
     NOW947,206-46,427$240,448
FACEBOOK INC 1,340,628 -27,564 $238,739
     FB1,340,628-27,564$238,739
SALESFORCE COM INC 1,476,886 +6,151 $219,229
     CRM1,476,886+6,151$219,229
MASTERCARD INC 659,310 -31,269 $179,049
     MA659,310-31,269$179,049
EQUINIX INC 307,377 -28,406 $177,295
     EQIX307,377-28,406$177,295
PAYPAL HLDGS INC 1,535,144 -17,148 $159,026
     PYPL1,535,144-17,148$159,026
TRANSUNION 1,769,375 -13,828 $143,514
     TRU1,769,375-13,828$143,514
ZOETIS INC 1,129,355 -15,564 $140,706
     ZTS1,129,355-15,564$140,706
HOME DEPOT INC 598,703 -9,749 $138,911
     HD598,703-9,749$138,911
JPMORGAN CHASE & CO 1,063,093 -119,224 $125,116
     JPM1,063,093-119,224$125,116
COSTCO WHSL CORP NEW 427,573 -5,726 $123,188
     COST427,573-5,726$123,188
COMCAST CORP NEW 2,624,206 -176,062 $118,299
     CMCSA2,624,206-176,062$118,299
SPLUNK INC 1,002,890 -137,215 $118,201
     SPLK1,002,890-137,215$118,201
CHUBB LIMITED 722,258 -49,091 $116,601
     CB722,258-49,091$116,601
CYPRESS SEMICONDUCTOR CORP 4,919,373 -1,233,527 $114,818
     CY4,919,373-1,233,527$114,818
IHS MARKIT LTD 1,631,860 +13,626 $109,138
     INFO1,631,860+13,626$109,138
ILLUMINA INC 344,166 -54,429 $104,702
     ILMN344,166-54,429$104,702
NVIDIA CORP 588,967 -50,366 $102,522
     NVDA588,967-50,366$102,522
ASML HOLDING N V 409,050 +1,181 $101,616
     ASML409,050+1,181$101,616
XYLEM INC 1,275,066 +128,542 $101,520
     XYL1,275,066+128,542$101,520
INTERCONTINENTAL EXCHANGE IN (ICE) 1,059,023 -272,439 $97,716
     ICE1,059,023-272,439$97,716
WASTE CONNECTIONS INC 1,052,641 -26,555 $96,843
     WCN1,052,641-26,555$96,843
CITIGROUP INC 1,358,426 -219,542 $93,840
     C1,358,426-219,542$93,840
AT&T INC 2,463,934 -174,929 $93,235
     T2,463,934-174,929$93,235
CISCO SYS INC 1,854,634 -356,898 $91,637
     CSCO1,854,634-356,898$91,637
LENNAR CORP 1,628,122 -266,981 $90,931
     LEN1,628,122-214,720$90,931
CHEVRON CORP NEW 757,280 -113,346 $89,813
     CVX757,280-113,346$89,813
THE CHARLES SCHWAB CORPORATI 2,079,728 -18,503 $86,996
     SCHW2,079,728-18,503$86,996
S&P GLOBAL INC 351,656 -5,316 $86,149
     SPGI351,656-5,316$86,149
MONSTER BEVERAGE CORP NEW 1,474,461 -118,013 $85,608
     MNST1,474,461-118,013$85,608
ULTA BEAUTY INC 338,610 +9,172 $84,872
     ULTA338,610+9,172$84,872
JOHNSON CTLS INTL PLC 1,854,473 -255,752 $81,393
     JCI1,854,473-255,752$81,393
CORNING INC 2,766,858 -281,664 $78,911
     GLW2,766,858-281,664$78,911
INTERNATIONAL BUSINESS MACHS 523,534 +24,819 $76,132
     IBM523,534+24,819$76,132
AES CORP 4,564,894 -477,538 $74,590
     AES4,564,894-477,538$74,590
GILEAD SCIENCES INC 1,159,061 -144,140 $73,461
     GILD1,159,061-144,140$73,461
MICROSOFT CORP 516,431 -46,747 $71,800
     MSFT516,431-46,747$71,800
ALIGN TECHNOLOGY INC 392,223 -3,319 $70,961
     ALGN392,223-3,319$70,961
METLIFE INC 1,416,563 -6,496 $66,805
     MET1,416,563-6,496$66,805
UNITED PARCEL SERVICE INC 557,145 -44,236 $66,757
     UPS557,145-44,236$66,757
PEPSICO INC 481,050 -115,775 $65,952
     PEP481,050-115,775$65,952
BAKER HUGHES A GE CO 2,671,482 +2,671,482 $61,978
     BKR2,671,482+2,671,482$61,978
AMERICAN INTL GROUP INC 1,096,800 +89,673 $61,093
     AIG1,096,800+89,673$61,093
TEXTRON INC 1,192,657 -297,923 $58,392
     TXT1,192,657-297,923$58,392
MEDTRONIC PLC 534,213 -104,042 $58,026
     MDT534,213-104,042$58,026

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 09/30/2019: $8,777,314
At 06/30/2019: $9,403,891

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 L.P.
Sepulveda Management LLC
Cornerstone Advisors Inc.
TCW SPECIAL SITUATIONS 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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