HoldingsChannel.com
TCW Group Inc. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
AMAZON COM INC 160,237 -5,067 $312,417
     AMZN160,237-5,067$312,417
VISA INC 1,801,625 -21,633 $290,278
     V1,801,625-21,633$290,278
ADOBE INC 868,276 -20,044 $276,320
     ADBE868,276-20,044$276,320
AMERICAN TOWER CORP NEW 1,195,406 -48,153 $260,299
     AMT1,195,406-48,153$260,299
SERVICENOW INC 870,245 -37,215 $249,395
     NOW870,245-37,215$249,395
ALPHABET INC 194,870 -3,918 $226,597
     GOOG194,870-3,918$226,597
FACEBOOK INC 1,237,857 -26,804 $206,475
     FB1,237,857-26,804$206,475
SALESFORCE COM INC 1,375,444 -35,755 $198,037
     CRM1,375,444-35,755$198,037
EQUINIX INC 273,969 -15,172 $171,113
     EQIX273,969-15,172$171,113
MASTERCARD INC 632,332 -1,642 $152,746
     MA632,332-1,642$152,746
NVIDIA CORP 557,829 -3,198 $147,044
     NVDA557,829-3,198$147,044
PAYPAL HLDGS INC 1,480,184 -19,262 $141,712
     PYPL1,480,184-19,262$141,712
ZOETIS INC 1,094,274 -14,063 $128,785
     ZTS1,094,274-14,063$128,785
SPLUNK INC 953,693 -2,318 $120,385
     SPLK953,693-2,318$120,385
TRANSUNION 1,735,089 -49,670 $114,828
     TRU1,735,089-49,670$114,828
COSTCO WHSL CORP NEW 389,460 -3,479 $111,047
     COST389,460-3,479$111,047
IHS MARKIT LTD 1,682,341 +42,080 $100,940
     INFO1,682,341+42,080$100,940
HOME DEPOT INC 518,690 -27,331 $96,844
     HD518,690-27,331$96,844
ASML HOLDING N V 362,853 -3,021 $94,937
     ASML362,853-3,021$94,937
ILLUMINA INC 343,722 -123 $93,878
     ILMN343,722-123$93,878
BOSTON SCIENTIFIC CORP 2,857,536 +1,006,014 $93,241
     BSX2,857,536+1,006,014$93,241
S&P GLOBAL INC 349,993 +4,063 $85,766
     SPGI349,993+4,063$85,766
WASTE CONNECTIONS INC 1,077,938 +43,344 $83,540
     WCN1,077,938+43,344$83,540
THE TRADE DESK INC 417,199 +38,492 $80,519
     TTD417,199+38,492$80,519
COMCAST CORP NEW 2,341,434 -106,893 $80,498
     CMCSA2,341,434-106,893$80,498
JPMORGAN CHASE & CO 883,258 -44,439 $79,520
     JPM883,258-44,439$79,520
XYLEM INC 1,213,891 -14,370 $79,061
     XYL1,213,891-14,370$79,061
INTERCONTINENTAL EXCHANGE IN (ICE) 956,250 +10,645 $77,217
     ICE956,250+10,645$77,217
CHUBB LIMITED 656,590 -5,805 $73,335
     CB656,590-5,805$73,335
GILEAD SCIENCES INC 949,186 -119,504 $70,961
     GILD949,186-119,504$70,961
ALIGN TECHNOLOGY INC 402,375 +20,718 $69,994
     ALGN402,375+20,718$69,994
AT&T INC 2,349,701 -190,679 $68,494
     T2,349,701-190,679$68,494
SCHWAB CHARLES CORP 1,999,463 -24,068 $67,222
     SCHW1,999,463-24,068$67,222
BIOMARIN PHARMACEUTICAL INC 738,377 -2,467 $62,393
     BMRN738,377-2,467$62,393
MICROSOFT CORP 386,397 -50,620 $60,939
     MSFT386,397-50,620$60,939
INTERNATIONAL BUSINESS MACHS 532,023 +213 $59,017
     IBM532,023+213$59,017
ULTA BEAUTY INC 329,711 -2,669 $57,931
     ULTA329,711-2,669$57,931
LENNAR CORP 1,490,826 +57,216 $56,949
     LEN1,490,826+57,216$56,949
AES CORP 4,173,665 -10,287 $56,762
     AES4,173,665-10,287$56,762
MOLINA HEALTHCARE INC 401,918 +976 $56,152
     MOH401,918+976$56,152
CENTENE CORP DEL 896,764 +222,711 $53,277
     CNC896,764+222,711$53,277
CHEVRON CORP NEW 715,809 +37,561 $51,867
     CVX715,809+37,561$51,867
CISCO SYS INC 1,297,684 -104,125 $51,012
     CSCO1,297,684-104,125$51,012
CITIGROUP INC 1,193,465 -29,768 $50,268
     C1,193,465-29,768$50,268
GENERAL ELECTRIC CO 6,285,716 +1,466,927 $49,909
     GE6,285,716+1,466,927$49,909
CORNING INC 2,424,944 -46,454 $49,808
     GLW2,424,944-46,454$49,808
MCKESSON CORP 360,989 -19,000 $48,827
     MCK360,989-19,000$48,827
PEPSICO INC 392,701 -12,496 $47,164
     PEP392,701-12,496$47,164
UNITED PARCEL SERVICE INC 504,317 +11,063 $47,113
     UPS504,317+11,063$47,113
MEDTRONIC PLC 505,713 +1,076 $45,605
     MDT505,713+1,076$45,605

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 03/31/2020: $7,231,803
At 12/31/2019: $9,029,848

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

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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