MWNA

Marshall Wace North America Portfolio holdings

AUM $23.3B
1-Year Return 46.22%
This Quarter Return
+0.95%
1 Year Return
+46.22%
3 Year Return
+108.24%
5 Year Return
10 Year Return
AUM
$23.3B
AUM Growth
-$424M
Cap. Flow
-$509M
Cap. Flow %
-2.18%
Top 10 Hldgs %
23.61%
Holding
1,876
New
478
Increased
362
Reduced
406
Closed
487

Top Buys

1
UBER icon
Uber
UBER
+$238M
2
CSCO icon
Cisco
CSCO
+$206M
3
PFE icon
Pfizer
PFE
+$182M
4
NFLX icon
Netflix
NFLX
+$168M
5
LW icon
Lamb Weston
LW
+$156M

Sector Composition

1 Technology 22.2%
2 Healthcare 21.01%
3 Communication Services 13.03%
4 Consumer Discretionary 11.91%
5 Financials 9.42%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
LSI
501
DELISTED
Life Storage, Inc.
LSI
$5.05M 0.02%
+44,047
New +$5.05M
WFG icon
502
West Fraser Timber
WFG
$5.83B
$5.03M 0.02%
+59,750
New +$5.03M
SWKS icon
503
Skyworks Solutions
SWKS
$10.9B
$5.01M 0.02%
30,419
-126,996
-81% -$20.9M
SSSS icon
504
SuRo Capital
SSSS
$210M
$4.99M 0.02%
386,728
-155,401
-29% -$2.01M
TWKS
505
DELISTED
Thoughtworks Holding, Inc. Common Stock
TWKS
$4.97M 0.02%
+173,013
New +$4.97M
CI icon
506
Cigna
CI
$80.7B
$4.96M 0.02%
24,780
-62,894
-72% -$12.6M
MBAC
507
DELISTED
M3-Brigade Acquisition II Corp.
MBAC
$4.96M 0.02%
499,998
SOND icon
508
Sonder
SOND
$21.4M
$4.94M 0.02%
25,000
DXLG icon
509
Destination XL Group
DXLG
$67.9M
$4.94M 0.02%
+806,963
New +$4.94M
FN icon
510
Fabrinet
FN
$13.1B
$4.93M 0.02%
+48,057
New +$4.93M
ROK icon
511
Rockwell Automation
ROK
$38.1B
$4.93M 0.02%
+16,759
New +$4.93M
CX icon
512
Cemex
CX
$13.3B
$4.93M 0.02%
686,843
-165,054
-19% -$1.18M
DASH icon
513
DoorDash
DASH
$109B
$4.93M 0.02%
23,911
-462,594
-95% -$95.3M
BCE icon
514
BCE
BCE
$22.5B
$4.9M 0.02%
97,740
-712,296
-88% -$35.7M
LGAC
515
DELISTED
Lazard Growth Acquisition Corp. I Ordinary Shares
LGAC
$4.87M 0.02%
500,000
AAQC
516
DELISTED
Accelerate Acquisition Corp.
AAQC
$4.87M 0.02%
499,998
PDOT
517
DELISTED
Peridot Acquisition Corp. II
PDOT
$4.86M 0.02%
500,000
ELV icon
518
Elevance Health
ELV
$69.4B
$4.85M 0.02%
13,003
-421,333
-97% -$157M
DFS
519
DELISTED
Discover Financial Services
DFS
$4.83M 0.02%
+39,296
New +$4.83M
ECL icon
520
Ecolab
ECL
$76.3B
$4.7M 0.02%
22,519
-190,112
-89% -$39.7M
EA icon
521
Electronic Arts
EA
$42.4B
$4.69M 0.02%
32,996
+22,597
+217% +$3.21M
TNL icon
522
Travel + Leisure Co
TNL
$4B
$4.68M 0.02%
+85,822
New +$4.68M
UBSI icon
523
United Bankshares
UBSI
$5.38B
$4.66M 0.02%
128,144
+110,838
+640% +$4.03M
CAJ
524
DELISTED
Canon, Inc.
CAJ
$4.63M 0.02%
+189,815
New +$4.63M
TCRR
525
DELISTED
TCR2 Therapeutics Inc. Common Stock
TCRR
$4.63M 0.02%
+543,582
New +$4.63M