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
FWONK icon
601
Liberty Media Series C
FWONK
$24.7B
$3.36M 0.01%
67,514
-44,826
-40% -$2.23M
CPA icon
602
Copa Holdings
CPA
$4.73B
$3.35M 0.01%
41,111
+37,782
+1,135% +$3.07M
BILI icon
603
Bilibili
BILI
$10.2B
$3.33M 0.01%
50,284
+18,226
+57% +$1.21M
DY icon
604
Dycom Industries
DY
$7.51B
$3.31M 0.01%
46,398
-1,137
-2% -$81K
RAPT icon
605
RAPT Therapeutics
RAPT
$234M
$3.28M 0.01%
13,202
-5,685
-30% -$1.41M
PTR
606
DELISTED
PETROCHINA COMPANY LIMITED ADS (REP 100 H SHARES)
PTR
$3.26M 0.01%
69,688
-84,032
-55% -$3.93M
GOGL
607
DELISTED
Golden Ocean Group
GOGL
$3.23M 0.01%
299,975
+273,465
+1,032% +$2.95M
TGH
608
DELISTED
Textainer Group Holdings limited
TGH
$3.23M 0.01%
92,455
+21,773
+31% +$760K
MCK icon
609
McKesson
MCK
$87.8B
$3.22M 0.01%
16,157
-304,167
-95% -$60.6M
PRTY
610
DELISTED
Party City Holdco Inc.
PRTY
$3.22M 0.01%
453,566
+329,102
+264% +$2.34M
BYRN icon
611
Byrna Technologies
BYRN
$471M
$3.22M 0.01%
+147,027
New +$3.22M
NSC icon
612
Norfolk Southern
NSC
$61.1B
$3.21M 0.01%
13,420
-81,552
-86% -$19.5M
AZTA icon
613
Azenta
AZTA
$1.34B
$3.19M 0.01%
31,213
+19,391
+164% +$1.98M
EXEL icon
614
Exelixis
EXEL
$10.1B
$3.18M 0.01%
+150,480
New +$3.18M
NVSA
615
DELISTED
New Vista Acquisition Corp Class A Ordinary Shares
NVSA
$3.17M 0.01%
324,999
ARGX icon
616
argenx
ARGX
$46.7B
$3.16M 0.01%
+10,473
New +$3.16M
DISH
617
DELISTED
DISH Network Corp.
DISH
$3.16M 0.01%
72,694
-45,645
-39% -$1.98M
YUM icon
618
Yum! Brands
YUM
$40.5B
$3.16M 0.01%
+25,802
New +$3.16M
CPNG icon
619
Coupang
CPNG
$58.6B
$3.15M 0.01%
+113,057
New +$3.15M
CE icon
620
Celanese
CE
$4.84B
$3.14M 0.01%
+20,826
New +$3.14M
PRAX icon
621
Praxis Precision Medicines
PRAX
$847M
$3.12M 0.01%
11,233
+1,907
+20% +$529K
GT icon
622
Goodyear
GT
$2.45B
$3.11M 0.01%
175,685
+37,028
+27% +$655K
NGMS
623
DELISTED
NeoGames S.A. Ordinary Shares
NGMS
$3.11M 0.01%
84,582
+78,591
+1,312% +$2.89M
NUE icon
624
Nucor
NUE
$32.6B
$3.11M 0.01%
31,526
+17,248
+121% +$1.7M
RYAN icon
625
Ryan Specialty Holdings
RYAN
$6.53B
$3.09M 0.01%
+91,091
New +$3.09M