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
BAH icon
651
Booz Allen Hamilton
BAH
$12.6B
$2.75M 0.01%
+34,678
New +$2.75M
WMT icon
652
Walmart
WMT
$801B
$2.74M 0.01%
58,980
-646,995
-92% -$30.1M
SSYS icon
653
Stratasys
SSYS
$834M
$2.73M 0.01%
126,802
-4,863
-4% -$105K
QLYS icon
654
Qualys
QLYS
$4.75B
$2.69M 0.01%
24,172
+11,496
+91% +$1.28M
FULC icon
655
Fulcrum Therapeutics
FULC
$378M
$2.68M 0.01%
+95,104
New +$2.68M
SEMR icon
656
Semrush
SEMR
$1.1B
$2.65M 0.01%
+114,813
New +$2.65M
MNST icon
657
Monster Beverage
MNST
$61.3B
$2.65M 0.01%
+59,582
New +$2.65M
SCVL icon
658
Shoe Carnival
SCVL
$653M
$2.64M 0.01%
81,546
+150
+0.2% +$4.86K
CTRN icon
659
Citi Trends
CTRN
$286M
$2.58M 0.01%
35,418
+10,855
+44% +$792K
DTM icon
660
DT Midstream
DTM
$10.9B
$2.58M 0.01%
+55,712
New +$2.58M
AAL icon
661
American Airlines Group
AAL
$8.46B
$2.57M 0.01%
+125,401
New +$2.57M
TLYS icon
662
Tilly's
TLYS
$60M
$2.57M 0.01%
183,662
+122,835
+202% +$1.72M
BOAC
663
DELISTED
Bluescape Opportunities Acquisition Corp.
BOAC
$2.56M 0.01%
261,191
STER
664
DELISTED
Sterling Check Corp. Common Stock
STER
$2.55M 0.01%
+98,088
New +$2.55M
AIG icon
665
American International
AIG
$43.2B
$2.54M 0.01%
46,243
-122,953
-73% -$6.75M
QSR icon
666
Restaurant Brands International
QSR
$20.3B
$2.53M 0.01%
41,254
-19,737
-32% -$1.21M
PAE
667
DELISTED
PAE Incorporated Class A Common Stock
PAE
$2.52M 0.01%
421,488
+375,010
+807% +$2.24M
AL icon
668
Air Lease Corp
AL
$7.11B
$2.49M 0.01%
+63,172
New +$2.49M
FRSG
669
DELISTED
First Reserve Sustainable Growth Corp. Class A Common Stock
FRSG
$2.48M 0.01%
250,000
PRTA icon
670
Prothena Corp
PRTA
$447M
$2.47M 0.01%
+34,755
New +$2.47M
RELX icon
671
RELX
RELX
$82.4B
$2.47M 0.01%
85,555
-62,722
-42% -$1.81M
MTUS icon
672
Metallus
MTUS
$695M
$2.44M 0.01%
186,188
+95,362
+105% +$1.25M
COCH icon
673
Envoy Medical
COCH
$27.3M
$2.43M 0.01%
249,999
RELY icon
674
Remitly
RELY
$3.89B
$2.42M 0.01%
+65,843
New +$2.42M
NVAX icon
675
Novavax
NVAX
$1.29B
$2.41M 0.01%
11,613
-6,409
-36% -$1.33M