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Marshall Wace

Marshall Wace Portfolio holdings

AUM $100B
1-Year Est. Return 35.1%
This Fund
S&P 500
This Quarter Est. Return
+7.05%
1 Year Est. Return
+35.1%
3 Year Est. Return
+111.04%
5 Year Est. Return
+146.93%
10 Year Est. Return
+631.22%
AUM
$2.07B
AUM Growth
-$13.1B
Cap. Flow
-$13.7B
Cap. Flow %
-660.6%
Top 10 Hldgs %
38.4%
Holding
1,012
New
63
Increased
47
Reduced
173
Closed
720

Sector Composition

Rank Sector Weight
1 Healthcare 21.04%
2 Communication Services 14.01%
3 Consumer Staples 10.76%
4 Consumer Discretionary 9.34%
5 Technology 9.18%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
SHW icon
251
Sherwin-Williams
SHW
$86B
$451K 0.02%
4,362
-806,991
-99% -$81.3M
BLUE
252
DELISTED
bluebird bio
BLUE
$448K 0.02%
+380
New +$388K
CRTO icon
253
Criteo S.A. Ordinary Shares
CRTO
$1.07B
$448K 0.02%
8,967
FDC
254
DELISTED
First Data Corporation
FDC
$429K 0.02%
26,804
-182,205
-87% -$2.86M
SSD icon
255
Simpson Manufacturing
SSD
$7.91B
$426K 0.02%
+9,914
New +$430K
UNH icon
256
UnitedHealth
UNH
$377B
$422K 0.02%
2,574
-719,230
-100% -$118M
LLL
257
DELISTED
L3 Technologies, Inc.
LLL
$409K 0.02%
+2,478
New +$401K
FCN icon
258
FTI Consulting
FCN
$4.37B
$406K 0.02%
9,910
-288,616
-97% -$12M
MANH icon
259
Manhattan Associates
MANH
$10.9B
$402K 0.02%
7,729
-819,575
-99% -$41.3M
NNI icon
260
Nelnet
NNI
$4.97B
$376K 0.02%
+8,556
New +$409K
DLTR icon
261
Dollar Tree
DLTR
$24.9B
$367K 0.02%
4,709
-466,054
-99% -$35.8M
PTEN icon
262
Patterson-UTI
PTEN
$3.9B
$359K 0.02%
14,943
-456,801
-97% -$12.3M
BDX icon
263
Becton Dickinson
BDX
$46.9B
$356K 0.02%
+1,993
New +$347K
P
264
DELISTED
Pandora Media Inc
P
$352K 0.02%
29,321
-635,758
-96% -$7.98M
TSN icon
265
Tyson Foods
TSN
$21B
$342K 0.02%
5,518
-190,353
-97% -$12M
SEE
266
DELISTED
Sealed Air
SEE
$339K 0.02%
7,714
-231,599
-97% -$10.9M
SQM icon
267
Sociedad Química y Minera de Chile
SQM
$19.1B
$314K 0.02%
9,247
-347,270
-97% -$11.3M
WBC
268
DELISTED
WABCO HOLDINGS INC.
WBC
$310K 0.02%
2,649
-199,631
-99% -$22.5M
SCACU
269
DELISTED
Saban Capital Acquisition Corp. Units
SCACU
$300K 0.01%
300,000
VTTI
270
DELISTED
VTTI Energy Partners LP
VTTI
$292K 0.01%
+15,366
New +$282K
CFG icon
271
Citizens Financial Group
CFG
$30.7B
$288K 0.01%
8,231
-816,895
-99% -$29.8M
AN icon
272
AutoNation
AN
$7.12B
$283K 0.01%
+6,733
New +$322K
NPK icon
273
National Presto Industries
NPK
$967M
$277K 0.01%
+2,719
New +$281K
CELG
274
DELISTED
Celgene Corp
CELG
$273K 0.01%
2,202
-467,309
-100% -$55.9M
RF icon
275
Regions Financial
RF
$26.9B
$270K 0.01%
18,021
-4,705,740
-100% -$69.4M

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Marshall Wace's Q1 2017 Portfolio in Review

As of Q1 2017, Marshall Wace held 1,012 positions worth $2.07B, down 86% from $15.2B the previous quarter. Its ten largest holdings account for 38% of the portfolio.

Marshall Wace withdrew a net $13.7B in Q1 2017, closing 720 positions and reducing 173 holdings. Its most notable exit was Texas Instruments, an estimated $115M position sold in full.

By sector, the portfolio is most concentrated in Healthcare at 21% of assets, up from 20% a quarter earlier, followed by Communication Services and Consumer Staples.

Against the trend, Marshall Wace opened a new position in Stillwater Mining Co worth $19.9M.

  • Marshall Wace's largest Q1 2017 buy was Stillwater Mining Co: 1,173,364 shares worth $19.9M.
  • Marshall Wace added most to Reynolds American Inc in Q1 2017, an estimated $76.2M increase.
  • Marshall Wace's biggest Q1 2017 reduction was T-Mobile US, cutting an estimated $401M.
  • Marshall Wace fully exited Texas Instruments in Q1 2017, selling an estimated $115M.
  • Marshall Wace's ten largest holdings make up 38% of its $2.07B portfolio in Q1 2017.
  • Marshall Wace opened 63 new positions and closed 720 in Q1 2017.
  • Marshall Wace's portfolio value fell 86% quarter-over-quarter to $2.07B.

Based on Marshall Wace's 13F filing for Q1 2017, filed 12 May 2017.