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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
+2.23%
1 Year Est. Return
+35.1%
3 Year Est. Return
+111.04%
5 Year Est. Return
+146.93%
10 Year Est. Return
+632.23%
AUM
$5.5B
AUM Growth
Cap. Flow
+$5.47B
Cap. Flow %
99.4%
Top 10 Hldgs %
16.18%
Holding
772
New
772
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

Rank Sector Weight
1 Financials 13.57%
2 Communication Services 13.11%
3 Industrials 12.76%
4 Materials 11.71%
5 Healthcare 10.77%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
ATVI
176
DELISTED
Activision Blizzard
ATVI
$7.93M 0.14%
+388,142
New +$7.37M
INSM icon
177
Insmed
INSM
$21.5B
$7.91M 0.14%
+415,299
New +$7.89M
PCP
178
DELISTED
PRECISION CASTPARTS CORP
PCP
$7.9M 0.14%
+31,260
New +$8.09M
GSM icon
179
FerroAtlántica
GSM
$775M
$7.88M 0.14%
+378,606
New +$7.19M
ICLR icon
180
Icon
ICLR
$12.6B
$7.8M 0.14%
+164,034
New +$7.32M
RESI
181
DELISTED
Front Yard Residential Corporation Common Stock
RESI
$7.76M 0.14%
+245,926
New +$7.43M
AVTA
182
DELISTED
Avantax, Inc. Common Stock
AVTA
$7.74M 0.14%
+392,913
New +$9.09M
HZNP
183
DELISTED
Horizon Therapeutics Public Limited Company Ordinary Shares
HZNP
$7.73M 0.14%
+511,223
New +$5.77M
PCH
184
DELISTED
PotlatchDeltic
PCH
$7.66M 0.14%
+198,046
New +$7.85M
MAS icon
185
Masco
MAS
$15.2B
$7.66M 0.14%
+392,256
New +$7.73M
TTC icon
186
Toro Company
TTC
$9.42B
$7.64M 0.14%
+241,898
New +$7.78M
KDP icon
187
Keurig Dr Pepper
KDP
$41.8B
$7.53M 0.14%
+138,225
New +$6.96M
MTX icon
188
Minerals Technologies
MTX
$2.4B
$7.52M 0.14%
+116,447
New +$6.58M
HUM icon
189
Humana
HUM
$43.7B
$7.48M 0.14%
+66,337
New +$6.91M
AHL
190
DELISTED
ASPEN Insurance Holding Limited
AHL
$7.47M 0.14%
+188,111
New +$7.3M
FOE
191
DELISTED
Ferro Corporation
FOE
$7.37M 0.13%
+539,703
New +$7.16M
SYNT
192
DELISTED
Syntel Inc
SYNT
$7.2M 0.13%
+160,156
New +$7.21M
TBRG
193
DELISTED
TruBridge
TBRG
$7.06M 0.13%
+109,354
New +$7.1M
STAY
194
DELISTED
Extended Stay America, Inc. Paired Share Unit
STAY
$6.98M 0.13%
+306,580
New +$7.67M
ZNGA
195
DELISTED
ZYNGA INC. CL A COMMON
ZNGA
$6.92M 0.13%
+1,609,502
New +$7.42M
YOKU
196
DELISTED
YOUKU TUDOU INC.(CAYMAN ISLS)
YOKU
$6.9M 0.13%
+245,909
New +$7.65M
RSPP
197
DELISTED
RSP Permian, Inc.
RSPP
$6.82M 0.12%
+236,152
New +$5.94M
OIS icon
198
Oil States International
OIS
$502M
$6.79M 0.12%
+120,500
New +$6.68M
BKNG icon
199
Booking.com
BKNG
$160B
$6.77M 0.12%
+141,925
New +$7.01M
GIL icon
200
Gildan
GIL
$10.8B
$6.69M 0.12%
+265,526
New +$6.84M

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Marshall Wace's Q1 2014 Portfolio in Review

Q1 2014 is the first quarter with a 13F filing on record for Marshall Wace, which disclosed 772 positions worth $5.5B. Its ten largest holdings account for 16% of the portfolio.

Its largest position is Zoetis: 4,926,002 shares worth $143M.

By sector, the portfolio is most concentrated in Financials at 14% of assets, followed by Communication Services and Industrials.

  • Marshall Wace's largest Q1 2014 buy was Zoetis: 4,926,002 shares worth $143M.
  • Marshall Wace's ten largest holdings make up 16% of its $5.5B portfolio in Q1 2014.
  • Marshall Wace disclosed 772 positions in Q1 2014, its first 13F filing on record.

Based on Marshall Wace's 13F filing for Q1 2014, filed 14 May 2014.