Marshall Wace

Marshall Wace Portfolio holdings

AUM $84.1B
This Quarter Return
+7.06%
1 Year Return
+27.54%
3 Year Return
+105.03%
5 Year Return
+179.94%
10 Year Return
+445.45%
AUM
$2.07B
AUM Growth
+$2.07B
Cap. Flow
-$13.8B
Cap. Flow %
-663.84%
Top 10 Hldgs %
38.4%
Holding
1,012
New
63
Increased
47
Reduced
173
Closed
719

Sector Composition

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 Shares
Change %
Capital Flow
MEET
426
DELISTED
The Meet Group, Inc. Common Stock
MEET
-282,922
Closed -$1.4M
MENT
427
DELISTED
Mentor Graphics Corp
MENT
-410,590
Closed -$15.1M
ENH
428
DELISTED
Endurance Specialty Holdings Ltd
ENH
-16,967
Closed -$1.57M
SCAI
429
DELISTED
Surgical Care Affiliates, Inc.
SCAI
-105,047
Closed -$4.86M
GK
430
DELISTED
G&K Services Inc
GK
-34,506
Closed -$3.33M
TSL
431
DELISTED
Trina Solar Limited
TSL
-21,742
Closed -$202K
LLTC
432
DELISTED
Linear Technology Corp
LLTC
-857,561
Closed -$53.5M
HAR
433
DELISTED
Harman International Industries
HAR
-153,697
Closed -$17.1M
YDKN
434
DELISTED
Yadkin Financial Corporation
YDKN
-181,500
Closed -$6.22M
BATS
435
DELISTED
Bats Global Markets, Inc.
BATS
-589,073
Closed -$19.7M
CLCD
436
DELISTED
CoLucid Pharmaceuticals, Inc.
CLCD
-485,824
Closed -$17.7M
CLC
437
DELISTED
Clarcor
CLC
-11,282
Closed -$930K
SE
438
DELISTED
Spectra Energy Corp Wi
SE
-504,620
Closed -$20.7M
CPPL
439
DELISTED
Columbia Pipeline Partners LP
CPPL
-142,264
Closed -$2.44M
NILE
440
DELISTED
Blue Nile, Inc.
NILE
-50,532
Closed -$2.05M
VASC
441
DELISTED
Vascular Solutions Inc
VASC
-7,992
Closed -$448K
WCIC
442
DELISTED
WCI Communities, Inc.
WCIC
-550,000
Closed -$12.9M
LOCK
443
DELISTED
LifeLock, Inc.
LOCK
-95,121
Closed -$2.28M
TMH
444
DELISTED
Team Health Holdings Inc
TMH
-30,833
Closed -$1.34M
MEG
445
DELISTED
Media General, Inc
MEG
-130,175
Closed -$2.45M
STJ
446
DELISTED
St Jude Medical
STJ
-668,559
Closed -$53.6M
NLSN
447
DELISTED
Nielsen Holdings plc
NLSN
-54,463
Closed -$2.29M
FMSA
448
DELISTED
Fairmount Santrol Holdings Inc.
FMSA
-2,581,669
Closed -$30.4M
TACO
449
DELISTED
Del Taco Restaurants, Inc. Common Stock
TACO
-781,432
Closed -$11M
DISCA
450
DELISTED
Discovery, Inc. Series A Common Stock
DISCA
-20,291
Closed -$556K