Marshall Wace

Marshall Wace Portfolio holdings

AUM $84.1B
1-Year Return 27.54%
This Quarter Return
+6.39%
1 Year Return
+27.54%
3 Year Return
+105.03%
5 Year Return
+179.94%
10 Year Return
+445.45%
AUM
$49.9B
AUM Growth
+$29.8B
Cap. Flow
+$29.2B
Cap. Flow %
58.45%
Top 10 Hldgs %
16.88%
Holding
4,360
New
1,424
Increased
999
Reduced
555
Closed
656

Sector Composition

1 Technology 19.25%
2 Healthcare 18.96%
3 Financials 16.87%
4 Consumer Discretionary 13.38%
5 Communication Services 9.45%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
BBL
1201
DELISTED
BHP Group Plc American Depositary Shares (Each representing two Ordinary Shares)
BBL
$4.86M 0.01%
81,316
-338,923
-81% -$20.3M
PHR icon
1202
Phreesia
PHR
$1.53B
$4.86M 0.01%
+116,520
New +$4.86M
GIAC
1203
DELISTED
Gesher I Acquisition Corp. Class A Ordinary Shares
GIAC
$4.85M 0.01%
+495,340
New +$4.85M
BBIO icon
1204
BridgeBio Pharma
BBIO
$10.1B
$4.84M 0.01%
290,362
+274,843
+1,771% +$4.58M
LQD icon
1205
iShares iBoxx $ Investment Grade Corporate Bond ETF
LQD
$30.8B
$4.84M 0.01%
36,523
-61,899
-63% -$8.2M
HIMX
1206
Himax Technologies
HIMX
$1.47B
$4.83M 0.01%
+302,147
New +$4.83M
HCP
1207
DELISTED
HashiCorp, Inc. Class A Common Stock
HCP
$4.83M 0.01%
+53,019
New +$4.83M
SGI
1208
Somnigroup International Inc.
SGI
$17.9B
$4.82M 0.01%
102,478
+70,285
+218% +$3.31M
TPH icon
1209
Tri Pointe Homes
TPH
$3.18B
$4.8M 0.01%
+172,127
New +$4.8M
IS
1210
DELISTED
ironSource Ltd.
IS
$4.79M 0.01%
619,029
+496,839
+407% +$3.84M
NKLA
1211
DELISTED
Nikola Corporation Common Stock
NKLA
$4.79M 0.01%
+16,172
New +$4.79M
OTEC
1212
DELISTED
OceanTech Acquisitions I Corp. Class A Common Stock
OTEC
$4.79M 0.01%
479,783
FWRD icon
1213
Forward Air
FWRD
$913M
$4.78M 0.01%
+39,488
New +$4.78M
JUGG
1214
DELISTED
Jaws Juggernaut Acquisition Corporation Class A Ordinary Share
JUGG
$4.76M 0.01%
+484,538
New +$4.76M
TAL icon
1215
TAL Education Group
TAL
$6.54B
$4.75M 0.01%
1,207,593
+940,060
+351% +$3.69M
BMBL icon
1216
Bumble
BMBL
$702M
$4.74M 0.01%
139,882
-63,055
-31% -$2.13M
SPEC
1217
DELISTED
Spectaire Holdings, Inc. Common Stock
SPEC
$4.73M 0.01%
+119,665
New +$4.73M
EOG icon
1218
EOG Resources
EOG
$65.7B
$4.73M 0.01%
53,203
+37,075
+230% +$3.29M
RHI icon
1219
Robert Half
RHI
$3.56B
$4.72M 0.01%
42,342
+40,023
+1,726% +$4.46M
EAT icon
1220
Brinker International
EAT
$6.88B
$4.72M 0.01%
128,926
+20,001
+18% +$732K
APAM icon
1221
Artisan Partners
APAM
$3.27B
$4.7M 0.01%
+98,642
New +$4.7M
KNDI
1222
Kandi Technologies Group
KNDI
$113M
$4.7M 0.01%
1,464,507
+1,162,327
+385% +$3.73M
OSI
1223
DELISTED
Osiris Acquisition Corp.
OSI
$4.7M 0.01%
485,298
+128,222
+36% +$1.24M
AUPH icon
1224
Aurinia Pharmaceuticals
AUPH
$1.68B
$4.64M 0.01%
+202,992
New +$4.64M
URBN icon
1225
Urban Outfitters
URBN
$6.33B
$4.64M 0.01%
158,112
-813,757
-84% -$23.9M