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Wellington Management Group

Wellington Management Group Portfolio holdings

AUM $535B
1-Year Est. Return 26.23%
 

Wellington Management Group, founded in 1928 by Walter L. Morgan and headquartered in Boston, Massachusetts, is one of the world’s largest independent asset management firms, overseeing trillions in assets for a diverse client base including pension funds, endowments, and mutual fund investors. Renowned for its active management approach, Wellington offers a broad range of investment strategies across equities, fixed income, multi-asset, and alternative investments, emphasizing deep research and long-term partnerships with clients. The firm gained early fame for launching the Wellington Fund, one of the first balanced mutual funds, and has since maintained a reputation for disciplined, collaborative portfolio management. With a global presence and a focus on customized solutions, Wellington remains a trusted name in institutional and retail investing.

This Fund
S&P 500
This Quarter Est. Return
+5.32%
1 Year Est. Return
+26.23%
3 Year Est. Return
+84.67%
5 Year Est. Return
+117.21%
10 Year Est. Return
+656.24%
AUM
$571B
AUM Growth
-$658M
Cap. Flow
-$21.4B
Cap. Flow %
-3.74%
Top 10 Hldgs %
27.76%
Holding
2,121
New
152
Increased
749
Reduced
884
Closed
209

Top Buys

Rank Stock Value
1
AMZN icon
Amazon
AMZN
+$1.76B
2
FERG icon
Ferguson
FERG
+$1.35B
3
DIS icon
Walt Disney
DIS
+$1.19B
4
HBAN icon
Huntington Bancshares
HBAN
+$1.12B
5
DASH icon
DoorDash
DASH
+$1.1B

Sector Composition

Rank Sector Weight
1 Technology 25.27%
2 Healthcare 17.16%
3 Financials 15.27%
4 Consumer Discretionary 9.7%
5 Industrials 8.77%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
SNV
276
DELISTED
Synovus
SNV
$341M 0.06%
6,810,107
-129,707
-2% -$6.24M
TECH icon
277
Bio-Techne
TECH
$11.2B
$337M 0.06%
5,734,049
+618,916
+12% +$37.6M
NET icon
278
Cloudflare
NET
$101B
$337M 0.06%
1,707,014
+451,280
+36% +$95.5M
VOYA icon
279
Voya Financial
VOYA
$9.13B
$335M 0.06%
4,492,908
+230,877
+5% +$16.8M
GD icon
280
General Dynamics
GD
$105B
$334M 0.06%
992,634
-342,046
-26% -$117M
SYY icon
281
Sysco
SYY
$40.1B
$330M 0.06%
4,472,063
-239,313
-5% -$18.2M
CNQ icon
282
Canadian Natural Resources
CNQ
$94.6B
$323M 0.06%
9,551,007
-444,640
-4% -$14.4M
SO icon
283
Southern Company
SO
$106B
$323M 0.06%
3,701,098
+652,260
+21% +$59.5M
APLS
284
DELISTED
Apellis Pharmaceuticals
APLS
$320M 0.06%
12,721,352
+3,430,392
+37% +$80.5M
PTC icon
285
PTC
PTC
$15.8B
$317M 0.06%
1,820,299
-766,474
-30% -$142M
OTIS icon
286
Otis Worldwide
OTIS
$28B
$316M 0.06%
3,612,811
+83,626
+2% +$7.48M
CCL icon
287
Carnival Corporation Ltd
CCL
$39.9B
$313M 0.05%
10,239,048
-1,920,571
-16% -$53.6M
WLK icon
288
Westlake Corp
WLK
$10.2B
$312M 0.05%
4,220,717
+4,163,207
+7,239% +$296M
SARO
289
StandardAero Inc
SARO
$10.1B
$312M 0.05%
10,867,767
+522,203
+5% +$14.2M
BJ icon
290
BJs Wholesale Club
BJ
$12.3B
$311M 0.05%
3,452,562
+179,723
+5% +$16.5M
MET icon
291
MetLife
MET
$63.9B
$308M 0.05%
3,895,715
-8,677,092
-69% -$687M
ITUB icon
292
Itaú Unibanco
ITUB
$91B
$307M 0.05%
42,818,183
+281,836
+0.7% +$2M
HUM icon
293
Humana
HUM
$43B
$306M 0.05%
1,196,502
+1,170,387
+4,482% +$307M
MAS icon
294
Masco
MAS
$14.9B
$306M 0.05%
4,826,584
+2,085,454
+76% +$135M
CARG icon
295
CarGurus
CARG
$3.26B
$306M 0.05%
7,974,376
-1,662,295
-17% -$59.9M
TPR icon
296
Tapestry
TPR
$32.3B
$302M 0.05%
2,366,502
+2,043,353
+632% +$234M
VB icon
297
Vanguard Morningstar Small-Cap ETF
VB
$81.5B
$298M 0.05%
1,155,967
+26,980
+2% +$6.91M
UMBF icon
298
UMB Financial
UMBF
$11B
$298M 0.05%
2,590,780
-508,018
-16% -$57.5M
CRDO icon
299
Credo Technology Group
CRDO
$43.5B
$297M 0.05%
2,064,731
+440,041
+27% +$67.7M
VEEV icon
300
Veeva Systems
VEEV
$34.8B
$295M 0.05%
1,322,981
-143,846
-10% -$38.2M

Similar funds

Wellington Management Group's Q4 2025 Portfolio in Review

As of Q4 2025, Wellington Management Group held 2,121 positions worth $571B, down 0.12% from $571B the previous quarter. Its ten largest holdings account for 28% of the portfolio.

Wellington Management Group withdrew a net $21.4B in Q4 2025, closing 209 positions and reducing 884 holdings. Its most notable exit was Interpublic Group of Companies, an estimated $389M position sold in full.

By sector, the portfolio is most concentrated in Technology at 25% of assets, down from 26% a quarter earlier, followed by Healthcare and Financials.

Against the trend, Wellington Management Group opened a new position in The Magnum Ice Cream Company N.V. worth $405M.

  • Wellington Management Group's largest Q4 2025 buy was The Magnum Ice Cream Company N.V.: 25,391,614 shares worth $405M.
  • Wellington Management Group added most to Amazon in Q4 2025, an estimated $1.76B increase.
  • Wellington Management Group's biggest Q4 2025 reduction was Alphabet (Google) Class A, cutting an estimated $2.38B.
  • Wellington Management Group fully exited Interpublic Group of Companies in Q4 2025, selling an estimated $389M.
  • Wellington Management Group's ten largest holdings make up 28% of its $571B portfolio in Q4 2025.
  • Wellington Management Group opened 152 new positions and closed 209 in Q4 2025.
  • Wellington Management Group's portfolio value fell 0.12% quarter-over-quarter to $571B.

Based on Wellington Management Group's 13F filing for Q4 2025, filed 17 Feb 2026.