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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
+11.68%
1 Year Est. Return
+26.23%
3 Year Est. Return
+84.67%
5 Year Est. Return
+117.21%
10 Year Est. Return
+461.95%
AUM
$551B
AUM Growth
+$31.1B
Cap. Flow
-$9.24B
Cap. Flow %
-1.68%
Top 10 Hldgs %
25.38%
Holding
2,080
New
139
Increased
795
Reduced
834
Closed
147

Top Buys

Rank Stock Value
1
GOOGL icon
Alphabet (Google) Class A
GOOGL
+$1.64B
2
MSFT icon
Microsoft
MSFT
+$1.44B
3
NVDA icon
NVIDIA
NVDA
+$1.17B
4
GILD icon
Gilead Sciences
GILD
+$1.08B
5
LLY icon
Eli Lilly
LLY
+$996M

Top Sells

Rank Stock Value
1
PG icon
Procter & Gamble
PG
+$1.38B
2
AAPL icon
Apple
AAPL
+$1.21B
3
UPS icon
United Parcel Service
UPS
+$1.06B
4
TMUS icon
T-Mobile US
TMUS
+$908M
5
MCD icon
McDonald's
MCD
+$883M

Sector Composition

Rank Sector Weight
1 Technology 24.86%
2 Financials 15.98%
3 Healthcare 15.38%
4 Consumer Discretionary 9.68%
5 Industrials 9.06%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
SMA
776
SmartStop Self Storage REIT
SMA
$1.86B
$34.9M 0.01%
+962,752
New +$33.9M
CATY icon
777
Cathay General Bancorp
CATY
$4.3B
$34.7M 0.01%
762,686
+161,801
+27% +$6.87M
NEM icon
778
Newmont
NEM
$103B
$34.6M 0.01%
594,249
+276,002
+87% +$14.7M
STN icon
779
Stantec
STN
$8.28B
$34.1M 0.01%
314,464
-153,387
-33% -$14.8M
ACIW icon
780
ACI Worldwide
ACIW
$5.82B
$34.1M 0.01%
741,808
+547,618
+282% +$26.9M
RHI icon
781
Robert Half
RHI
$4.19B
$34M 0.01%
828,094
-22,759
-3% -$1.04M
GPGI
782
GPGI Inc
GPGI
$4.53B
$34M 0.01%
2,410,388
+591,331
+33% +$7.25M
ULS icon
783
UL Solutions
ULS
$15.8B
$33.8M 0.01%
464,508
-254,229
-35% -$16.6M
RELY icon
784
Remitly
RELY
$5.19B
$33.8M 0.01%
1,798,330
-15,480
-0.9% -$322K
AGM icon
785
Federal Agricultural Mortgage
AGM
$2.62B
$33.7M 0.01%
173,666
+1,092
+0.6% +$200K
FCFS icon
786
FirstCash
FCFS
$9.32B
$33.6M 0.01%
+248,739
New +$31.8M
NUE icon
787
Nucor
NUE
$62.4B
$33.6M 0.01%
259,465
+32,798
+14% +$3.83M
GDYN icon
788
Grid Dynamics Holdings
GDYN
$588M
$33.5M 0.01%
2,903,060
+1,020,947
+54% +$13.4M
ETOR
789
eToro Group
ETOR
$2.96B
$33.3M 0.01%
+500,406
New +$32.2M
AAXJ icon
790
iShares MSCI All Country Asia ex Japan ETF
AAXJ
$3.79B
$33.2M 0.01%
402,315
+232,652
+137% +$17.8M
NBBK icon
791
NB Bancorp
NBBK
$1.02B
$33.2M 0.01%
1,860,589
+250,000
+16% +$4.22M
EDU icon
792
New Oriental
EDU
$8.96B
$33.2M 0.01%
615,610
-111,406
-15% -$5.29M
WT icon
793
WisdomTree
WT
$3.42B
$33.1M 0.01%
2,874,976
+388,352
+16% +$3.64M
CSL icon
794
Carlisle Companies
CSL
$15.3B
$33M 0.01%
88,439
+19,029
+27% +$7.06M
MFA
795
MFA Financial
MFA
$924M
$32.9M 0.01%
3,482,566
-558,153
-14% -$5.27M
VONV icon
796
Vanguard Russell 1000 Value ETF
VONV
$21.1B
$32.5M 0.01%
381,113
-209,411
-35% -$17M
RACE icon
797
Ferrari
RACE
$70.8B
$32.5M 0.01%
66,460
-7,521
-10% -$3.49M
STX icon
798
Seagate
STX
$192B
$32.5M 0.01%
224,871
-709,125
-76% -$73.4M
GGAL icon
799
Galicia Financial Group
GGAL
$7.86B
$32.1M 0.01%
+637,501
New +$36.5M
EME icon
800
Emcor
EME
$36.2B
$32.1M 0.01%
60,005
+8,912
+17% +$3.93M

Similar funds

Wellington Management Group's Q2 2025 Portfolio in Review

As of Q2 2025, Wellington Management Group held 2,080 positions worth $551B, up 6% from $520B the previous quarter. Its ten largest holdings account for 25% of the portfolio.

Wellington Management Group's Q2 2025 filing shows 139 new, 795 increased, 834 reduced and 147 closed positions. Its largest new stake was Amrize Ltd: 7,812,891 shares worth $388M. The largest sale was Procter & Gamble, an estimated $1.38B.

By sector, the portfolio is most concentrated in Technology at 25% of assets, up from 21% a quarter earlier, followed by Financials and Healthcare.

  • Wellington Management Group's largest Q2 2025 buy was Amrize Ltd: 7,812,891 shares worth $388M.
  • Wellington Management Group added most to Alphabet (Google) Class A in Q2 2025, an estimated $1.64B increase.
  • Wellington Management Group's biggest Q2 2025 reduction was Procter & Gamble, cutting an estimated $1.38B.
  • Wellington Management Group fully exited iShares Russell 1000 Growth ETF in Q2 2025, selling an estimated $464M.
  • Wellington Management Group's ten largest holdings make up 25% of its $551B portfolio in Q2 2025.
  • Wellington Management Group opened 139 new positions and closed 147 in Q2 2025.
  • Wellington Management Group's portfolio value rose 6% quarter-over-quarter to $551B.

Based on Wellington Management Group's 13F filing for Q2 2025, filed 14 Aug 2025.