BAILLIE GIFFORD & CO Q1 2025 Filing

Filed May 7, 2025

Portfolio Value

$114.6T

Holdings

265

Report Date

Q1 2025

Filing Type

13F-HR

All Holdings (265 positions)

#StockSharesValue% PortfolioType
101
IBNICICI Bank ADR
5,594,714$176.3B0.15%
102
RELYRemitly Global Inc
8,450,654$175.8B0.15%
103
ROKURoku
2,489,007$175.3B0.15%
104
AAPLApple
785,534$174.5B0.15%
105
LINELineage Inc
2,954,723$173.2B0.15%
106
UBERUber Technologies
2,299,369$167.5B0.15%
107
PGProcter & Gamble
970,577$165.4B0.14%
108
DNLIDenali Therapeutics
12,090,040$164.4B0.14%
109
SITESiteOne Landscape Supply
1,343,678$163.2B0.14%
110
XYLXylem
1,269,337$151.6B0.13%
111
NYTNew York Times Co
3,018,477$149.7B0.13%
112
WSCWillScot Hdgs
5,229,918$145.4B0.13%
113
FIXComfort Systems USA
445,915$143.7B0.13%
114
NCLHNorwegian Cruise Line Holdings
7,372,932$139.8B0.12%
115
FNDFloor & Decor Holdings
1,720,794$138.5B0.12%
116
RXRXRecursion Pharmaceuticals Inc
24,393,015$129.0B0.11%
117
FNFabrinet
644,557$127.3B0.11%
118
GOOGLAlphabet Inc Class A
795,825$123.1B0.11%
119
ENSGThe Ensign Group
945,592$122.4B0.11%
120
CMECME Group Inc
454,643$120.6B0.11%
121
ADIAnalog Devices
583,320$117.6B0.10%
122
PEPPepsico
705,022$105.7B0.09%
123
BCBrunswick Corp
1,921,588$103.5B0.09%
124
LMNDLemonade Inc
3,167,845$99.6B0.09%
125
PJXPetrobras Pref ADR
6,801,133$88.7B0.08%
126
G4RABanco De Chile ADR
3,152,335$83.5B0.07%
127
TFIITFI International
1,066,675$82.6B0.07%
128
CPCanadian Pacific Kansas City Ltd
1,164,566$81.7B0.07%
129
INTUIntuit
129,759$79.7B0.07%
130
NEOGNeogen Corp
9,158,876$79.4B0.07%
131
RDDTReddit
750,000$78.7B0.07%
132
SBUXStarbucks Corp
796,031$78.1B0.07%
133
AXONAxon Enterprise Inc
144,104$75.8B0.07%
134
MNDYmonday.com
301,506$73.3B0.06%
135
BZKanzhun ADR
3,709,515$71.1B0.06%
136
BBDBanco Bradesco Pn ADR
29,880,816$66.6B0.06%
137
SPTSprout Social
3,023,523$66.5B0.06%
138
CSCOCisco Systems
1,067,032$65.8B0.06%
139
VRTXVertex Pharmaceuticals Inc
134,465$65.2B0.06%
140
KOCoca Cola
818,008$58.6B0.05%
141
ITUBItau Unibanco Holding SA-ADR
10,215,409$56.2B0.05%
142
ZZillow Group Inc Class C
807,329$55.4B0.05%
143
COURCoursera Inc
7,965,247$53.0B0.05%
144
INFYInfosys Ltd ADR
2,886,016$52.7B0.05%
145
HDHome Depot
137,553$50.4B0.04%
146
MKTXMarketAxess Holdings
221,240$47.9B0.04%
147
MDTMedtronic
505,128$45.4B0.04%
148
MCDMcDonald's
144,028$45.0B0.04%
149
SVVSavers Value Village
6,509,978$44.9B0.04%
150
EWEdwards Lifesciences Corp
581,441$42.1B0.04%
151
CYBRCyberArk Software Ltd
118,801$40.2B0.04%
152
TROWT. Rowe Price
431,453$39.6B0.03%
153
CGNXCognex Corp
1,215,625$36.3B0.03%
154
EXASExact Sciences
832,568$36.0B0.03%
155
CXCemex ADR
6,150,122$34.5B0.03%
156
RAMPLiveramp Holdings Inc
1,312,023$34.3B0.03%
157
FROGJFrog Ltd
1,061,158$34.0B0.03%
158
WRBYWarby Parker Inc
1,827,764$33.3B0.03%
159
MPMP Materials
1,304,856$31.9B0.03%
160
APPNAppian Corp
1,076,198$31.0B0.03%
161
LULufax Holding Ltd
10,281,698$30.5B0.03%
162
UPWKUpwork Inc
2,250,827$29.4B0.03%
163
TWSTTwist Bioscience Corp
732,007$28.7B0.03%
164
ALBAlbemarle Corp
397,700$28.6B0.02%
165
PGNYProgyny
1,276,167$28.5B0.02%
166
PAYXPaychex
179,557$27.7B0.02%
167
AMSCAmerican Superconductor Corp
1,518,890$27.6B0.02%
168
ESEversource Energy
417,379$25.9B0.02%
169
BEKEKE Holdings ADR
1,266,623$25.4B0.02%
170
TRUPTrupanion
678,036$25.3B0.02%
171
ABCLAbcellera Biologics Inc
11,195,832$25.0B0.02%
172
HSYHershey Foods Corporation
144,657$24.7B0.02%
173
MRSHMarsh & McLennan
97,682$23.8B0.02%
174
IPGPIPG Photonics Corp
369,873$23.4B0.02%
175
CFLTConfluent Inc.
969,306$22.7B0.02%
176
DLOdLocal
2,602,563$21.7B0.02%
177
BKNGBooking Holdings Inc
4,449$20.5B0.02%
178
AMPLAmplitude
1,991,397$20.3B0.02%
179
NVCRNovocure Ltd
1,136,980$20.3B0.02%
180
SDGRSchrodinger
994,819$19.6B0.02%
181
WABWabtec
107,472$19.5B0.02%
182
DNAGinkgo Bioworks Holdings Inc
3,350,891$19.1B0.02%
183
JMIAJumia Technologies Ag ADR
8,629,656$18.6B0.02%
184
PRCTPROCEPT BioRobotics
313,884$18.3B0.02%
185
XMTRXometry Inc - A
728,281$18.1B0.02%
186
TMDXTransMedics Group
259,677$17.5B0.02%
187
ERIIEnergy Recovery
1,099,276$17.5B0.02%
188
SANASana Biotechnology Inc
10,191,476$17.1B0.01%
189
ARCCAres Capital Corp
753,649$16.7B0.01%
190
BXSLBlackstone Secured Lending Fund
505,229$16.3B0.01%
191
BEPCBrookfield Renewable
562,266$15.7B0.01%
192
MNSTMonster Beverage
267,890$15.7B0.01%
193
PGRProgressive
55,010$15.6B0.01%
194
AMTAmerican Tower Corp REIT
70,099$15.3B0.01%
195
VECOVeeco Instruments
756,312$15.2B0.01%
196
AEHRAehr Test Systems
2,003,067$14.6B0.01%
197
AMBAAmbarella
289,923$14.6B0.01%
198
MSAMSA Safety
97,761$14.3B0.01%
199
TNDMTandem Diabetes Care
732,574$14.0B0.01%
200
EOGEOG Resources
104,519$13.4B0.01%
PreviousPage 2 of 3Next