BAILLIE GIFFORD & CO Q3 2023 Filing

Filed November 13, 2023

Portfolio Value

$109.6B

Holdings

289

Report Date

Q3 2023

Filing Type

13F-HR

All Holdings (289 positions)

#StockSharesValue% PortfolioType
101
HCPHashicorp Inc
7,050,463$161.0B146.86%
102
ODDOddity
5,559,817$157.6B143.81%
103
BBDBanco Bradesco Pn ADR
53,912,606$153.6B140.19%
104
RELYRemitly Global Inc
6,073,676$153.2B139.76%
105
FASTFastenal
2,744,375$150.0B136.81%
106
IBNICICI Bank ADR
6,466,894$149.5B136.41%
107
GOOGLAlphabet Inc Class A
1,140,891$149.3B136.22%
108
DOCSDoximity Inc
6,656,242$141.2B128.87%
109
SGSweetgreen
12,009,929$141.1B128.75%
110
CERTCertara
9,191,130$133.6B121.93%
111
MKTXMarketAxess Holdings
615,353$131.5B119.94%
112
PGProcter & Gamble
873,312$127.4B116.22%
113
PJXPetrobras Pref ADR
8,916,817$122.2B111.54%
114
ABCLAbcellera Biologics Inc
26,204,649$120.5B109.98%
115
UPSUnited Parcel Service
733,553$114.3B104.32%
116
PEPPepsico
661,646$112.1B102.29%
117
AAPLApple
651,999$111.6B101.85%
118
CPCanadian Pacific Kansas City Ltd
1,493,987$111.6B101.79%
119
YMMFull Truck Alliance Co Ltd ADR
15,734,606$110.8B101.07%
120
NVCRNovocure Ltd
6,814,214$110.0B100.41%
121
ZZillow Group Inc Class C
2,251,955$103.9B94.84%
122
AXONAxon Enterprise Inc
476,500$94.8B86.51%
123
SNAPSnap Inc
10,345,952$92.2B84.11%
124
MMYTMakeMyTrip
2,274,225$92.2B84.08%
125
FTCHQFarfetch
43,555,765$91.0B83.06%
126
CHGGChegg
9,918,783$88.5B80.72%
127
JPXAerovironment
767,092$85.6B78.06%
128
APPNAppian Corp
1,874,637$85.5B78.01%
129
SBUXStarbucks Corp
934,009$85.2B77.78%
130
SDGRSchrodinger
2,950,552$83.4B76.10%
131
WRBYWarby Parker Inc
6,051,671$79.6B72.66%
132
AURAurora Innovation Class A Common
33,634,164$79.0B72.12%
133
RIVNRivian Automotive Inc
3,241,646$78.7B71.81%
134
ITUBItau Unibanco Holding SA-ADR
14,593,580$78.4B71.50%
135
WNSNWNS (Holdings) ADR
1,011,599$69.3B63.18%
136
INTUIntuit
134,118$68.5B62.52%
137
TXNTexas Instruments
409,466$65.1B59.40%
138
RDFNRedfin
8,695,338$61.2B55.85%
139
UPWKUpwork Inc
5,208,522$59.2B53.98%
140
CSCOCisco Systems
1,070,808$57.6B52.52%
141
PGNYProgyny
1,643,892$55.9B51.02%
142
LMNDLemonade Inc
4,707,789$54.7B49.91%
143
SWAVUSDShockWave Medical Inc
272,963$54.3B49.58%
144
RAMPLiveramp Holdings Inc
1,839,141$53.0B48.39%
145
INFYInfosys Ltd ADR
3,088,240$52.8B48.21%
146
PCRXPacira BioSciences
1,637,076$50.2B45.82%
147
CGNXCognex Corp
1,106,580$47.0B42.85%
148
PLDPrologis Inc REIT
408,138$45.8B41.78%
149
MPMP Materials
2,345,913$44.8B40.88%
150
FROGJFrog Ltd
1,738,114$44.1B40.22%
151
BLBlackline
774,162$42.9B39.18%
152
KOCoca Cola
760,195$42.6B38.83%
153
FUODolby Laboratories 'A'
531,729$42.1B38.45%
154
ZUOUSDZuora Inc Class A
5,032,539$41.5B37.83%
155
SANASana Biotechnology Inc
10,204,375$39.5B36.03%
156
UNHUnitedHealth
77,440$39.0B35.62%
157
NYTNew York Times Co
922,490$38.0B34.68%
158
TROWT. Rowe Price
361,432$37.9B34.58%
159
VIRVir Biotechnology Inc
3,971,571$37.2B33.95%
160
REXRRexford Industrial Realty REIT
753,331$37.2B33.92%
161
IPGPIPG Photonics Corp
365,885$37.1B33.90%
162
MDTMedtronic
472,138$37.0B33.75%
163
CYBRCyberArk Software Ltd
209,264$34.3B31.27%
164
D0ADada Nexus Ltd ADR
7,489,745$33.3B30.41%
165
TDOCTeladoc
1,759,908$32.7B29.85%
166
FNFabrinet
194,416$32.4B29.55%
167
MCDMcDonald's
118,104$31.1B28.39%
168
AMBAAmbarella
584,312$31.0B28.27%
169
EWEdwards Lifesciences Corp
440,401$30.5B27.84%
170
CHPTChargePoint Holdings Inc
5,757,675$28.6B26.11%
171
AMTAmerican Tower Corp REIT
167,436$27.5B25.12%
172
DMRCDigimarc
818,615$26.6B24.26%
173
OTLYOatly Inc.
29,437,368$26.4B24.07%
174
LULufax Holding Ltd
24,878,403$26.4B24.06%
175
VECOVeeco Instruments
922,365$25.9B23.65%
176
FVRRFiverr Intl
1,054,732$25.8B23.55%
177
TWSTTwist Bioscience Corp
1,268,295$25.7B23.44%
178
JMIAJumia Technologies Ag ADR
9,347,557$24.7B22.52%
179
BEKEKE Holdings ADR
1,584,242$24.6B22.43%
180
TRUPTrupanion
812,739$22.9B20.91%
181
EXAIEURExscientia Ltd ADR
4,868,810$22.0B20.08%
182
BEAMBeam Therapeutics
875,747$21.1B19.21%
183
WABWabtec
193,992$20.6B18.81%
184
ARCCAres Capital Corp
1,045,471$20.4B18.57%
185
CRSPCRISPR Therapeutics AG
441,063$20.0B18.26%
186
YOUClear Secure Inc
1,000,000$19.0B17.37%
187
TMDXTransMedics Group
338,162$18.5B16.89%
188
BEPCBrookfield Renewable
728,703$17.4B15.92%
189
CDLXCardlytics Inc
1,049,448$17.3B15.80%
190
QSQuantumScape Corp
2,581,225$17.3B15.75%
191
QTRXQuanterix Corp
631,897$17.1B15.65%
192
NBTXNanobiotix ADR
1,936,195$16.9B15.46%
193
ESEversource Energy
284,236$16.5B15.08%
194
PGRProgressive
114,751$16.0B14.58%
195
HDHome Depot
52,600$15.9B14.50%
196
CRLCharles River Laboratories International
79,572$15.6B14.23%
197
WATWaters
55,313$15.2B13.84%
198
ADMArcher-Daniels-Midland Co
199,310$15.0B13.71%
199
TJXTJX Companies
167,687$14.9B13.60%
200
ISIIonis Pharmaceuticals
316,629$14.4B13.10%
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