BAILLIE GIFFORD & CO Q4 2023 Filing

Filed January 26, 2024

Portfolio Value

$126.2T

Holdings

288

Report Date

Q4 2023

Filing Type

13F-HR

All Holdings (288 positions)

#StockSharesValue% PortfolioType
101
HHHHoward Hughes ca
2,470,497$211.3B0.17%
102
BAPCredicorp
1,406,190$210.8B0.17%
103
BBDBanco Bradesco Pn ADR
51,261,146$179.4B0.14%
104
DOCSDoximity Inc
6,299,503$176.6B0.14%
105
FASTFastenal
2,695,072$174.6B0.14%
106
GHGuardant Health
6,178,812$167.1B0.13%
107
NEOGNeogen Corp
8,286,714$166.6B0.13%
108
PENPenumbra Inc
647,953$163.0B0.13%
109
SEDGSolaredge Technologies Inc
1,729,330$161.9B0.13%
110
HCPHashicorp Inc
6,730,652$159.1B0.13%
111
GOOGLAlphabet Inc Class A
1,124,229$157.0B0.12%
112
CERTCertara
8,921,463$156.9B0.12%
113
MKTXMarketAxess Holdings
511,007$149.6B0.12%
114
IBNICICI Bank ADR
6,202,976$147.9B0.12%
115
CPCanadian Pacific Kansas City Ltd
1,857,767$147.7B0.12%
116
AURAurora Innovation Class A Common
33,634,164$147.0B0.12%
117
STAAStaar Surgical
4,448,208$138.8B0.11%
118
ABCLAbcellera Biologics Inc
24,044,796$137.3B0.11%
119
SGSweetgreen
11,592,537$131.0B0.10%
120
PJXPetrobras Pref ADR
8,483,987$129.6B0.10%
121
PGProcter & Gamble
878,964$128.8B0.10%
122
AAPLApple
653,695$125.9B0.10%
123
UPSUnited Parcel Service
720,629$113.3B0.09%
124
PEPPepsico
663,292$112.7B0.09%
125
YMMFull Truck Alliance Co Ltd ADR
15,678,434$109.9B0.09%
126
MMYTMakeMyTrip
2,284,324$107.3B0.09%
127
FNFabrinet
563,805$107.3B0.09%
128
ZZillow Group Inc Class C
1,854,455$107.3B0.09%
129
ITUBItau Unibanco Holding SA-ADR
15,034,066$104.5B0.08%
130
SDGRSchrodinger
2,602,389$93.2B0.07%
131
WRBYWarby Parker Inc
6,430,452$90.7B0.07%
132
SBUXStarbucks Corp
907,309$87.1B0.07%
133
AXONAxon Enterprise Inc
326,844$84.4B0.07%
134
INTUIntuit
133,975$83.7B0.07%
135
JPXAerovironment
661,906$83.4B0.07%
136
ZMZoom Video Communications Inc
1,028,079$73.9B0.06%
137
LMNDLemonade Inc
4,549,693$73.4B0.06%
138
RIVNRivian Automotive Inc
3,106,987$72.9B0.06%
139
NVCRNovocure Ltd
4,840,141$72.3B0.06%
140
UPWKUpwork Inc
4,611,210$68.6B0.05%
141
APPNAppian Corp
1,663,168$62.6B0.05%
142
RAMPLiveramp Holdings Inc
1,634,664$61.9B0.05%
143
WNSNWNS (Holdings) ADR
979,373$61.9B0.05%
144
MPMP Materials
2,960,001$58.8B0.05%
145
INFYInfosys Ltd ADR
3,190,513$58.6B0.05%
146
CSCOCisco Systems
1,067,765$53.9B0.04%
147
FROGJFrog Ltd
1,557,259$53.9B0.04%
148
CHGGChegg
4,682,387$53.2B0.04%
149
CGNXCognex Corp
1,206,227$50.3B0.04%
150
PLDPrologis Inc REIT
350,959$46.8B0.04%
151
SWAVUSDShockWave Medical Inc
244,061$46.5B0.04%
152
KOCoca Cola
758,902$44.7B0.04%
153
NYTNew York Times Co
868,458$42.5B0.03%
154
AMTAmerican Tower Corp REIT
196,760$42.5B0.03%
155
PGNYProgyny
1,128,473$42.0B0.03%
156
ZUOUSDZuora Inc Class A
4,444,865$41.8B0.03%
157
SANASana Biotechnology Inc
10,150,017$41.4B0.03%
158
ESEversource Energy
667,979$41.2B0.03%
159
BLBlackline
660,281$41.2B0.03%
160
FUODolby Laboratories 'A'
475,552$41.0B0.03%
161
UNHUnitedHealth
76,759$40.4B0.03%
162
TWSTTwist Bioscience Corp
1,094,758$40.4B0.03%
163
VIRVir Biotechnology Inc
3,965,549$39.9B0.03%
164
TROWT. Rowe Price
368,178$39.6B0.03%
165
MDTMedtronic
478,744$39.4B0.03%
166
NEENextEra Energy
629,698$38.2B0.03%
167
PCRXPacira BioSciences
1,063,266$35.9B0.03%
168
REXRRexford Industrial Realty REIT
634,042$35.6B0.03%
169
IPGPIPG Photonics Corp
326,358$35.4B0.03%
170
MCDMcDonald's
117,953$35.0B0.03%
171
TDOCTeladoc
1,589,851$34.3B0.03%
172
JMIAJumia Technologies Ag ADR
9,303,254$32.8B0.03%
173
AMBAAmbarella
518,280$31.8B0.03%
174
CYBRCyberArk Software Ltd
143,515$31.4B0.02%
175
EWEdwards Lifesciences Corp
403,958$30.8B0.02%
176
EXAIEURExscientia Ltd ADR
4,690,480$30.1B0.02%
177
CRSPCRISPR Therapeutics AG
422,763$26.5B0.02%
178
DMRCDigimarc
722,259$26.1B0.02%
179
BEKEKE Holdings ADR
1,554,363$25.2B0.02%
180
D0ADada Nexus Ltd ADR
7,470,392$24.8B0.02%
181
WABWabtec
193,514$24.6B0.02%
182
TMDXTransMedics Group
308,978$24.4B0.02%
183
AMSCAmerican Superconductor Corp
2,086,279$23.2B0.02%
184
VECOVeeco Instruments
737,460$22.9B0.02%
185
FVRRFiverr Intl
820,553$22.3B0.02%
186
HDHome Depot
62,928$21.8B0.02%
187
TRUPTrupanion
697,369$21.3B0.02%
188
NBTXNanobiotix ADR
2,869,030$20.9B0.02%
189
BEAMBeam Therapeutics
764,123$20.8B0.02%
190
YOUClear Secure Inc
1,000,000$20.6B0.02%
191
ARCCAres Capital Corp
1,003,879$20.1B0.02%
192
LULufax Holding Ltd
6,077,224$18.7B0.01%
193
BEPCBrookfield Renewable
642,865$18.5B0.01%
194
WATWaters
55,106$18.1B0.01%
195
DLOdLocal
993,987$17.6B0.01%
196
AEHRAehr Test Systems
662,307$17.6B0.01%
197
WECWEC Energy Group
206,184$17.4B0.01%
198
QTRXQuanterix Corp
631,573$17.3B0.01%
199
HSYHershey Foods Corporation
92,287$17.2B0.01%
200
QSQuantumScape Corp
2,428,332$16.9B0.01%
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