BAILLIE GIFFORD & CO Q4 2024 Filing

Filed January 31, 2025

Portfolio Value

$130.1B

Holdings

271

Report Date

Q4 2024

Filing Type

13F-HR

All Holdings (271 positions)

#StockSharesValue% PortfolioType
101
ROKURoku
2,636,614$196.0B150.61%
102
XYLXylem
1,638,523$190.1B146.07%
103
FASTFastenal
2,578,451$185.4B142.47%
104
ALBAlbemarle Corp
2,134,166$183.7B141.16%
105
FNDFloor & Decor Holdings
1,839,545$183.4B140.93%
106
IBNICICI Bank ADR
6,088,773$181.8B139.70%
107
LINELineage Inc
3,098,580$181.5B139.45%
108
CXCemex ADR
31,697,814$178.8B137.37%
109
PENPenumbra Inc
730,233$173.4B133.25%
110
RXRXRecursion Pharmaceuticals Inc
24,864,058$168.1B129.15%
111
GHGuardant Health
5,449,100$166.5B127.91%
112
YMMFull Truck Alliance Co Ltd ADR
15,043,697$162.8B125.07%
113
PGProcter & Gamble
943,875$158.2B121.59%
114
GOOGLAlphabet Inc Class A
832,818$157.7B121.14%
115
TFIITFI International
1,100,368$148.6B114.19%
116
BCBrunswick Corp
2,051,194$132.7B101.94%
117
NYTNew York Times Co
2,536,795$132.0B101.46%
118
ENSGThe Ensign Group
984,609$130.8B100.52%
119
LMNDLemonade Inc
3,383,887$124.1B95.37%
120
FNFabrinet
553,038$121.6B93.44%
121
NEOGNeogen Corp
9,749,003$118.4B90.94%
122
PEPPepsico
709,186$107.8B82.86%
123
SPTSprout Social
3,494,823$107.3B82.47%
124
AXONAxon Enterprise Inc
170,750$101.5B77.97%
125
CMECME Group Inc
396,944$92.2B70.83%
126
CPCanadian Pacific Kansas City Ltd
1,206,416$87.3B67.09%
127
PJXPetrobras Pref ADR
6,964,302$82.5B63.36%
128
COURCoursera Inc
8,876,535$75.4B57.98%
129
UPSUnited Parcel Service
593,605$74.9B57.52%
130
G4RABanco De Chile ADR
3,236,373$73.4B56.40%
131
MNDYmonday.com
311,690$73.4B56.39%
132
ZZillow Group Inc Class C
987,643$73.1B56.20%
133
MKTXMarketAxess Holdings
303,200$68.5B52.66%
134
SBUXStarbucks Corp
737,967$67.3B51.74%
135
CSCOCisco Systems
1,088,862$64.5B49.53%
136
INFYInfosys Ltd ADR
2,907,660$63.7B48.97%
137
INTUIntuit
98,283$61.8B47.46%
138
VRTXVertex Pharmaceuticals Inc
149,838$60.3B46.36%
139
BBDBanco Bradesco Pn ADR
30,741,854$58.7B45.12%
140
EXASExact Sciences
1,012,727$56.9B43.73%
141
HDHome Depot
138,216$53.8B41.31%
142
KOCoca Cola
852,417$53.1B40.78%
143
EWEdwards Lifesciences Corp
706,796$52.3B40.20%
144
WRBYWarby Parker Inc
2,146,690$52.0B39.93%
145
SQMSQM ADR
1,362,356$49.5B38.06%
146
TROWT. Rowe Price
431,485$48.8B37.49%
147
ITUBItau Unibanco Holding SA-ADR
9,280,586$46.0B35.37%
148
UPWKUpwork Inc
2,799,071$45.8B35.16%
149
CGNXCognex Corp
1,267,739$45.5B34.93%
150
RAMPLiveramp Holdings Inc
1,416,642$43.0B33.06%
151
MCDMcDonald's
147,954$42.9B32.96%
152
MDTMedtronic
517,380$41.3B31.75%
153
CYBRCyberArk Software Ltd
123,275$41.1B31.56%
154
AMSCAmerican Superconductor Corp
1,649,790$40.6B31.22%
155
SVVSavers Value Village
3,689,478$37.8B29.06%
156
TWSTTwist Bioscience Corp
777,537$36.1B27.76%
157
APPNAppian Corp
1,095,052$36.1B27.75%
158
ABCLAbcellera Biologics Inc
12,236,465$35.9B27.55%
159
FROGJFrog Ltd
1,194,717$35.1B27.00%
160
LULufax Holding Ltd
14,667,069$35.1B26.93%
161
NVCRNovocure Ltd
1,161,310$34.6B26.59%
162
TRUPTrupanion
701,366$33.8B25.97%
163
AEHRAehr Test Systems
2,023,559$33.6B25.86%
164
JMIAJumia Technologies Ag ADR
8,777,057$33.5B25.76%
165
DNAGinkgo Bioworks Holdings Inc
3,357,386$33.0B25.33%
166
HSYHershey Foods Corporation
183,716$31.1B23.91%
167
XMTRXometry Inc - A
710,196$30.3B23.28%
168
DLOdLocal
2,613,514$29.4B22.61%
169
WABWabtec
152,782$29.0B22.26%
170
STAAStaar Surgical
1,153,886$28.0B21.54%
171
IPGPIPG Photonics Corp
375,546$27.3B20.98%
172
TNDMTandem Diabetes Care
746,109$26.9B20.65%
173
BKNGBooking Holdings Inc
5,375$26.7B20.52%
174
ESEversource Energy
454,384$26.1B20.05%
175
PAYXPaychex
181,359$25.4B19.54%
176
BEKEKE Holdings ADR
1,317,362$24.3B18.64%
177
AMBAAmbarella
329,200$23.9B18.40%
178
MRSHMarsh & McLennan
108,919$23.1B17.78%
179
MPMP Materials
1,482,473$23.1B17.77%
180
PGNYProgyny
1,332,690$23.0B17.66%
181
SKYTSkyWater Technology
1,665,284$23.0B17.66%
182
VECOVeeco Instruments
778,280$20.9B16.02%
183
SDGRSchrodinger
1,054,403$20.3B15.63%
184
BURBurford Capital
1,487,490$19.3B14.82%
185
DMRCDigimarc
492,530$18.4B14.17%
186
BEPCBrookfield Renewable
663,077$18.3B14.09%
187
BLBlackline
297,953$18.1B13.91%
188
MSAMSA Safety
108,897$18.1B13.87%
189
TMDXTransMedics Group
269,836$16.8B12.93%
190
SANASana Biotechnology Inc
10,233,573$16.7B12.82%
191
ERIIEnergy Recovery
1,119,841$16.5B12.65%
192
PGRProgressive
67,493$16.2B12.43%
193
PAYCPaycom Software
78,503$16.1B12.36%
194
MNSTMonster Beverage
303,618$16.0B12.26%
195
TJXTJX Companies
122,465$14.8B11.37%
196
PYPLPayPal
166,823$14.2B10.94%
197
AMTAmerican Tower Corp REIT
76,215$14.0B10.74%
198
CRLCharles River Laboratories International
75,411$13.9B10.70%
199
CSLCarlisle Companies
37,472$13.8B10.62%
200
RXSTRxSight Inc
398,907$13.7B10.54%
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