MARSHALL WACE, LLP Q1 2020 Filing

Filed May 15, 2020

Portfolio Value

$10.0B

Holdings

1,574

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (1,574 positions)

#StockSharesValue% PortfolioType
601
NTGRNETGEAR INC
3,095$71.0M0.71%
602
IWBISHARES-RUS 1000
492$70.0M0.70%
603
RRRRED ROCK RESOR-A
8,134$70.0M0.70%
604
TORTOISE -CW24
250,000$70.0M0.70%
605
EDCONS EDISON INC
900$70.0M0.70%
606
SAILEURSAILPOINT TECHNO
4,528$69.0M0.69%
607
ELSEQUITY LIFESTYLE
1,204$69.0M0.69%
608
ESEVERSOURCE ENERG
878$69.0M0.69%
609
CYPRESS SEMICON
2,925,259$68.2M0.68%
610
FBL FINL GROUP-A
1,467$68.0M0.68%
611
FIXXEURHOMOLOGY MEDICIN
4,358$68.0M0.68%
612
CCCHEMOURS CO
7,702$68.0M0.68%
613
NVDANVIDIA CORP
257,153$67.8M0.68%
614
IQVIQVIA HOLDINGS I
626,120$67.5M0.67%
615
TRVTRAVELERS COS IN
676$67.0M0.67%
616
DIRTT ENVIRONMEN
67,425$67.0M0.67%
617
NFLXNETFLIX INC
176,542$66.3M0.66%
618
IDXXIDEXX LABS
271$65.0M0.65%
619
PSXPHILLIPS 66
1,218$65.0M0.65%
620
MGKVANG MEGA GROWTH
514$65.0M0.65%
621
SYSTEMAX INC
3,635$64.0M0.64%
622
CAMBRIDGE BNCRP
1,216$63.0M0.63%
623
FUTUFUTU HOLDING-ADR
6,668$63.0M0.63%
624
PEGPUB SERV ENTERP
1,398$63.0M0.63%
625
ALNTALLIED MOTION TE
2,597$62.0M0.62%
626
CRNXCRINETICS PHARMA
4,246$62.0M0.62%
627
NKENIKE INC -CL B
745,083$61.6M0.62%
628
FDISFID-CONS DISCRET
1,616$61.0M0.61%
629
SAMBOSTON BEER-A
164,974$60.6M0.61%
630
ICUIICU MEDICAL
298$60.0M0.60%
631
MPWRMONOLITHIC POWER
361$60.0M0.60%
632
TROWT ROWE PRICE GRP
610$60.0M0.60%
633
UNITY BIOTECHNOL
10,392$60.0M0.60%
634
THTARGET HOSP-CW25
299,996$60.0M0.60%
635
WCNWASTE CONNECTION
763$59.0M0.59%
636
QSRRESTAURANT BRAND
1,452,964$58.2M0.58%
637
DXCDXC TECHNOLOGY C
4,452$58.0M0.58%
638
AWCAMERICAN WATER W
488$58.0M0.58%
639
KRGKITE REALTY GROU
6,103$58.0M0.58%
640
ASMBASSEMBLY BIOSCIE
3,898$58.0M0.58%
641
COOCOOPER COS INC
206,866$57.0M0.57%
642
SSBUSDSOUTH STATE CORP
975$57.0M0.57%
643
MSIMOTOROLA SOLUTIO
428$57.0M0.57%
644
TELTE CONNECTIVITY
892$56.0M0.56%
645
CCECCAPITAL PRODUCT
7,665$56.0M0.56%
646
JCIJOHNSON CONTROLS
2,078$56.0M0.56%
647
IMTMISHARES DEVL MOM
2,096$55.0M0.55%
648
WLFCWILLIS LEASE
2,072$55.0M0.55%
649
SUISUN COMMUNITIES
437$55.0M0.55%
650
BORR DRILLING LT
115,280$55.0M0.55%
651
CLXCLOROX CO
316$55.0M0.55%
652
RGENREPLIGEN CORP
564,512$54.5M0.54%
653
LPSNUSDLIVEPERSON INC
2,286$54.0M0.54%
654
PRUPRUDENTL FINL
1,036$54.0M0.54%
655
ASPSALTISOURCE PORT
7,064$54.0M0.54%
656
VNCEVINCE HOLDING CO
13,834$54.0M0.54%
657
FETUSDFORUM ENERGY TEC
301,461$54.0M0.54%
658
CMICUMMINS INC
396$54.0M0.54%
659
CUTREURCUTERA INC
4,140$54.0M0.54%
660
MXLMAXLINEAR
4,665$54.0M0.54%
661
UNHUNITEDHEALTH GRP
216,306$53.9M0.54%
662
BMOBANK OF MONTREAL
1,072,183$53.5M0.53%
663
CHWYCHEWY INC- CL A
1,419,823$53.2M0.53%
664
CVSCVS HEALTH CORP
895,192$53.1M0.53%
665
APPFAPPFOLIO INC - A
475$53.0M0.53%
666
ACGPASSOCIATED CAP-A
1,719$53.0M0.53%
667
CPFCENTRAL PACIFIC
3,356$53.0M0.53%
668
MSFTMICROSOFT CORP
334,651$52.8M0.53%
669
DGXQUEST DIAGNOSTIC
657,205$52.8M0.53%
670
RTXRAYTHEON TECHNOL
558,601$52.7M0.53%
671
EIXEDISON INTL
940$52.0M0.52%
672
IDAIDACORP INC
589$52.0M0.52%
673
VAWVANGUARD MATER E
539$52.0M0.52%
674
GEGENERAL ELECTRIC
6,477$51.0M0.51%
675
KRPKIMBELL ROYALTY
8,799$51.0M0.51%
676
KEPKOREA ELEC P-ADR
6,811$51.0M0.51%
677
STTSTATE ST CORP
956$51.0M0.51%
678
SMBCSOUTHERN MISSOUR
2,102$51.0M0.51%
679
WELLWELLTOWER INC
1,084$50.0M0.50%
680
NVONOVO-NORDISK-ADR
813$49.0M0.49%
681
CERNCHFCERNER CORP
770$49.0M0.49%
682
GFFGRIFFON CORP
3,788$48.0M0.48%
683
OXFORD IMMUNOTEC
5,188$48.0M0.48%
684
HLTHILTON WORLDWIDE
708$48.0M0.48%
685
CDNSCADENCE DESIGN
726$48.0M0.48%
686
GHGUARDANT HEALTH
684,908$47.7M0.48%
687
MNOVMEDICINOVA INC
12,748$47.0M0.47%
688
ICEINTERCONTINENTAL
580,347$46.9M0.47%
689
E-TRACS ALER
5,697$46.0M0.46%
690
ARANTERO RESOURCES
64,730$46.0M0.46%
691
DTEDTE ENERGY CO
488$46.0M0.46%
692
ROKROCKWELL AUTOMAT
296$45.0M0.45%
693
UNFUNIFIRST CORP/MA
300$45.0M0.45%
694
CMSCMS ENERGY CORP
772$45.0M0.45%
695
ABBVABBVIE INC
585,001$44.6M0.45%
696
WMBWILLIAMS COS INC
3,140$44.0M0.44%
697
HCCWARRIOR MET COAL
4,099$44.0M0.44%
698
DBDEURDIEBOLD NIXDORF
12,492$44.0M0.44%
699
CHDCHURCH & DWIGHT
680,147$43.7M0.44%
700
WTWWILLIS TOWERS WA
256,055$43.5M0.43%
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