StockScan > Holders > Wcm Investment Management

Wcm Investment Management's Portfolio and 13F Filing

Value: $32.36B
Website:
CIK: 0001061186
Phone: 949-715-5721
Address: 281 Brooks Street, Laguna Beach, CA (92651)
Latest 13F Filing:
Wcm Investment Management's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 Taiwan Semiconductor Manufactur TSM $151.68 32,349,374

33,404,614

up arrow 1,055,240

$5,066,811,852 15.66%
2 MercadoLibre, Inc. MELI $1,749.17 2,367,579

2,472,811

up arrow 105,232

$4,325,366,817 13.37%
3 Accenture plc Class A Ordinary ACN $303.59 7,619,166

7,733,751

up arrow 114,585

$2,347,889,466 7.26%
4 Mettler-Toledo International, I MTD $1,522.75 1,356,013

1,403,182

up arrow 47,169

$2,136,695,391 6.60%
5 HDFC Bank Limited HDB $56.78 25,039,555

34,742,685

up arrow 9,703,130

$1,972,689,654 6.10%
6 ResMed Inc. RMD $218.57 8,690,493

8,821,570

up arrow 131,077

$1,928,130,555 5.96%
7 lululemon athletica inc. LULU $334.95 5,054,756

5,230,699

up arrow 175,943

$1,752,022,630 5.41%
8 ICON plc - Ordinary Shares ICLR $314.72 3,953,486

3,976,550

up arrow 23,064

$1,251,499,816 3.87%
9 Fair Isaac Corproation FICO $1,411.35 443,673

524,923

up arrow 81,250

$740,850,076 2.29%
10 Stryker Corporation SYK $334.68 1,757,926

2,076,640

up arrow 318,714

$695,009,875 2.15%
11 Synopsys, Inc. SNPS $566.73 21,340

1,041,913

up arrow 1,020,573

$590,483,354 1.82%
12 Ferrari N.V. RACE $422.30 1,304,575

1,362,346

up arrow 57,771

$575,318,716 1.78%
13 West Pharmaceutical Services, I WST $355.64 1,372,960

1,613,372

up arrow 240,412

$573,779,618 1.77%
14 Visa Inc. V $280.10 1,658,780

1,953,946

up arrow 295,166

$547,300,275 1.69%
15 Costco Wholesale Corporation COST $795.81 555,768

654,685

up arrow 98,917

$521,004,870 1.61%
16 Canadian Pacific Railway Limite CP $82.06 6,115,963

6,186,833

up arrow 70,870

$507,691,516 1.57%
17 Alcon Inc. ALC $88.83 5,444,352

5,713,299

up arrow 268,947

$507,512,350 1.57%
18 Thermo Fisher Scientific Inc TMO $595.30 585,061

687,006

up arrow 101,945

$408,974,672 1.26%
19 Amphenol Corporation APH $131.91 2,572,456

3,046,818

up arrow 474,362

$401,905,762 1.24%
20 Graco Inc. GGG $83.02 4,018,727

4,708,607

up arrow 689,880

$390,908,553 1.21%