Marshall Wace North America L.P.

13F Filings History

Latest 13F report
Q4 2024 - Feb 13, 2025
Signature - Title
Eric Siegel - Operations Manager
Location
New York, NY
Summary
This page shows a list of all the recent 13F filings made by Marshall Wace North America L.P.. Form 13F is required to be filed within 45 days of the end of a calendar quarter. Marshall Wace North America L.P. reported 1322 stock holdings with total value $23.3B as of Q3 2021. Top holdings included AMZN, MSFT, GOOG, GOOGL, and META. MARSHALL WACE, LLP is reporting for Marshall Wace North America L.P..
Holdings Value

MARSHALL WACE, LLP is reporting for Marshall Wace North America L.P.:

Name Holdings Value Location File Number
MARSHALL WACE, LLP $79.6B London, United Kingdom 028-11304
Quarter Holdings Value $ Bought Sold Net Top Holdings Form Type Date Filed
Q4 2024 13F-NT 2/13/2025, 04:12 PM
Q3 2024 13F-NT 11/14/2024, 02:41 PM
Q2 2024 13F-NT 8/14/2024, 01:45 PM
Q1 2024 13F-NT 5/15/2024, 04:08 PM
Q4 2023 13F-NT 2/14/2024, 05:12 PM
Q3 2023 13F-NT 11/14/2023, 04:04 PM
Q2 2023 13F-NT 8/14/2023, 05:21 PM
Q1 2023 13F-NT 5/15/2023, 03:28 PM
Q4 2022 13F-NT 2/14/2023, 01:43 PM
Q3 2022 13F-NT 11/14/2022, 03:00 PM
Q2 2022 13F-NT 8/15/2022, 03:19 PM
Q1 2022 13F-NT 5/16/2022, 11:29 AM
Q4 2021 13F-NT 2/14/2022, 03:11 PM
Q3 2021 1,322 $23.3B +$8.01B -$8.51B -$505M AMZN, MSFT, GOOG, GOOGL, META 13F-HR 11/15/2021, 04:31 PM
Q2 2021 86 $385M $0 $0 APP, WELL, MRK, DIDIY, YMM New Holdings 8/25/2021, 04:40 PM
Q2 2021 1,332 $23.8B +$7.08B -$9.36B -$2.28B AMZN, META, GOOG, MSFT, GOOGL Restatement 8/25/2021, 04:35 PM
Q1 2021 6 $143M $0 $0 CPRI, MRK, COUP, BILL, DDOG New Holdings 8/26/2021, 08:18 PM
Q1 2021 1,419 $24.1B +$9.73B -$9.11B +$615M AMZN, MSFT, AAPL, META, GOOG Restatement 8/26/2021, 08:15 PM
Q4 2020 10 $277M INTC, ILMN, GE, ISRG, CMI New Holdings 8/26/2021, 04:15 PM
Q4 2020 1,268 $22.2B +$10.3B -$4.41B +$5.89B AAPL, AMZN, MSFT, ZTS, GOOG Restatement 8/26/2021, 04:11 PM
Q3 2020 1,170 $15.6B +$5.34B -$4.33B +$1.01B MSFT, AMZN, AAPL, ZTS, DHR 13F-HR 11/16/2020, 02:23 PM
Q2 2020 1,119 $15.1B +$5.52B -$4.98B +$532M MSFT, AMZN, ZTS, ABBV, AAPL 13F-HR 8/13/2020, 02:56 PM
Q1 2020 1,171 $13.1B +$4.81B -$5.95B -$1.14B MSFT, AMZN, ZTS, UNH, ADBE 13F-HR 5/15/2020, 11:45 AM
Q4 2019 1,249 $20.7B +$6.57B -$3.71B +$2.86B ZTS, BA, BSX, ADBE, PFE 13F-HR 2/14/2020, 01:00 PM
Q3 2019 1,276 $17.6B +$5.86B -$2.66B +$3.2B ZTS, BA, MSFT, BSX, AAPL 13F-HR 11/14/2019, 09:00 AM
Q2 2019 1,092 $16.1B +$6.16B -$3.08B +$3.08B BSX, ZTS, META, FIS, AMZN 13F-HR 8/14/2019, 03:59 PM
Q1 2019 1,506 $14.1B ZTS, BSX, PFE, SEE, DHR New Holdings 5/29/2019, 03:58 PM
Q1 2019 1,508 $14.1B +$5.8B -$2.76B +$3.04B ZTS, BSX, PFE, SEE, DHR 13F-HR 5/14/2019, 05:00 PM
Q4 2018 1,441 $10.3B +$3.11B -$3.64B -$534M ZTS, GOOGL, MSFT, UNH, BSX 13F-HR 2/14/2019, 01:44 PM
Q3 2018 883 $14.5B MSFT, ZTS, ABMD, BSX, GPN New Holdings 12/6/2018, 03:55 PM
Q3 2018 883 $14.5B +$4.49B -$5.31B -$822M MSFT, ZTS, ABMD, BSX, GPN 13F-HR 11/14/2018, 01:24 PM
Q2 2018 1,341 $17.7B +$5.73B -$6.07B -$342M MSFT, BSX, DGX, META, ZTS 13F-HR 8/14/2018, 04:45 PM
Q1 2018 1,390 $20B +$9.2B -$5.09B +$4.11B MSFT, SPGI, BSX, META, ZTS 13F-HR 5/15/2018, 03:29 PM
Q4 2017 1,335 $18.1B +$8.56B -$4.16B +$4.4B META, GOOGL, JNJ, ZTS, BSX Restatement 3/29/2018, 12:43 PM
Q3 2017 1,205 $15.8B +$7.43B -$3.72B +$3.71B JNJ, META, ZTS, QQQXXXX, GOOGL 13F-HR 11/13/2017, 10:43 AM
Q2 2017 1,264 $13.7B +$6.07B -$3.9B +$2.17B META, GOOGL, KEYS, SPGI, ZTS 13F-HR 8/4/2017, 12:07 PM
Q1 2017 934 $12.6B TMUS, AMZN, ZTS, META, SPGI 13F-HR 5/12/2017, 01:38 PM
Q4 2016 13F-NT 2/10/2017, 02:11 PM
Q3 2016 13F-NT 11/10/2016, 01:50 PM
Q2 2016 13F-NT 8/12/2016, 04:40 PM
Q1 2016 13F-NT 5/13/2016, 12:15 PM
Q4 2015 13F-NT 2/10/2016, 11:02 AM
Q3 2015 13F-NT 11/12/2015, 11:05 AM
Q2 2015 13F-NT 8/14/2015, 07:45 AM
Q1 2015 13F-NT 5/11/2015, 06:44 AM
Q4 2014 13F-NT 2/17/2015, 09:32 AM
Q3 2014 13F-NT 11/13/2014, 09:13 AM
Q2 2014 13F-NT 8/14/2014, 05:00 PM
Q1 2014 13F-NT 5/14/2014, 11:11 AM
Q4 2013 677 $4.65B TMUS, ZTS, GOOGLXXXX, CMCSA, C 13F-HR 2/14/2014, 01:11 PM