Universe · entity

C WorldWide Group Holding A/S

Institutional manager (13F) · CIK 1625244
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $4M
#IssuerValueShares
1ALPHABET INC$418k1,457,872
2LINDE PLC$328k661,663
3VISA INC$296k980,570
4MICROSOFT CORP$294k794,890
5THERMO FISHER SCIENTIFIC INC$291k591,542
6AMAZON INC$272k1,307,567
7PARKER-HANNIFIN CORP$254k284,201
8TAIWAN SEMICONDUCTOR MANUFAC$230k681,368
9NEXTERA ENERGY INC$223k2,401,182
10REPUBLIC SVCS INC$200k913,159
11HDFC BANK LTD$182k7,332,764
12INTERCONTINENTAL EXCHANGE IN$162k1,032,542
13S&P GLOBAL INC$160k377,102
14PROGRESSIVE CORP$136k687,769
15AON PLC$129k399,312
16UBER TECHNOLOGIES INC$98k1,366,185
17MERCADOLIBRE INC$92k52,974
18ICICI BANK LIMITED$49k1,900,376
19EDWARDS LIFESCIENCES CORP$37k461,167
20INTUITIVE SURGICAL INC$36k78,311
21ROYALTY PHARMA PLC$32k661,776
22DEX INC$30k484,000
23TRIP COM GROUP LTD$30k601,167
24NATERA INC$28k138,000
25IONIS PHARMACEUTICALS INC$27k366,000
26INSMED INC$26k161,110
27PENUMBRA INC$24k72,000
28GLAUKOS CORP$22k207,212
29MEDTRONIC PLC$22k255,000
30INSULET CORP$21k99,908
31VERTEX PHARMACEUTICALS INC$21k46,057
32ELEVANCE HEALTH INC FORMERLY$19k65,000
33SERVICE CORP INTL$19k229,430
34META PLATFORMS INC$18k32,045
35KRYSTAL BIOTECH INC$18k67,809
36NEUROCRINE BIOSCIENCES INC$16k125,000
37SEA LTD$16k193,607
38BIOMARIN PHARMACEUTICAL INC$15k267,851
39SYNOPSYS INC$15k37,365
40ALIGN TECHNOLOGY INC$14k83,428
41CLEAN HARBORS INC$14k49,871
42MSCI INC$13k24,208
43HESAI GROUP$13k670,173
44RESMED INC$13k55,939
45PRIVIA HEALTH GROUP INC$13k610,000
46FERGUSON ENTERPRISES INC$12k52,738
47PTC INC$12k84,002
48VAXCYTE INC$11k195,000
49BOSTON SCIENTIFIC CORP$11k180,000
50WATERS CORP$11k36,442
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.