Universe · entity

Man Group plc

Institutional manager (13F) · CIK 1637460
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $18.8B
#IssuerValueShares
1NVIDIA CORPORATION$1.8B10,078,031
2APPLE INC$1.5B5,993,037
3MICROSOFT CORP$1.3B3,399,672
4ALPHABET INC$875M3,042,111
5AMAZON COM INC$774M3,717,154
6BROADCOM INC$654M2,113,304
7META PLATFORMS INC$605M1,056,869
8ALPHABET INC$465M1,620,182
9TE CONNECTIVITY PLC$419M2,002,818
10ELI LILLY & CO$388M422,016
11ABBVIE INC$386M1,774,415
12KINROSS GOLD CORP$383M12,564,118
13MASTERCARD INCORPORATED$378M755,983
14TAIWAN SEMICONDUCTOR MANUFAC$374M1,106,953
15COSTCO WHOLESALE CORPORATION$356M357,691
16BRISTOL-MYERS SQUIBB CO$343M5,658,497
17JPMORGAN CHASE & CO$341M1,159,774
18ADOBE INC$305M1,256,780
19VICI PPTYS INC$299M10,926,861
20PEPSICO INC$296M1,906,348
21FORD MTR CO$286M24,745,116
22GENERAL MTRS CO$278M3,726,449
23TESLA INC$263M707,998
24HDFC BANK LTD$261M10,492,381
25LAM RESEARCH CORP$254M1,187,713
26BOOKING HOLDINGS INC$248M58,992
27BARRICK MNG CORP$248M6,070,606
28AMETEK INC$244M1,139,692
29REGENERON PHARMACEUTICALS$244M315,212
30AMPHENOL CORP$243M1,925,820
31AUTODESK INC$237M991,782
32ARISTA NETWORKS INC$236M1,923,339
33GE AEROSPACE$236M830,158
34BOSTON SCIENTIFIC CORP$233M3,718,731
35SERVICENOW INC$232M2,219,481
36T-MOBILE US INC$216M1,027,775
37PG&E CORP$210M11,967,886
38ECOLAB INC$203M763,859
39TOTALENERGIES SE$201M2,151,700
40CARDINAL HEALTH INC$198M935,759
41MANULIFE FINL CORP$194M5,658,350
42TJX COS INC NEW$190M1,189,019
43MICRON TECHNOLOGY INC$189M558,256
44ANGLOGOLD ASHANTI PLC$188M1,936,017
45VISA INC$188M621,709
46ICICI BANK LIMITED$184M7,122,400
47BANK AMERICA CORP$184M3,782,655
48APPLIED MATLS INC$184M538,814
49CITIGROUP INC$184M1,623,605
50NEWMONT CORP$180M1,666,433
All filings on EDGAR ↗

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