Universe · entity

WILLIAM BLAIR INVESTMENT MANAGEMENT, LLC

Institutional manager (13F) · CIK 1644956
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $17.4B
#IssuerValueShares
1TAIWAN SEMICONDUCTOR MANUFAC$1.9B5,518,260
2NVIDIA CORPORATION$1.6B8,941,756
3APPLE INC$1.2B4,812,433
4MICROSOFT CORP$1.1B2,896,782
5ALPHABET INC$720M2,504,605
6BROADCOM INC$681M2,201,558
7AMAZON COM INC$659M3,163,629
8META PLATFORMS INC$580M1,013,122
9MASTERCARD INCORPORATED$530M1,060,651
10ASTRAZENECA PLC$377M1,942,155
11LINDE PLC$315M636,338
12CARLYLE GROUP INC$305M6,301,109
13COSTCO WHOLESALE CORPORATION$301M302,468
14ITAU UNIBANCO HLDG S A$266M31,684,708
15TWIST BIOSCIENCE CORP$250M5,269,718
16SERVICENOW INC$248M2,371,614
17PRIMO BRANDS CORPORATION$246M13,056,192
18MUELLER INDS INC$234M2,109,729
19INTUIT$231M533,736
20MONSTER BEVERAGE CORP NEW$213M2,935,247
21ADVANCED MICRO DEVICES INC$212M1,042,594
22CREDICORP LTD$211M622,690
23AGILENT TECHNOLOGIES INC$205M1,795,764
24OREILLY AUTOMOTIVE INC$204M2,210,034
25BWX TECHNOLOGIES INC$201M981,782
26TRANSUNION$200M2,891,187
27ONTO INNOVATION INC$198M964,213
28IDEXX LABS INC$198M351,621
29NEXTPOWER INC$196M1,622,489
30ARGENX SE$194M266,067
31CAVA GROUP INC$194M2,393,971
32LATTICE SEMICONDUCTOR CORP$190M2,043,720
33F5 INC$188M649,948
34AKAMAI TECHNOLOGIES INC$186M1,619,060
35CAMECO CORP$183M1,682,303
36UNITEDHEALTH GROUP INC$182M673,263
37MADRIGAL PHARMACEUTICALS INC$178M340,519
38NU HLDGS LTD$176M12,267,600
39GLOBUS MED INC$173M2,009,763
40C H ROBINSON WORLDWIDE IN$173M1,041,658
41EVERPURE INC$170M2,881,481
42SNOWFLAKE INC$170M1,127,525
43TALEN ENERGY CORP$168M525,214
44GRAND CANYON ED INC$167M979,734
45EVEREST GROUP LTD$165M506,166
46HALOZYME THERAPEUTICS INC$163M2,525,975
47MARTIN MARIETTA MATLS INC$160M272,392
48COHERENT CORP$159M668,137
49CURTISS WRIGHT CORP$158M232,069
50REGAL REXNORD CORPORATION$157M837,493
All filings on EDGAR ↗

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