Filer Name: WCM INVESTMENT MANAGEMENT, LLC
CIK: 1061186
Period: 2024-12-31
Filed At: 2025-01-28
Number of Holdings: 288
Portfolio Value: $42.52B

Wcm Investment Management, Llc Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
SE US SEA LTD-ADR 25,663,667 $2,758M 6.49% 22.8% -
APP US APPLOVIN CORP-CLASS A 6,927,558 $2,323M 5.46% -36.0% -
TSM US TAIWAN SEMICONDUCTOR-SP ADR 9,674,965 $1,939M 4.56% -0.6% -
SPOT US SPOTIFY TECHNOLOGY SA 3,789,283 $1,712M 4.03% -2.2% -
CP US CANADIAN PACIFIC KANSAS CITY 22,598,823 $1,626M 3.82% -6.5% -
IBN US ICICI BANK LTD-SPON ADR 53,688,823 $1,618M 3.80% -14.8% -
LIN US LINDE PLC 3,329,891 $1,391M 3.27% -2.8% -
ICLR US ICON PLC 6,334,890 $1,328M 3.12% -4.8% -
AMZN US AMAZON.COM INC 5,816,137 $1,287M 3.03% -1.0% -
ACGL US ARCH CAPITAL GROUP LTD 13,426,213 $1,234M 2.90% -3.6% -
CPNG US COUPANG INC 49,608,511 $1,102M 2.59% -4.0% -
WCN US WASTE CONNECTIONS INC 6,365,380 $1,090M 2.56% -17.3% -
ASML US ASML HOLDING NV-NY REG SHS 1,557,144 $1,084M 2.55% -3.1% -
TEAM US ATLASSIAN CORP-CL A 4,319,405 $1,067M 2.51% -3.3% -
MNDY US MONDAY.COM LTD 4,061,614 $956M 2.25% -3.1% -
STE US STERIS PLC 4,497,191 $922M 2.17% -3.9% -
GE US GENERAL ELECTRIC 5,445,987 $915M 2.15% -1.7% -
MELI US MERCADOLIBRE INC 499,405 $860M 2.02% -6.5% -
NVDA US NVIDIA CORP 6,086,338 $837M 1.97% -0.5% -
NU US NU HOLDINGS LTD/CAYMAN ISL-A 78,151,351 $832M 1.96% -21.9% -
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