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Disclosed positions
WCM INVESTMENT MANAGEMENT, LLC: source evidence dated 2026-08-14T03:59:59.999Z.
- Issuer
- SEAGATE TECHNOLOGY HLDNGS PL
- Ticker
- STX
- Class
- ORD SHS
- Reported value
- $5,153,028,172
- Reported amount
- 5,320,463
- Unit
- SH
- Option
- None
The displayed owner or issuer and source fields identify the receipt to verify; keep reporting and availability dates separate.
What was reported for this quarter?
13F positions are dated quarter-end holdings, with later publication and possible amendments. Read report period and availability before calling them current.
SEC 13F-HR: 0001062993-26-004287Open the effective filing receipt and inspect shares, value and any put/call classification separately.
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Open the effective filing receipt and inspect shares, value and any put/call classification separately.
Browse institutional filingsKeep reporting dates and units beside the answer, and inspect its original citations.
Disclosed positions
See the complete disclosed positions
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| SEAGATE TECHNOLOGY HLDNGS PL | STX | ORD SHS | $5,153,028,172 | 5,320,463 | SH | None |
| TAIWAN SEMICONDUCTOR MANUFAC | TSM | SPONSORED ADS | $4,214,912,921 | 9,261,509 | SH | None |
| SEA LTD | SE | SPONSORD ADS | $3,149,256,796 | 33,881,192 | SH | None |
| ASML HLDG NV | ASML | N Y REGISTRY SHS | $2,728,632,941 | 1,449,003 | SH | None |
| PHILIP MORRIS INTL INC | PM | COM | $1,884,434,918 | 10,304,779 | SH | None |
| APPLOVIN CORP | APP | COM CL A | $1,850,064,434 | 3,709,328 | SH | None |
| LINDE PLC | LIN | SHS | $1,630,859,906 | 3,191,132 | SH | None |
| AMAZON COM INC | AMZN | COM | $1,545,929,827 | 6,437,619 | SH | None |
| CORNING INC | GLW | COM | $1,516,938,711 | 5,932,726 | SH | None |
| ICICI BANK LIMITED | IBN | ADR | $1,512,219,812 | 51,506,124 | SH | None |
| TEVA PHARMACEUTICAL INDS LTD | TEVA | SPONSORED ADS | $1,376,210,378 | 41,315,232 | SH | None |
| CANADIAN PACIFIC KANSAS CITY | CP | COM | $1,328,142,284 | 15,281,812 | SH | None |
| SPOTIFY TECHNOLOGY S A | SPOT | SHS | $1,313,124,112 | 2,840,477 | SH | None |
| ARCH CAP GROUP LTD | ACGL | ORD | $1,174,128,712 | 11,973,574 | SH | None |
| ILLUMINA INC | ILMN | COM | $1,124,033,551 | 6,206,701 | SH | None |
| WESTERN DIGITAL CORP | WDC | COM | $1,063,947,037 | 1,632,121 | SH | None |
| META PLATFORMS INC | META | CL A | $1,024,535,107 | 1,821,072 | SH | None |
| FERGUSON ENTERPRISES INC | FERG | COMMON STOCK NEW | $998,008,184 | 4,182,592 | SH | None |
| NU HLDGS LTD | NU | ORD SHS CL A | $977,481,258 | 74,446,402 | SH | None |
| CARDINAL HEALTH INC | CAH | COM | $971,445,537 | 4,112,461 | SH | None |
| NVIDIA CORPORATION | NVDA | COM | $929,505,437 | 4,767,428 | SH | None |
| MEDTRONIC PLC | MDT | SHS | $876,149,302 | 10,826,014 | SH | None |
| WELLTOWER INC | WELL | COM | $762,167,447 | 3,346,803 | SH | None |
| CORTEVA INC | CTVA | COM | $745,323,498 | 8,939,948 | SH | None |
| MICROSOFT CORP | MSFT | COM | $728,094,976 | 1,975,459 | SH | None |
| VISA INC | V | COM CL A | $725,176,097 | 2,122,570 | SH | None |
| MCKESSON CORP | MCK | COM | $716,048,576 | 957,886 | SH | None |
| VENTAS INC | VTR | COM | $698,762,052 | 7,824,883 | SH | None |
| C H ROBINSON WORLDWIDE IN | CHRW | COM NEW | $680,568,194 | 3,683,725 | SH | None |
| REINSURANCE GROUP AMER INC | RGA | COM NEW | $646,037,845 | 3,007,065 | SH | None |
| WASTE CONNECTIONS INC | WCN | COM | $634,134,340 | 3,794,258 | SH | None |
| AON PLC | AON | SHS CL A | $614,475,273 | 1,875,859 | SH | None |
| GE AEROSPACE | GE | COM NEW | $605,769,336 | 1,620,961 | SH | None |
| VERTEX PHARMACEUTICALS INC | VRTX | COM | $575,643,767 | 1,152,094 | SH | None |
| GALLAGHER ARTHUR J & CO | AJG | COM | $550,893,700 | 2,425,562 | SH | None |
| LPL FINL HLDGS INC | LPLA | COM | $487,340,050 | 1,810,058 | SH | None |
| ALPHABET INC | GOOGL | CAP STK CL A | $335,008,048 | 947,287 | SH | None |
| ALPHABET INC | GOOG | CAP STK CL C | $334,527,457 | 952,310 | SH | None |
| UBS GROUP AG | UBS | SHS | $304,386,172 | 6,150,458 | SH | None |
| NOVARTIS AG | NVS | SPONSORED ADR | $300,106,318 | 1,904,349 | SH | None |
| MEDLINE INC | MDLN | COM CL A | $293,020,917 | 7,397,650 | SH | None |
| ROBINHOOD MKTS INC | HOOD | COM CL A | $283,541,765 | 2,784,462 | SH | None |
| COMFORT SYS USA INC | FIX | COM | $282,410,001 | 144,923 | SH | None |
| ASTRAZENECA PLC | AZN | ORD | $248,756,059 | 1,310,660 | SH | None |
| CANADIAN NAT RES LTD MED TER | CNQ | COM | $230,062,131 | 5,852,509 | SH | None |
| BROOKDALE SR LIVING INC | BKD | COM | $229,225,056 | 14,453,030 | SH | None |
| AMERICAN HEALTHCARE REIT INC | AHR | COM SHS | $206,268,296 | 3,966,698 | SH | None |
| TAPESTRY INC | TPR | COM | $199,863,286 | 1,363,696 | SH | None |
| TC ENERGY CORP | TRP | COM | $189,068,258 | 2,759,365 | SH | None |
| NATIONAL GRID PLC | NGG | SPONSORED ADR NE | $183,553,088 | 2,191,417 | SH | None |
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Largest 50 positions by reported value; the filing may contain more positions.
How amendments affect these holdings
This view uses 1 effective filing version(s). A restatement replaces the previous book; a new-holdings amendment adds positions. 2 positions lack a resolved ticker and 0 positions are put or call entries.
A 13F is a delayed quarterly snapshot of disclosed holdings. It is not a complete trade ledger and does not reveal every position in a manager's portfolio. Option values refer to the reported underlying position rather than a traded option premium.
Quarter end and public filing date
Use the filing's public availability date when constructing a historical observation. The quarter-end report period is earlier and cannot be substituted for when the public learned the holdings.
