SEC Form 13F

WCM INVESTMENT MANAGEMENT, LLC 13F Holdings

Inspect WCM INVESTMENT MANAGEMENT, LLC's 2026-06-30 SEC 13F positions, public filing date, amendments and original receipt.

As of 2026-08-14T03:59:59.999Z

Report period
2026-06-30
Publicly available
2026-08-14
Reported value
$55,159,073,519
Positions
266

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Step 1 of 3

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
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Step 2 of 3

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: 0001062993-26-004287
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Step 3 of 3

Browse institutional filings

Open the effective filing receipt and inspect shares, value and any put/call classification separately.

Browse institutional filings
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Disclosed positions

See the complete disclosed positions

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SEAGATE TECHNOLOGY HLDNGS PLSTXORD SHS$5,153,028,1725,320,463SHNone
TAIWAN SEMICONDUCTOR MANUFACTSMSPONSORED ADS$4,214,912,9219,261,509SHNone
SEA LTDSESPONSORD ADS$3,149,256,79633,881,192SHNone
ASML HLDG NVASMLN Y REGISTRY SHS$2,728,632,9411,449,003SHNone
PHILIP MORRIS INTL INCPMCOM$1,884,434,91810,304,779SHNone
APPLOVIN CORPAPPCOM CL A$1,850,064,4343,709,328SHNone
LINDE PLCLINSHS$1,630,859,9063,191,132SHNone
AMAZON COM INCAMZNCOM$1,545,929,8276,437,619SHNone
CORNING INCGLWCOM$1,516,938,7115,932,726SHNone
ICICI BANK LIMITEDIBNADR$1,512,219,81251,506,124SHNone
TEVA PHARMACEUTICAL INDS LTDTEVASPONSORED ADS$1,376,210,37841,315,232SHNone
CANADIAN PACIFIC KANSAS CITYCPCOM$1,328,142,28415,281,812SHNone
SPOTIFY TECHNOLOGY S ASPOTSHS$1,313,124,1122,840,477SHNone
ARCH CAP GROUP LTDACGLORD$1,174,128,71211,973,574SHNone
ILLUMINA INCILMNCOM$1,124,033,5516,206,701SHNone
WESTERN DIGITAL CORPWDCCOM$1,063,947,0371,632,121SHNone
META PLATFORMS INCMETACL A$1,024,535,1071,821,072SHNone
FERGUSON ENTERPRISES INCFERGCOMMON STOCK NEW$998,008,1844,182,592SHNone
NU HLDGS LTDNUORD SHS CL A$977,481,25874,446,402SHNone
CARDINAL HEALTH INCCAHCOM$971,445,5374,112,461SHNone
NVIDIA CORPORATIONNVDACOM$929,505,4374,767,428SHNone
MEDTRONIC PLCMDTSHS$876,149,30210,826,014SHNone
WELLTOWER INCWELLCOM$762,167,4473,346,803SHNone
CORTEVA INCCTVACOM$745,323,4988,939,948SHNone
MICROSOFT CORPMSFTCOM$728,094,9761,975,459SHNone
VISA INCVCOM CL A$725,176,0972,122,570SHNone
MCKESSON CORPMCKCOM$716,048,576957,886SHNone
VENTAS INCVTRCOM$698,762,0527,824,883SHNone
C H ROBINSON WORLDWIDE INCHRWCOM NEW$680,568,1943,683,725SHNone
REINSURANCE GROUP AMER INCRGACOM NEW$646,037,8453,007,065SHNone
WASTE CONNECTIONS INCWCNCOM$634,134,3403,794,258SHNone
AON PLCAONSHS CL A$614,475,2731,875,859SHNone
GE AEROSPACEGECOM NEW$605,769,3361,620,961SHNone
VERTEX PHARMACEUTICALS INCVRTXCOM$575,643,7671,152,094SHNone
GALLAGHER ARTHUR J & COAJGCOM$550,893,7002,425,562SHNone
LPL FINL HLDGS INCLPLACOM$487,340,0501,810,058SHNone
ALPHABET INCGOOGLCAP STK CL A$335,008,048947,287SHNone
ALPHABET INCGOOGCAP STK CL C$334,527,457952,310SHNone
UBS GROUP AGUBSSHS$304,386,1726,150,458SHNone
NOVARTIS AGNVSSPONSORED ADR$300,106,3181,904,349SHNone
MEDLINE INCMDLNCOM CL A$293,020,9177,397,650SHNone
ROBINHOOD MKTS INCHOODCOM CL A$283,541,7652,784,462SHNone
COMFORT SYS USA INCFIXCOM$282,410,001144,923SHNone
ASTRAZENECA PLCAZNORD$248,756,0591,310,660SHNone
CANADIAN NAT RES LTD MED TERCNQCOM$230,062,1315,852,509SHNone
BROOKDALE SR LIVING INCBKDCOM$229,225,05614,453,030SHNone
AMERICAN HEALTHCARE REIT INCAHRCOM SHS$206,268,2963,966,698SHNone
TAPESTRY INCTPRCOM$199,863,2861,363,696SHNone
TC ENERGY CORPTRPCOM$189,068,2582,759,365SHNone
NATIONAL GRID PLCNGGSPONSORED ADR NE$183,553,0882,191,417SHNone

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.

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