Portfolio Holdings & Fund Performance - WELLINGTON MANAGEMENT GROUP LLP

List of all securities held by WELLINGTON MANAGEMENT GROUP LLP:

  1. Institutional investors with $100 million or more in holdings are required to report their portfolio holdings on a quarterly basis within 45 days of the end of a calendar quarter. The table below are the quarterly holdings reports filed by the company.
  2. Include common stocks, preferred stocks, call options, put options, and corporate notes or bonds.
  3. Include total shares owned, as well the security's market value if available.
  4. Portfolio values with missing quarterly reports are assigned zero.
  5. Shares are not adjusted for stock split. Therefore, in the money flow chart, you may see spikes due to abnormal changes in the number of shares.
"Insiders might sell their shares for any number of reasons, but they buy them for only one: they think the price will rise"
- Peter Lynch
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Quarter: 2023Q3
Report Date: 2023-12-01 11:50:18
Total Holdings: 18
Assets Under Management (AUM) :
$894,432,958 ($894.43M)
Reporting Manager: Jason Cronin
Title: Managing Director

BOSTON, MA 02210

Additional Information:

Other Included Managers:
  1. New York Life Investment Management LLC
  2. Wellington Management Company LLP
  3. Wellington Managment Canada LLC
  4. Wellington Management Hong Kong Ltd
  5. Wellington Management Japan Pte Ltd
  6. Wellington Management Singapore Pte. Ltd.
  7. Wellington Management International Ltd
  8. Wellington Trust Company, NA
  9. Wellington Management Australia Ltd
  10. Wellington Management Europe GmbH
Since : total money flow = , gains and losses =

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