13F Notebook
← Dashboard
Fund detail

WCM Investment Management

growth, quality, international, active

Quarters 53
2018-09-30 $11.16B
Positions 78
Showing 30 of 87 rows

Price is the latest implied close from the selected quarter's 13F (value ÷ shares). Est. Cost is a running average that assumes each quarter's trades cleared near the midpoint of consecutive 13F closes (or yfinance VWAP when available). Most accurate for slow accumulators, least accurate for activists who build positions in a few days.

# Issuer Value ↓ Weight Shares Share Δ Share Δ % Prev Weight First Held Price Est. Cost Unrealized % Status
1 TAIWAN SEMICONDUCTOR MFG LTD TSM $1.04B 9.31% 23,540,605 +903,416 +3.99% 8.56% 2013-03-31 $44 ~$26 +72.62%
2 SHOPIFY INC SHOP $1.03B 9.20% 6,241,877 +439,208 +7.57% 8.75% 2018-03-31 $164 ~$137 +20.38%
3 ACCENTURE PLC IRELAND $1.01B 9.00% 5,905,897 +212,432 +3.73% 9.63% 2016-06-30 $170 ~$123 +38.59%
4 CANADIAN PAC RY LTD $994.8M 8.91% 4,693,885 +348,114 +8.01% 8.22% 2013-09-30 $212 ~$154 +37.47%
5 CHUBB LIMITED $896.3M 8.03% 6,706,938 +251,602 +3.90% 8.48% 2016-03-31 $134 ~$137 -2.44%
6 HDFC BANK LTD HDB $865.5M 7.75% 9,197,532 +353,563 +4.00% 9.60% 2015-09-30 $94 ~$71 +32.48%
7 METTLER TOLEDO INTERNATIONAL MTD $863.4M 7.73% 1,417,856 +506,729 +55.62% 5.45% 2018-06-30 $609 ~$584 +4.27%
8 ICON PLC $768.9M 6.89% 5,000,711 +367,131 +7.92% 6.35% 2015-06-30 $154 ~$82 +88.00%
9 CORE LABORATORIES N V $564.1M 5.05% 4,870,060 -415,096 -7.85% 6.90% 2013-03-31 $116 ~$120 -3.09%
10 RYANAIR HLDGS PLC RYAAY $399.7M 3.58% 4,161,465 +295,462 +7.64% 4.57% 2017-12-31 $96 ~$105 -8.69%
11 STERIS PLC $260.6M 2.33% 2,278,403 +1,253,653 +122.34% 1.11% 2018-06-30 $114 ~$108 +6.33%
12 VISA INC V $151.8M 1.36% 1,011,188 +55,654 +5.82% 1.31% 2016-03-31 $150 ~$95 +58.58%
13 COSTCO WHSL CORP NEW COST $151.7M 1.36% 645,718 +35,566 +5.83% 1.32% 2013-03-31 $235 ~$161 +45.61%
14 COOPER COS INC $137.5M 1.23% 496,041 +24,316 +5.15% 1.15% 2014-03-31 $277 ~$190 +46.08%
15 BOSTON SCIENTIFIC CORP BSX $136.4M 1.22% 3,542,684 +175,467 +5.21% 1.14% 2016-09-30 $38 ~$26 +47.42%
16 WEST PHARMACEUTICAL SVSC INC WST $127.9M 1.15% 1,036,034 +350,614 +51.15% 0.70% 2018-03-31 $123 ~$97 +27.65%
17 FIRST REP BK SAN FRANCISCO C FRCB $124.0M 1.11% 1,291,526 +410,403 +46.58% 0.88% 2017-03-31 $96 ~$95 +0.59%
18 AMPHENOL CORP NEW APH $123.0M 1.10% 1,308,703 +72,171 +5.84% 1.11% 2014-12-31 $94 ~$69 +35.91%
19 AMAZON COM INC AMZN $120.6M 1.08% 60,202 +3,203 +5.62% 1.00% 2013-03-31 $2,003 ~$809 +147.58%
20 VERISK ANALYTICS INC VRSK $115.2M 1.03% 955,659 +54,313 +6.03% 1.00% 2015-09-30 $121 ~$86 +40.20%
21 ECOLAB INC ECL $110.2M 0.99% 702,841 +37,802 +5.68% 0.97% 2016-06-30 $157 ~$127 +23.53%
22 MERCADOLIBRE INC MELI $109.3M 0.98% 321,033 +17,762 +5.86% 0.94% 2013-03-31 $340 ~$175 +94.75%
23 CANADIAN NATL RY CO CNI $107.0M 0.96% 1,191,430 +67,864 +6.04% 0.95% 2013-03-31 $90 ~$69 +30.82%
24 STRYKER CORP SYK $98.2M 0.88% 552,689 +26,196 +4.98% 0.92% 2018-03-31 $178 ~$162 +9.58%
25 CROWN CASTLE INTL CORP NEW CCI $98.0M 0.88% 879,866 +46,865 +5.63% 0.93% 2015-12-31 $111 ~$98 +14.08%
26 ACTIVISION BLIZZARD INC ATVIEUR $84.7M 0.76% 1,018,054 +53,451 +5.54% 0.76% 2018-06-30 $83 ~$77 +8.74%
27 SHERWIN WILLIAMS CO SHW $77.8M 0.70% 170,885 +170,885 2018-09-30 $455 ~$455 +0.00%
28 ILLUMINA INC ILMN $77.0M 0.69% 209,869 +209,869 2018-09-30 $367 ~$367 +0.00%
29 GRACO INC GGG $74.7M 0.67% 1,611,268 +1,565,581 +3426.75% 0.02% 2016-12-31 $46 ~$46 +1.54%
30 AGILENT TECHNOLOGIES INC A $72.5M 0.65% 1,027,328 +48,136 +4.92% 0.63% 2017-06-30 $71 ~$61 +15.33%