WI

Wcm Investment Management, LLC

分散型投資策略趨勢追蹤型高品質投資策略

申報總市值

US$438.1億

申報季度: 2026-03-31 · 持股檔數: 291

WCM INVESTMENT MANAGEMENT, LLC在最新一期 13F 報告中揭露了 291 項持股,申報期為 2026-03-31,總持股市值約為 US$438.1億,季度換手率為 34.9%。

機構性格雪花圖

集中度
11.4
持倉穩定性
34.89
動能/逆勢
100
產業集中度
54.21
多樣化
100
倉位均衡度
74.47

近期動向

  • 減碼 APP

    +5.2% -US$14.4億

  • 減碼 CPNG

    -96.0% -US$11.3億

  • 減碼 MELI

    -99.9% -US$9.8億

  • 加碼 TEVA

    +191.4% US$7.2億

  • 加碼 WDC

    -1.9% US$4.7億

  • 減碼 WCN

    -38.4% -US$4.9億

持倉地圖

新建倉加碼不變減碼

前十大持股佔比

本季完整持股清單

僅顯示前 263 大持股(共 291 檔)

#代號標的名稱資產子類別佔比佔比變動持倉量變化4Q Trend
1TSMTaiwan Semiconductor-sp Adr股票-科技6.74%-5.01%
2SESea Ltd-adr股票-通訊服務6.03%-0.80%+30.48%
3ASMLASML Holding N.V.股票-科技4.36%+0.19%-19.42%
4APPApplovin Corp-class A股票-科技4.25%-2.54%+5.16%
5PMPhilip Morris International股票-非循環性消費4.06%-0.21%
6WDCWestern Digital CORP股票-科技3.77%+1.34%-1.93%
7LINLinde plc股票-原物料3.69%+0.80%-1.19%
8STXSeagate Technology Holdings plc股票-科技3.60%+0.63%-15.67%
9IBNIcici Bank Ltd-spon Adr股票-金融3.00%-0.28%-2.00%
10CPCanadian Pacific Kansas City股票-工業2.85%-1.37%
11AMZNAmazon.com INC股票-循環性消費2.83%-0.11%+0.46%
12ACGLArch Capital Group Ltd.股票-金融2.75%+0.11%-5.13%
13TEVATeva Pharmaceutical-sp Adr股票-醫療保健2.64%+1.74%+191.43%
14SPOTSpotify Technology S.A.股票-通訊服務2.62%-0.30%-1.66%
15GLWCorning INC股票-科技2.38%+0.88%-1.43%
16NUNu Holdings Ltd.股票-金融2.25%-0.32%-1.49%
17FERGFerguson Enterprises INC股票-工業2.22%-1.31%
18MDTMedtronic plc股票-醫療保健2.20%+2.20%NEW
19CAHCardinal Health INC股票-醫療保健1.89%-0.65%
20MCKMckesson CORP股票-醫療保健1.83%-1.27%
21NVDANvidia CORP股票-科技1.76%+0.01%+3.13%
22SHOPShopify INC - Class A股票-科技1.70%-0.56%-0.27%
23CTVACorteva INC股票-原物料1.65%+0.43%-1.05%
24ILMNIllumina INC股票-醫療保健1.63%+0.52%+45.49%
25MSFTMicrosoft CORP股票-科技1.58%-0.37%-0.96%
26WELLWelltower INC股票-房地產1.45%-0.75%
27AONAon plc股票-金融1.44%-0.02%-1.70%
28WCNWaste Connections INC股票-工業1.43%-0.88%-38.35%
29GEGeneral Electric股票-工業1.43%-0.05%-0.98%
30VVisa Inc-class A Shares股票-金融1.41%-0.11%-1.03%
31CHRWC.h. Robinson Worldwide INC股票-工業1.32%+1.32%NEW
32RGAReinsurance Group Of America股票-金融1.29%+3.01%
33LPLALpl Financial Holdings INC股票-金融1.19%-0.09%+0.75%
34AJGArthur J Gallagher & Co股票-金融1.16%-0.12%-0.75%
35VRTXVertex Pharmaceuticals INC股票-醫療保健1.13%-0.69%
36MDLNMedline Inc-cl A股票-其他0.70%-1.45%
37GDDYGodaddy INC - Class A股票-科技0.62%-0.23%+1.02%
38CNQCanadian Natural Resources股票-能源0.58%+0.29%+22.42%
39NVSNovartis Ag-sponsored Adr股票-醫療保健0.50%+0.50%NEW
40UBSUBS Group AG股票-金融0.49%+12.26%
41CRSCarpenter Technology股票-工業0.40%+10.23%
42HOODRobinhood Markets INC - A股票-金融0.40%-0.83%-47.49%
43BKDBrookdale Senior Living INC股票-其他0.39%+0.39%NEW
44AHRAmerican Healthcare Reit INC股票-房地產0.37%+0.50%
45TPRTapestry INC股票-循環性消費0.35%+20.36%
46FIXComfort Systems USA INC股票-工業0.34%+0.16%+24.54%
47SAPSap Se-sponsored Adr股票-科技0.32%-0.24%-25.56%
48BTIBritish American Tob-sp Adr股票-非循環性消費0.31%+0.30%+3899.69%
49LYGLloyds Banking Group Plc-adr股票-金融0.29%+0.29%NEW
50BAPCredicorp Ltd.股票-金融0.19%-8.05%
150 of 263

本季持股變動

Wcm Investment Management, LLC 在 2026-03-31 最顯著的持倉異動: 新建倉: Medtronic plc (MDT); 新建倉: C.h. Robinson Worldwide INC (CHRW); 清倉: monday.com Ltd. (MNDY); 清倉: GE Vernova INC (GEV); 清倉: Astrazeneca Plc-spons Adr (AZNN).

Wcm Investment Management, LLC 於截至 2026-03-31 該季申報之持倉異動,含代號、發行人、權重變化、股數變化與操作類型
#代號標的名稱佔比變動持倉量變化異動類型
1TEVATeva Pharmaceutical-sp Adr+1.7%+191.43%加碼
2WDCWestern Digital CORP+1.3%-1.93%減碼
3GLWCorning INC+0.9%-1.43%減碼
4LINLinde plc+0.8%-1.19%減碼
5STXSeagate Technology Holdings plc+0.6%-15.67%減碼
6ILMNIllumina INC+0.5%+45.49%加碼
7CTVACorteva INC+0.4%-1.05%減碼
8BTIBritish American Tob-sp Adr+0.3%+3899.69%加碼
9CNQCanadian Natural Resources+0.3%+22.42%加碼
10ASMLASML Holding N.V.+0.2%-19.42%減碼
11ACMRAcm Research Inc-class A+0.2%+16878.78%加碼
12FIXComfort Systems USA INC+0.2%+24.54%加碼
13SBSCia Saneamento Basico De-adr+0.1%+396.74%加碼
14ACGLArch Capital Group Ltd.+0.1%-5.13%減碼
15NVDANvidia CORP0%+3.13%加碼
16AONAon plc0%-1.70%減碼
17GEGeneral Electric-0.1%-0.98%減碼
18LPLALpl Financial Holdings INC-0.1%+0.75%加碼
19AMZNAmazon.com INC-0.1%+0.46%加碼
20VVisa Inc-class A Shares-0.1%-1.03%減碼
21AJGArthur J Gallagher & Co-0.1%-0.75%減碼
22AGXArgan INC-0.1%-89.82%減碼
23THCTenet Healthcare CORP-0.1%-76.37%減碼
24CLSCelestica INC-0.2%-49.53%減碼
25FTAIFTAI Aviation Ltd.-0.2%-98.17%減碼
26NVONovo-nordisk A/s-spons Adr-0.2%-67.67%減碼
27GDDYGodaddy INC - Class A-0.2%+1.02%加碼
28SAPSap Se-sponsored Adr-0.2%-25.56%減碼
29IBNIcici Bank Ltd-spon Adr-0.3%-2.00%減碼
30EFAIshares Msci Eafe ETF-0.3%-93.57%減碼
31SPOTSpotify Technology S.A.-0.3%-1.66%減碼
32NUNu Holdings Ltd.-0.3%-1.49%減碼
33MSFTMicrosoft CORP-0.4%-0.96%減碼
34SHOPShopify INC - Class A-0.6%-0.27%減碼
35SESea Ltd-adr-0.8%+30.48%加碼
36HOODRobinhood Markets INC - A-0.8%-47.49%減碼
37WCNWaste Connections INC-0.9%-38.35%減碼
38MELIMercadolibre INC-2%-99.94%減碼
39CPNGCoupang INC-2.3%-95.98%減碼
40APPApplovin Corp-class A-2.5%+5.16%加碼
41MDTMedtronic plcNEW新建倉
42CHRWC.h. Robinson Worldwide INCNEW新建倉
43MNDYmonday.com Ltd.EXIT清倉
44GEVGE Vernova INCEXIT清倉
45AZNNAstrazeneca Plc-spons AdrEXIT清倉
46NVSNovartis Ag-sponsored AdrNEW新建倉
47BKDBrookdale Senior Living INCNEW新建倉
48RACEFerrari N.V.EXIT清倉
49LYGLloyds Banking Group Plc-adrNEW新建倉
50GDSGds Holdings LTD - AdrNEW新建倉

FAQ

Wcm Investment Management, LLC 是什麼機構?屬於哪種投資人類型?
Wcm Investment Management, LLC 是一家投資管理機構,每季依規定向 SEC 申報 Form 13F,揭露其在美國上市股票的持倉資訊。根據最新一期申報(2026-03-31),該機構追蹤的股票投資組合估值約為 US$438.1億,分佈在 291 個已申報部位之中。
Wcm Investment Management, LLC 目前前幾大持股有哪些?
根據最新 13F 申報,Wcm Investment Management, LLC 按市值排列的前幾大持股為: 1. Taiwan Semiconductor-sp Adr (TSM) — US$29.5億 (6.7%) 2. Sea Ltd-adr (SE) — US$26.4億 (6.0%) 3. ASML Holding N.V. (ASML) — US$19.1億 (4.4%) 4. Applovin Corp-class A (APP) — US$18.6億 (4.3%) 5. Philip Morris International (PM) — US$17.8億 (4.1%)
Wcm Investment Management, LLC 在最新一期 13F 申報中做了哪些操作?
在最新申報季度中,Wcm Investment Management, LLC 共進行了 50 項顯著調整:新建倉 6 個部位、加碼 13 個既有持股、減碼 27 個部位,並完全清倉 4 個持股。 其中幅度最大的異動:新建倉: Medtronic plc (MDT); 新建倉: C.h. Robinson Worldwide INC (CHRW); 清倉: monday.com Ltd. (MNDY); 清倉: GE Vernova INC (GEV); 清倉: Astrazeneca Plc-spons Adr (AZNN)
Wcm Investment Management, LLC 主要集中投資哪些產業板塊?
根據目前已申報的股票投資組合,Wcm Investment Management, LLC 的主要板塊分佈如下: • Information Technology: 32.8% • Financials: 16.9% • Health Care: 12.9% • Industrials: 11.2% • Communication Services: 9.1% • Materials: 5.6%