C000127813 Holdings — WCM Focused Global Growth Fund

All 36 reported holdings of WCM Focused Global Growth Fund (C000127813) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
AppLovin Corp6.09%$31.54M
General Electric Co4.73%$24.51M
Amazon.com Inc4.71%$24.37M
3i Group PLC4.55%$23.56M
Novo Nordisk A/S4.09%$21.15M
MSILF Treasury Portfolio4.08%$21.12M
Tsmc3.80%$19.69M
Microsoft Corp3.63%$18.78M
NVIDIA Corp3.25%$16.83M
UnitedHealth Group Inc3.11%$16.09M
GE Vernova Inc2.99%$15.46M
Booz Allen Hamilton Holding Co2.98%$15.44M
Arthur J Gallagher & Co2.96%$15.32M
AstraZeneca PLC2.85%$14.76M
Linde PLC2.74%$14.16M
Intuitive Surgical Inc2.69%$13.91M
ICICI Bank Ltd2.64%$13.68M
Visa Inc2.61%$13.50M
Arista Networks Inc2.52%$13.04M
Floor & Decor Holdings Inc2.46%$12.73M
Entegris Inc2.46%$12.72M
Canadian Pacific Kansas City L2.45%$12.69M
McKesson Corp2.38%$12.34M
Reinsurance Group of America I2.21%$11.45M
Datadog Inc2.19%$11.32M
Adyen NV2.01%$10.42M
Waste Connections Inc2.00%$10.36M
Thermo Fisher Scientific Inc2.00%$10.34M
Ferrari NV1.92%$9.94M
Corteva Inc1.90%$9.85M
Saab AB1.84%$9.55M
Illumina Inc1.78%$9.21M
LPL Financial Holdings Inc1.64%$8.49M
Freshpet Inc1.59%$8.21M
Puig Brands SA1.48%$7.64M
Sea Ltd1.19%$6.14M

C000127813 overview: performance, fees, allocation and SEC filings