Winslow Capital Management

Winslow Capital Management as of Dec. 31, 2021

Portfolio Holdings for Winslow Capital Management

Winslow Capital Management holds 66 positions in its portfolio as reported in the December 2021 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Microsoft Corporation (MSFT) 10.2 $2.8B 8.2M 336.32
Amazon (AMZN) 7.2 $1.9B 584k 3334.34
Alphabet Inc Class C cs (GOOG) 3.7 $1.0B 347k 2893.59
Alphabet Inc Class A cs (GOOGL) 3.7 $998M 345k 2897.04
NVIDIA Corporation (NVDA) 3.1 $838M 2.8M 294.11
Apple (AAPL) 3.0 $815M 4.6M 177.57
Adobe Systems Incorporated (ADBE) 2.6 $712M 1.3M 567.06
Facebook Inc cl a (META) 2.4 $637M 1.9M 336.35
MasterCard Incorporated (MA) 2.3 $627M 1.7M 359.32
salesforce (CRM) 2.1 $561M 2.2M 254.13
Paypal Holdings (PYPL) 2.0 $541M 2.9M 188.58
Nike (NKE) 2.0 $535M 3.2M 166.67
Netflix (NFLX) 2.0 $529M 878k 602.44
Lowe's Companies (LOW) 1.9 $507M 2.0M 258.48
Linde 1.9 $506M 1.5M 346.43
Zoetis Inc Cl A (ZTS) 1.8 $499M 2.0M 244.03
Tesla Motors (TSLA) 1.8 $497M 470k 1056.77
Chipotle Mexican Grill (CMG) 1.8 $473M 271k 1748.26
Workday Inc cl a (WDAY) 1.7 $459M 1.7M 273.18
Align Technology (ALGN) 1.7 $458M 696k 657.18
Intuit (INTU) 1.7 $455M 708k 643.23
Servicenow (NOW) 1.7 $446M 687k 649.11
Intuitive Surgical (ISRG) 1.6 $434M 1.2M 359.30
Visa (V) 1.6 $432M 2.0M 216.71
Asml Holding (ASML) 1.6 $424M 533k 796.15
UnitedHealth (UNH) 1.5 $399M 794k 502.14
Analog Devices (ADI) 1.5 $398M 2.3M 175.77
Union Pacific Corporation (UNP) 1.5 $394M 1.6M 251.93
Agilent Technologies Inc C ommon (A) 1.4 $390M 2.4M 159.65
Te Connectivity Ltd for 1.4 $390M 2.4M 161.34
Ball Corporation (BALL) 1.4 $384M 4.0M 96.27
Estee Lauder Companies (EL) 1.4 $370M 998k 370.20
Lululemon Athletica (LULU) 1.4 $366M 934k 391.45
Delphi Automotive Inc international 1.3 $361M 2.2M 164.95
CoStar (CSGP) 1.3 $359M 4.5M 79.03
Parker-Hannifin Corporation (PH) 1.3 $346M 1.1M 318.12
McDonald's Corporation (MCD) 1.2 $330M 1.2M 268.07
Iqvia Holdings (IQV) 1.2 $330M 1.2M 282.14
Bio-techne Corporation (TECH) 1.2 $327M 631k 517.34
Hilton Worldwide Holdings (HLT) 1.1 $306M 2.0M 155.99
Advanced Micro Devices (AMD) 1.1 $306M 2.1M 143.90
Blackstone Group Inc Com Cl A (BX) 1.1 $298M 2.3M 129.39
Atlassian Corp Plc cl a 1.1 $285M 748k 381.29
Moody's Corporation (MCO) 1.0 $271M 694k 390.58
Veeva Sys Inc cl a (VEEV) 1.0 $262M 1.0M 255.48
Shopify Inc cl a (SHOP) 0.9 $249M 181k 1377.42
Msci (MSCI) 0.9 $249M 406k 612.70
Snap Inc cl a (SNAP) 0.9 $248M 5.3M 47.03
Square Inc cl a (XYZ) 0.9 $242M 1.5M 161.51
Airbnb (ABNB) 0.9 $236M 1.4M 166.49
Match Group (MTCH) 0.9 $233M 1.8M 132.25
Bumble INC CLASS A CORP COMMON (BMBL) 0.7 $179M 5.3M 33.86
Compass (COMP) 0.3 $71M 7.8M 9.09
Snowflake Inc Cl A (SNOW) 0.2 $57M 167k 338.76
Fluence Energy (FLNC) 0.2 $53M 1.5M 35.56
Acva (ACVA) 0.2 $45M 2.4M 18.84
Proterra 0.1 $39M 4.4M 8.83
Rover Group 0.1 $27M 2.8M 9.34
Ishares Tr Rssll 1000 Grwt Etf - Equity (IWF) 0.1 $19M 61k 305.59
Ecolab (ECL) 0.1 $18M 77k 234.59
Danaher Corporation (DHR) 0.0 $13M 40k 329.00
Bright Horizons Fam Sol In D (BFAM) 0.0 $12M 94k 125.88
Morgan Stanley (MS) 0.0 $11M 112k 97.22
Payoneer Global (PAYO) 0.0 $11M 1.4M 7.35
Riskified (RSKD) 0.0 $8.7M 1.1M 7.62
Vanguard Index Tr Growth Viper Etf - Equity (VUG) 0.0 $546k 1.7k 320.61