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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

BAILLIE GIFFORD & CO INSTITUTION : BAILLIE GIFFORD & CO
BAILLIE GIFFORD & CO Portfolio (reported on 2019-11-07)
Company (links to holding history) Ticker Value On
2019-09-30
No of Shares % of portfolio
Alibaba Group Holding Sponsored ADR    (SPONSORED ADS) BABA 8,299,858,000 49,631,398 9.43%
Amazon.Com    (COM) AMZN 7,702,115,000 4,436,932 8.75%
Illumina    (COM) ILMN 5,250,199,000 17,257,903 5.97%
Tesla Inc    (COM) TSLA 3,240,080,000 13,451,571 3.68%
Facebook Cl.A    (CL A) FB 2,821,384,000 15,843,349 3.20%
Alphabet Inc Class C    (CAP STK CL C) GOOG 2,808,078,000 2,303,591 3.19%
MercadoLibre    (COM) MELI 2,545,630,000 4,618,089 2.89%
Spotify Technology SA    (SHS) 2,180,928,000 19,130,947 2.48%
Ferrari NV    (COM) RACE 2,095,483,000 13,579,009 2.38%
Netflix Inc    (COM) NFLX 2,059,477,000 7,695,532 2.34%
Shopify 'A'    (CL A) 1,887,727,000 6,057,006 2.14%
MasterCard Inc-Class A    (CL A) MA 1,633,132,000 6,013,670 1.85%
TAL Education Group ADR    (ADS REPSTG COM) XRS 1,585,019,000 46,291,431 1.80%
Ctrip.com Intl Sponsored ADR    (AMERICAN DEP SHS) CTRP 1,381,347,000 47,161,056 1.57%
NVIDIA    (COM) NVDA 1,305,664,000 7,500,797 1.48%
MarketAxess Holdings    (COM) MKTX 1,275,496,000 3,894,644 1.45%
TSMC ADR    (SPONSORED ADR) TSM 1,223,201,000 26,316,692 1.39%
Moody's Corp    (COM) MCO 1,191,389,000 5,816,481 1.35%
Intuitive Surgical    (COM NEW) ISRG 1,133,747,000 2,099,807 1.28%
Anthem Inc    (COM) ANTM 1,028,570,000 4,283,924 1.16%
Visa Inc-Class A Shares    (COM CL A) V 1,008,963,000 5,865,725 1.14%
Baidu.com Sponsored ADR    (SPON ADR REP A) BIDU 984,112,000 9,576,806 1.11%
Atlassian Corp Plc    (CL A) TEAM 915,263,000 7,296,416 1.04%
Workday Inc    (CL A) WDAY 852,665,000 5,016,854 0.96%
Microsoft    (COM) MSFT 792,831,000 5,702,590 0.90%
Martin Marietta Materials    (COM) MLM 774,693,000 2,826,315 0.88%
Salesforce.com    (COM) CRM 762,700,000 5,138,108 0.86%
Dexcom Inc    (COM) DXCM 720,131,000 4,825,321 0.81%
Thermo Fisher Scientific    (COM) TMO 669,176,000 2,297,443 0.76%
Alnylam Pharmaceuticals    (COM) ALNY 662,336,000 8,235,974 0.75%
Markel Corp    (COM) MKL 661,280,000 559,506 0.75%
Novocure Ltd    (ORD SHS) 647,117,000 8,653,618 0.73%
ResMed    (COM) RMD 640,942,000 4,743,858 0.72%
AJ Gallagher & Co    (COM) AJG 627,142,000 7,001,705 0.71%
Kirby    (COM) KEX 623,727,000 7,591,623 0.70%
EOG Resources    (COM) EOG 590,537,000 7,956,583 0.67%
GrubHub Inc    (COM) GRUB 562,291,000 10,003,404 0.63%
Seattle Genetics    (COM) SGEN 560,331,000 6,561,252 0.63%
Service Corp.Intl.    (COM) SCI 555,996,000 11,629,258 0.63%
NetEase.com ADR    (SPONSORED ADR) NTES 550,486,000 2,068,097 0.62%
Waters    (COM) WAT 548,563,000 2,457,390 0.62%
Pinduoduo Inc ADR    (SPONSORED ADS) 528,047,000 16,388,782 0.60%
The Trade Desk    (COM CL A) 512,647,000 2,733,387 0.58%
ICICI Bank ADR    (ADR) IBN 507,924,000 41,701,471 0.57%
Ionis Pharmaceuticals    (COM) 504,160,000 8,415,289 0.57%
Teradyne    (COM) TER 486,606,000 8,402,796 0.55%
Abiomed    (COM) ABMD 478,990,000 2,692,621 0.54%
Fiat Chrysler Automobiles    (SHS) FCAU 478,721,000 36,987,296 0.54%
Broadridge Finl.Sltn.    (COM) BR 463,357,000 3,723,830 0.52%
Apache Corp    (COM) APA 462,462,000 18,064,880 0.52%
Ryanair ADR    (SPONSORED ADR NE) RYAAY 459,909,000 6,928,413 0.52%
Wayfair Inc Class A    (CL A) W 447,281,000 3,989,311 0.50%
Mettler-Toledo    (COM) MTD 443,678,000 629,865 0.50%
LendingTree    (COM) TREE 422,940,000 1,362,434 0.48%
Ritchie Bros Auctioneers (USA)    (COM) RBA 422,576,000 10,591,487 0.48%
Chipotle Mexican Grill    (COM) CMG 403,739,000 480,371 0.45%
Interactive Brokers Group    (COM) IBKR 397,833,000 7,416,727 0.45%
Credicorp    (COM) BAP 394,667,000 1,893,429 0.44%
Petrobras Common ADR    (SPONSORED ADR) PBR 390,494,000 26,986,438 0.44%
Chegg    (COM) CHGG 360,431,000 12,034,434 0.40%
TD Ameritrade Holding Corp    (COM) AMTD 353,328,000 7,565,909 0.40%
Zillow Group Inc Class C    (CL C CAP STK) 342,052,000 11,470,542 0.38%
Itau Unibanco Holding SA-ADR    (SPON ADR REP PFD) ITU 332,373,000 39,521,137 0.37%
First Republic Bank    (COM) FRC 325,818,000 3,369,370 0.37%
Bluebird Bio Inc    (COM) BLUE 317,313,000 3,455,816 0.36%
Copa Holdings S A    (CL A) CPA 309,913,000 3,138,346 0.35%
Albemarle Corp    (COM) ALB 297,740,000 4,282,792 0.33%
Vale SA ADR    (ADR) VALE 291,568,000 25,353,700 0.33%
SiteOne Landscape Supply    (COM) 290,854,000 3,929,401 0.33%
Wix Com    (SHS) WIX 285,757,000 2,447,806 0.32%
Wabtec    (COM) WAB 284,884,000 3,964,421 0.32%
Autohome Inc - ADR    (SP ADR RP CL A) ATHM 274,055,000 3,296,706 0.31%
Stericycle Inc    (COM) SRCL 267,987,000 5,261,879 0.30%
Myriad Genetics Inc    (COM) MYGN 264,651,000 9,243,803 0.30%
Watsco Inc    (COM) WSO 254,941,000 1,506,922 0.28%
Teladoc    (COM) 254,445,000 3,757,300 0.28%
Jefferies Financial Group Inc    (COM) 247,106,000 13,429,669 0.28%
Axon Enterprise Inc    (COM) 243,134,000 4,282,036 0.27%
CoStar Group    (COM) CSGP 233,551,000 393,714 0.26%
Banco Bradesco Pn ADR    (SP ADR PFD NEW) BBD 230,975,000 28,375,181 0.26%
58.Com Inc Adr    (SPON ADR REP A) WUBA 228,731,000 4,638,638 0.26%
Roku    (COM CL A) 226,716,000 2,227,943 0.25%
Howard Hughes    (COM) HHC 214,355,000 1,653,975 0.24%
Tencent Music Entertainment ADR    (SPONSORED ADS) 205,655,000 16,104,538 0.23%
Now Inc/DE    (COM) DNOW 186,948,000 16,298,963 0.21%
Glaukos Corp    (COM) 176,691,000 2,826,590 0.20%
Peloton Interactive Inc    (CL A COM) 171,906,000 6,848,821 0.19%
Cemex ADR    (SPON ADR NEW) CX 159,380,000 40,658,045 0.18%
NIO Inc ADR    (SPON ADS) 156,103,000 100,066,736 0.17%
Alphabet Inc Class A    (CAP STK CL A) GOOGL 155,307,000 127,182 0.17%
Yext Inc    (COM) 153,385,000 9,652,903 0.17%
Appian Corp    (CL A) 149,466,000 3,146,639 0.16%
Penumbra Inc    (COM) 146,879,000 1,092,115 0.16%
HDFC Bank ADR    (ADR REPS 3 SHS) HDB 145,569,000 2,551,609 0.16%
Lyft Inc Class A Common    (CL A COM) 143,484,000 3,513,341 0.16%
JD.Com Inc - ADR    (SPON ADR CL A) JD 129,583,000 4,593,514 0.14%
Fortive Corp    (COM) FTV 128,730,000 1,877,639 0.14%
HEICO 'A'    (CL A) HEI/A 118,240,000 1,215,084 0.13%
Denali Therapeutics    (COM) 112,809,000 7,363,463 0.12%
Zillow Group Inc Class A    (CL A) Z 103,334,000 3,497,530 0.11%
Zai Lab ADR    (ADR) 101,453,000 3,136,100 0.11%
Activision Blizzard Inc    (COM) ATVI 101,043,000 1,909,363 0.11%
Redfin    (COM) 99,209,000 5,891,270 0.11%
Chewy Inc    (CL A) 97,410,000 3,963,007 0.11%
Anaplan Inc Common    (COM) 87,967,000 1,871,644 0.10%
Stitch Fix    (COM CL A) 86,295,000 4,482,859 0.09%
New Relic    (COM) NEWR 76,127,000 1,238,848 0.08%
MakeMyTrip    (SHS) MMYT 72,761,000 3,206,722 0.08%
Jumia Technologies Ag ADR    (SPONSORED ADS) 71,426,000 9,007,098 0.08%
Fastenal    (COM) FAST 70,269,000 2,150,877 0.07%
Coca Cola    (COM) KO 62,838,000 1,154,288 0.07%
CH Robinson Worldwide    (COM NEW) CHRW 61,771,000 728,596 0.07%
Petrobras Pref ADR    (SP ADR NON VTG) PBR.A 60,476,000 4,602,439 0.06%
SEA Ltd ADR    (ADR) 60,334,000 1,949,414 0.06%
Procter & Gamble    (COM) PG 60,225,000 484,210 0.06%
Beigene Ltd    (SPONSORED ADR) 59,869,000 488,894 0.06%
Baozun Spn Adr 1:1    (SPONSORED ADR) 57,303,000 1,341,996 0.06%
Exact Sciences    (COM) EXAS 55,756,000 616,970 0.06%
Eventbrite Inc Class A    (COM CL A) 52,213,000 2,948,267 0.05%
Moderna Inc    (COM) 51,180,000 3,214,797 0.05%
Pepsico    (COM) PEP 49,786,000 363,137 0.05%
Staar Surgical    (COM PAR $0.01) STAA 49,196,000 1,908,288 0.05%
iRobot    (COM) IRBT 47,130,000 764,234 0.05%
Codexis    (COM) CDXS 44,864,000 3,271,100 0.05%
Pacira BioSciences    (COM) PCRX 43,845,000 1,151,710 0.04%
Aerovironment    (COM) AVAV 42,615,000 795,646 0.04%
TJX Companies    (COM) TJX 42,048,000 754,350 0.04%
TerraForm Power    (CL A COM) 40,827,000 2,240,163 0.04%
United Parcel Service    (CL B) UPS 40,646,000 339,222 0.04%
CarMax Inc    (COM) KMX 40,007,000 454,635 0.04%
Splunk Inc    (COM) SPLK 39,988,000 339,289 0.04%
SOLARCITY CORP    (NOTE 1.625 11/0) 38,289,000 38,386,000 0.04%
IPG Photonics Corp    (COM) IPGP 38,024,000 280,413 0.04%
Estee Lauder 'A'    (COM) EL 37,454,000 188,260 0.04%
National Instruments Corp    (COM) NATI 36,593,000 871,485 0.04%
McDonald's    (COM) MCD 35,338,000 164,591 0.04%
Agios Pharmaceuticals    (COM) AGIO 35,113,000 1,083,694 0.03%
Analog Devices    (COM) ADI 34,396,000 307,850 0.03%
Trupanion    (COM) TRUP 34,186,000 1,344,862 0.03%
CyberArk Software Ltd    (SHS) 33,550,000 336,100 0.03%
Rubius Therapeutics Inc    (COM) 33,290,000 4,240,767 0.03%
Blackline    (COM) 31,814,000 665,419 0.03%
HEICO    (COM) HEI 30,044,000 240,579 0.03%
2U    (COM) TWOU 29,812,000 1,831,243 0.03%
American Express    (COM) AXP 26,106,000 220,721 0.02%
Tandem Diabetes Care    (COM NEW) 25,638,000 434,700 0.02%
Ambarella    (SHS) AMBA 25,149,000 400,246 0.02%
Unity Biotechnology Inc    (COM) 23,199,000 3,803,014 0.02%
Zoom Video Communications Inc    (CL A) 22,860,000 300,000 0.02%
Apple    (COM) AAPL 20,877,000 93,212 0.02%
Benefitfocus Inc    (COM) BNFT 20,786,000 872,967 0.02%
Digimarc    (COM) DMRC 20,652,000 528,304 0.02%
LIBERTY MEDIA CORP    (DEB 4.00011/1) 20,622,000 27,773,000 0.02%
Cullen/Frost Bankers    (COM) CFR 19,923,000 224,977 0.02%
Banco Macro ADR    (SPON ADR B) BMA 19,661,000 755,615 0.02%
Faro Technologies    (COM) FARO 19,517,000 403,675 0.02%
Spectrum Brands Holdings Inc    (COM) 17,698,000 335,706 0.02%
Zuora Inc Class A    (COM CL A) 17,455,000 1,159,768 0.01%
Stratasys    (SHS) SSYS 17,419,000 817,607 0.01%
Upwork Inc    (COM) 17,345,000 1,303,600 0.01%
Dolby Laboratories 'A'    (COM) DLB 16,962,000 262,416 0.01%
Xylem    (COM) XYL 16,371,000 205,609 0.01%
Infosys Ltd ADR    (SPONSORED ADR) INFY 16,018,000 1,408,871 0.01%
M&T Bank    (COM) MTB 15,286,000 96,766 0.01%
Ecolab    (COM) ECL 13,793,000 69,651 0.01%
Invesco Senior Income Trust    (COM) VVR 13,748,000 3,273,300 0.01%
Grupo Financiero Galicia ADR    (COM) GGAL 13,060,000 1,004,661 0.01%
BanColombia Pref ADR    (SPON ADR PREF) CIB 12,716,000 257,155 0.01%
CEVA Inc    (COM) CEVA 12,595,000 421,818 0.01%
Verisk Analytics    (COM) VRSK 12,553,000 79,376 0.01%
Axogen Inc    (COM) AXGN 12,349,000 989,400 0.01%
Lindblad Expeditions Holdings    (COM) 11,732,000 700,000 0.01%
Line Corp Sponsored Adr    (SPONSORED ADR) LN 11,433,000 318,120 0.01%
Farfetch    (ORD SHS CL A) 11,310,000 1,309,051 0.01%
ResTORbio Inc    (COM) 11,239,000 1,271,387 0.01%
Orchard Therapeutics PLC ADR    (ADS) 10,989,000 925,000 0.01%
Sherwin-Williams Co    (COM) SHW 10,769,000 19,584 0.01%
Veeco Instruments    (COM) VECO 10,136,000 867,779 0.01%
BlackRock Floating Rate Income    (COM) BGT 9,666,000 787,770 0.01%
Align Technology Inc    (COM) ALGN 9,236,000 51,052 0.01%
Varian Medical Systems Inc    (COM) VAR 8,627,000 72,439 0.00%
British Amer.Tobacco - ADR    (SPONSORED ADR) BTI 8,116,000 219,966 0.00%
Slack Technologies Inc    (COM CL A) 8,098,000 341,276 0.00%
MRC Global    (COM) MRC 7,884,000 650,000 0.00%
Evolent Health Inc A    (CL A) 7,794,000 1,084,001 0.00%
Adaptimmune Therapeutics ADR    (SPONDS ADR) 6,289,000 4,164,807 0.00%
Nucana Plc ADR    (SPONSORED ADR) 5,989,000 827,308 0.00%
Pioneer Floating Rate Trust    (COM) PHD 5,697,000 541,036 0.00%
SUNPOWER CORP    (DBCV 4.000 1/1) 5,443,000 5,930,000 0.00%
Jianpu Technology Inc- ADR    (ADR) 5,213,000 2,085,056 0.00%
SINA Corp    (ORD) SINA 5,155,000 131,550 0.00%
Blue Capital Reinsurance Holdings Fund (USD)    (COM) BCRH 4,558,000 618,438 0.00%
Aduro Biotechnology    (COM) ADRO 4,374,000 4,126,456 0.00%
Uxin ADR    (ADS) 4,351,000 1,776,100 0.00%
Hutchison China Meditech    (SPONSORED ADR) 3,887,000 217,911 0.00%
Schlumberger    (COM) SLB 3,777,000 110,529 0.00%
Voya Prime Rate Trust    (SH BEN INT) PPR 3,600,000 764,400 0.00%
Kaleido Biosciences Inc    (COM) 3,313,000 440,000 0.00%
Snap Inc    (CL A) 2,926,000 185,160 0.00%
Nuveen Senior Income Fund    (COM) NSL 2,174,000 376,702 0.00%
1 2 Next >Full Portfolio View
Total Value As 2019-09-30: 87,923,738,000 SEC FILING
* Portfolios do not reflect changes after reporting
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