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Latest Marathon Asset Management Ltd Stock Portfolio

$3.56Billion

Equity Portfolio Value
Last Reported on: 12 Feb, 2024

About Marathon Asset Management Ltd and it’s 13F Hedge Fund Stock Holdings

Marathon Asset Management Ltd is a hedge fund based in United Kingdom. On 31-May-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $40.7 Billions. In it's latest 13F Holdings report, Marathon Asset Management Ltd reported an equity portfolio of $3.6 Billions as of 31 Dec, 2023.

The top stock holdings of Marathon Asset Management Ltd are CNHI, MSFT, HDB. The fund has invested 5.8% of it's portfolio in CNH INDL N V and 3.9% of portfolio in MICROSOFT CORP.

The fund managers got completely rid off RB GLOBAL INC (RBA), GEN DIGITAL INC and ORGANON & CO (OGN) stocks. They significantly reduced their stock positions in VISTRA CORP (VST), WABTEC (WAB) and CANADIAN NAT RES LTD (CNQ). Marathon Asset Management Ltd opened new stock positions in CNH INDL N V (CNHI), ENVISTA HOLDINGS CORPORATION (NVST) and ROGERS CORP (ROG). The fund showed a lot of confidence in some stocks as they added substantially to PAYCOM SOFTWARE INC (PAYC), GILDAN ACTIVEWEAR INC (GIL) and ALIGN TECHNOLOGY INC (ALGN).

New Buys

Ticker$ Bought
CNH INDL N V208,479,000
ENVISTA HOLDINGS CORPORATION19,179,600
ROGERS CORP19,031,400

New stocks bought by Marathon Asset Management Ltd

Additions

Ticker% Inc.
PAYCOM SOFTWARE INC124
GILDAN ACTIVEWEAR INC84.67
ALIGN TECHNOLOGY INC76.28
INMODE LTD29.22
TRANSUNION28.33
CABLE ONE INC24.44
TAIWAN SEMICONDUCTOR MFG LTD23.44
YUM CHINA HLDGS INC21.5

Additions to existing portfolio by Marathon Asset Management Ltd

Reductions

Ticker% Reduced
VISTRA CORP-34.75
WABTEC-27.33
CANADIAN NAT RES LTD-23.98
ADOBE INC-23.65
SOUTHERN COPPER CORP-22.16
FAIR ISAAC CORP-20.81
ORACLE CORP-10.91
BROOKFIELD ASSET MANAGMT LTD-8.68

Marathon Asset Management Ltd reduced stake in above stock

Sold off

Ticker$ Sold
GEN DIGITAL INC-19,301,900
ORGANON & CO-17,504,600
RB GLOBAL INC-53,359,700
TRIP COM GROUP LTD-5,483,820

Marathon Asset Management Ltd got rid off the above stocks

Current Stock Holdings of Marathon Asset Management Ltd

Last Reported on: 12 Feb, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
ADBEADOBE INC1.78106,36463,457,100REDUCED-23.65
ADIANALOG DEVICES INC1.60286,69056,925,200REDUCED-1.97
ADMARCHER DANIELS MIDLAND CO0.42208,57815,063,300REDUCED-3.16
ADSKAUTODESK INC1.50219,73053,499,900REDUCED-2.9
ALGNALIGN TECHNOLOGY INC0.77100,28627,478,500ADDED76.28
AXTAAXALTA COATING SYS LTD0.72750,92425,508,600REDUCED-3.18
AZOAUTOZONE INC0.527,11718,400,900REDUCED-6.18
BAMBROOKFIELD ASSET MANAGMT LTD0.58515,21420,821,300REDUCED-8.68
BCEBCE INC0.52456,90218,406,100REDUCED-8.52
BIDUBAIDU INC1.52454,67654,147,400REDUCED-5.45
BKNGBOOKING HOLDINGS INC1.6916,98860,256,800REDUCED-7.8
BKRBAKER HUGHES COMPANY0.76793,65127,127,000REDUCED-3.18
BNSBANK NOVA SCOTIA HALIFAX0.87632,15430,938,200REDUCED-8.36
CABOCABLE ONE INC0.7648,85727,190,200ADDED24.44
CCEPCOCA-COLA EUROPACIFIC PARTNE2.811,498,590100,019,000ADDED0.45
CHRWC H ROBINSON WORLDWIDE INC0.34139,36312,116,300REDUCED-3.2
CMECME GROUP INC1.16191,99741,344,700REDUCED-3.08
CNHICNH INDL N V5.8517,117,300208,479,000NEW
CNNECANNAE HLDGS INC0.42761,71214,860,700REDUCED-3.22
CNQCANADIAN NAT RES LTD2.351,254,00083,531,200REDUCED-23.98
COKECOCA COLA CONS INC0.9134,87232,374,900REDUCED-3.2
CPCANADIAN PACIFIC KANSAS CITY1.86834,13466,435,300REDUCED-8.49
CPACOPA HOLDINGS SA1.36455,11348,383,000REDUCED-8.01
DFINDONNELLEY FINL SOLUTIONS INC0.82468,65029,229,700REDUCED-3.14
DLTRDOLLAR TREE INC1.04260,95137,068,000ADDED8.34
EAELECTRONIC ARTS INC1.28334,35845,743,200REDUCED-3.02
FASTFASTENAL CO1.01558,30736,161,100REDUCED-3.13
FCNFTI CONSULTING INC0.5394,24318,768,900REDUCED-3.22
FCXFREEPORT-MCMORAN INC0.65547,26223,296,200ADDED1.63
FICOFAIR ISAAC CORP1.1133,98339,558,500REDUCED-20.81
FNVFRANCO NEV CORP0.90287,38531,990,500REDUCED-8.37
GILGILDAN ACTIVEWEAR INC1.101,175,35039,063,300ADDED84.67
GOLDBARRICK GOLD CORP0.13252,1934,562,570REDUCED-1.65
GOOGALPHABET INC2.48632,30988,327,500REDUCED-3.25
GOOGALPHABET INC1.52384,13454,136,300REDUCED-2.89
HCSGHEALTHCARE SVCS GROUP INC0.471,616,96016,766,700REDUCED-3.21
HDBHDFC BANK LTD3.651,938,380130,084,000REDUCED-6.18
HSICHENRY SCHEIN INC0.66309,85823,459,300ADDED13.48
INFYINFOSYS LTD1.593,089,98056,793,900REDUCED-5.8
INMDINMODE LTD0.0583,9301,866,600ADDED29.22
IQVIQVIA HLDGS INC1.24190,78544,143,900REDUCED-2.98
JNJJOHNSON & JOHNSON1.17266,50241,771,500REDUCED-2.94
KAROPENLANE INC0.852,041,15030,227,800REDUCED-3.19
KMXCARMAX INC0.31144,26811,071,000REDUCED-3.3
LASRNLIGHT INC0.431,127,36015,218,900REDUCED-3.18
LINLINDE PLC0.8775,38330,960,700REDUCED-3.22
LYBLYONDELLBASELL INDUSTRIES N0.78292,12427,774,600REDUCED-3.19
MAMASTERCARD INCORPORATED1.80150,05764,000,900ADDED3.98
MANUMANCHESTER UTD PLC NEW0.42727,62514,828,700REDUCED-2.28
METAMETA PLATFORMS INC2.44246,02387,082,200REDUCED-5.19
MGAMAGNA INTL INC0.55331,52919,696,500REDUCED-8.53
MKLMARKEL GROUP INC1.7644,25962,844,200REDUCED-2.83
MMCMARSH & MCLENNAN COS INC0.5297,17218,411,100REDUCED-6.06
MRKMERCK & CO INC1.30421,99346,296,200REDUCED-3.13
MSFTMICROSOFT CORP3.94373,664140,511,000REDUCED-2.29
MTBM & T BK CORP0.43111,96215,347,500REDUCED-3.16
MUMICRON TECHNOLOGY INC1.22509,64643,546,100REDUCED-3.2
NEMNEWMONT CORP0.75642,98426,612,900REDUCED-3.21
NVSTENVISTA HOLDINGS CORPORATION0.54797,15719,179,600NEW
OGNORGANON & CO0.000.000.00SOLD OFF-100
ORCLORACLE CORP1.07363,03838,274,700REDUCED-10.91
PAYCPAYCOM SOFTWARE INC1.48254,97352,707,000ADDED124
PGRPROGRESSIVE CORP1.12249,60039,757,000REDUCED-3.14
RBARB GLOBAL INC0.000.000.00SOLD OFF-100
RCIROGERS COMMUNICATIONS INC0.50372,71017,677,200REDUCED-8.6
ROGROGERS CORP0.53144,10819,031,400NEW
RPRXROYALTY PHARMA PLC0.67852,41823,944,400ADDED11.31
SCCOSOUTHERN COPPER CORP2.06852,68173,390,200REDUCED-22.16
SEESEALED AIR CORP NEW0.77754,11427,540,000REDUCED-3.19
SPGIS&P GLOBAL INC1.71138,53261,026,500REDUCED-2.95
TCOMTRIP COM GROUP LTD0.000.000.00SOLD OFF-100
TDCTERADATA CORP DEL0.68557,88924,273,800REDUCED-3.21
TFXTELEFLEX INCORPORATED0.82117,18029,217,800REDUCED-2.13
TJXTJX COS INC NEW1.89716,13867,180,600REDUCED-3.19
TMOTHERMO FISHER SCIENTIFIC INC1.78119,55263,496,600REDUCED-2.96
TRUTRANSUNION1.43740,67550,891,800ADDED28.33
TSMTAIWAN SEMICONDUCTOR MFG LTD0.1345,7434,772,580ADDED23.44
UPSUNITED PARCEL SERVICE INC0.66149,84123,559,600REDUCED-3.19
VVISA INC1.27173,93445,285,000REDUCED-2.92
VIPSVIPSHOP HLDGS LTD1.412,827,14050,209,900REDUCED-6.41
VMEOVIMEO INC0.262,346,7709,199,350REDUCED-3.21
VNTVONTIER CORPORATION0.86887,41330,659,800REDUCED-3.24
VSTVISTRA CORP0.43401,17515,452,900REDUCED-34.75
WABWABTEC0.60168,49221,381,600REDUCED-27.33
WFCWELLS FARGO CO NEW0.76548,87727,015,700REDUCED-3.19
WYWEYERHAEUSER CO MTN BE0.42429,35014,928,500REDUCED-7.33
YUMCYUM CHINA HLDGS INC0.61512,27121,735,700ADDED21.5
BROOKFIELD CORP2.342,065,88083,294,200REDUCED-8.53
FISERV INC2.17581,79277,285,200ADDED2.65
KENVUE INC0.17282,2256,076,200REDUCED-3.76
GEN DIGITAL INC0.000.000.00SOLD OFF-100