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Man Group plc

SEC CIK
0001637460
Latest filing
Aug 14, 2026

Holdings changes from Q1 2024 to Q2 2024

Long positions only; new, added, reduced and sold out are based on share counts. Pick any two quarters this institution filed.

Choose two quarters to compare

New
237
Est. +$681.1M
Added
759
Est. +$8.58B
Reduced
759
Est. −$8.24B
Sold out
342
Est. −$728.3M

Portfolio value went from $37.2B to $37.9B (+$742.2M (+2.0%)); positions from 1,964 to 1,859 (−105).

All Q2 2024 holdingsAll Q1 2024 holdings

In the shares, value and % of portfolio columns, the top figure is Q2 2024 and the gray one below is Q1 2024. For stocks that split between the two quarters, Q1 2024 shares are converted at the split ratio before comparing.

Holdings of Man Group plc in Q1 2024 and Q2 2024 compared
SecurityActionSharesShare changeValueEst. bought or sold% of portfolioWeight change (pp)
NVDANVIDIA CorpAddedConverted for a 10-for-1 splitHistory8,728,3008,661,140+67,160+0.8%$1.08B$782.6M+$8.30M2.8%2.1%+0.74
AAPLApple Inc.AddedHistory5,017,1514,917,038+100,113+2.0%$1.06B$843.2M+$21.1M2.8%2.3%+0.52
MSFTMicrosoft CorpReducedHistory2,314,2742,538,670−224,396−8.8%$1.03B$1.07B−$100.3M2.7%2.9%−0.15
AMZNAmazon Com IncAddedHistory2,833,9812,727,558+106,423+3.9%$547.7M$492.0M+$20.6M1.4%1.3%+0.12
GOOGLAlphabet Inc.ReducedHistory2,699,0443,252,410−553,366−17.0%$491.6M$490.9M−$100.8M1.3%1.3%−0.02
QCOMQualcomm IncReducedHistory1,974,7172,017,054−42,337−2.1%$393.3M$341.5M−$8.43M1.0%0.9%+0.12
METAMeta Platforms, Inc.ReducedHistory740,070845,519−105,449−12.5%$373.2M$410.6M−$53.2M1.0%1.1%−0.12
SPYSPDR S&P 500 ETF TrustAddedHistory619,216415,617+203,599+49.0%$337.0M$217.4M+$110.8M0.9%0.6%+0.30
LLYEli Lilly & CoAddedHistory347,273314,182+33,091+10.5%$314.4M$244.4M+$30.0M0.8%0.7%+0.17
GOOGAlphabet Inc.ReducedHistory1,571,0912,269,769−698,678−30.8%$288.2M$345.6M−$128.2M0.8%0.9%−0.17
KOCoca Cola CoReducedHistory4,162,1175,035,157−873,040−17.3%$264.9M$308.1M−$55.6M0.7%0.8%−0.13
LULUlululemon athletica inc.AddedHistory886,860468,141+418,719+89.4%$264.9M$182.9M+$125.1M0.7%0.5%+0.21
AMATApplied Materials IncReducedHistory1,099,2261,135,338−36,112−3.2%$259.4M$234.1M−$8.52M0.7%0.6%+0.05
iShares Tr464288513Reduced–3,324,2693,469,990−145,721−4.2%$256.4M$269.7M−$11.2M0.7%0.7%−0.05
LNGCheniere Energy, Inc.AddedHistory1,450,2581,268,713+181,545+14.3%$253.5M$204.6M+$31.7M0.7%0.6%+0.12
LRCXLam Research CorpAddedHistory235,391161,835+73,556+45.5%$250.7M$157.2M+$78.3M0.7%0.4%+0.24
MRKMerck & Co., Inc.ReducedHistory1,935,5091,954,623−19,114−1.0%$239.6M$257.9M−$2.37M0.6%0.7%−0.06
SBACSba Communications CorpAddedHistory1,193,764477,842+715,922+149.8%$234.3M$103.5M+$140.5M0.6%0.3%+0.34
CMGChipotle Mexican Grill IncAddedConverted for a 50-for-1 splitHistory3,624,9501,872,600+1,752,350+93.6%$227.1M$108.9M+$109.8M0.6%0.3%+0.31
TSMTaiwan Semiconductor Manufacturing Co LtdReducedHistory1,281,0103,545,321−2,264,311−63.9%$222.7M$482.3M−$393.6M0.6%1.3%−0.71
MAMastercard IncReducedHistory500,704582,188−81,484−14.0%$220.9M$280.4M−$35.9M0.6%0.8%−0.17
EQIXEquinix IncReducedHistory280,237344,687−64,450−18.7%$212.0M$284.5M−$48.8M0.6%0.8%−0.21
NEMNEWMONT CorpAddedHistory5,059,8262,919,572+2,140,254+73.3%$211.9M$104.6M+$89.6M0.6%0.3%+0.28
TTTrane Technologies plcReducedHistory630,453707,632−77,179−10.9%$207.4M$212.4M−$25.4M0.5%0.6%−0.02
STTState Street CorpAddedHistory2,778,6251,974,963+803,662+40.7%$205.6M$152.7M+$59.5M0.5%0.4%+0.13
CRHCRH Public Ltd CoAddedHistory2,651,647162,478+2,489,169+1,532.0%$198.8M$14.0M+$186.6M0.5%<0.1%+0.49
MUMicron Technology IncReducedHistory1,510,4512,375,807−865,356−36.4%$198.7M$280.1M−$113.8M0.5%0.8%−0.23
BMYBristol Myers Squibb CoAddedHistory4,688,8981,826,632+2,862,266+156.7%$194.7M$99.1M+$118.9M0.5%0.3%+0.25
NTAPNetApp, Inc.AddedHistory1,468,174689,553+778,621+112.9%$189.1M$72.4M+$100.3M0.5%0.2%+0.30
AVGOBroadcom Inc.AddedHistory112,70570,882+41,823+59.0%$181.0M$93.9M+$67.1M0.5%0.3%+0.22
SYFSynchrony FinancialAddedHistory3,774,1043,113,769+660,335+21.2%$178.1M$134.3M+$31.2M0.5%0.4%+0.11
SPOTSpotify Technology S.A.AddedHistory518,549343,942+174,607+50.8%$162.7M$90.8M+$54.8M0.4%0.2%+0.18
TEAMAtlassian CorpAddedHistory910,264434,621+475,643+109.4%$161.0M$84.8M+$84.1M0.4%0.2%+0.20
MSIMotorola Solutions, Inc.AddedHistory404,568353,233+51,335+14.5%$156.2M$125.4M+$19.8M0.4%0.3%+0.07
CBRECbre Group, Inc.AddedHistory1,726,2451,483,010+243,235+16.4%$153.8M$144.2M+$21.7M0.4%0.4%+0.02
ALLAllstate CorpAddedHistory951,180771,902+179,278+23.2%$151.9M$133.5M+$28.6M0.4%0.4%+0.04
BABAAlibaba Group Holding LtdAddedHistory2,106,6371,683,641+422,996+25.1%$151.7M$121.8M+$30.5M0.4%0.3%+0.07
ABBVAbbVie Inc.ReducedHistory882,9641,250,264−367,300−29.4%$151.4M$227.7M−$63.0M0.4%0.6%−0.21
XELXcel Energy IncReducedHistory2,822,5643,129,635−307,071−9.8%$150.8M$168.2M−$16.4M0.4%0.5%−0.05
JPMJPMorgan Chase & CoAddedHistory729,497352,783+376,714+106.8%$147.5M$70.7M+$76.2M0.4%0.2%+0.20
ADSKAutodesk, Inc.AddedHistory594,438378,142+216,296+57.2%$147.1M$98.5M+$53.5M0.4%0.3%+0.12
CMICummins IncAddedHistory525,714132,580+393,134+296.5%$145.6M$39.1M+$108.9M0.4%0.1%+0.28
ELVElevance Health, Inc.ReducedHistory268,327363,206−94,879−26.1%$145.4M$188.3M−$51.4M0.4%0.5%−0.12
HDHome Depot, Inc.AddedHistory422,259130,673+291,586+223.1%$145.4M$50.1M+$100.4M0.4%0.1%+0.25
NOCNorthrop Grumman CorpAddedHistory328,84449,362+279,482+566.2%$143.4M$23.6M+$121.8M0.4%0.1%+0.31
DXCMDexcom IncAddedHistory1,254,093262,774+991,319+377.3%$142.2M$36.4M+$112.4M0.4%0.1%+0.28
VSTVistra Corp.AddedHistory1,641,491225,233+1,416,258+628.8%$141.1M$15.7M+$121.8M0.4%<0.1%+0.33
CDNSCadence Design Systems IncReducedHistory454,575662,950−208,375−31.4%$139.9M$206.4M−$64.1M0.4%0.6%−0.19
ADBEAdobe Inc.ReducedHistory250,868433,817−182,949−42.2%$139.4M$218.9M−$101.6M0.4%0.6%−0.22
WINGWingstop Inc.AddedHistory324,606299,744+24,862+8.3%$137.2M$109.8M+$10.5M0.4%0.3%+0.07
PGRProgressive CorpAddedHistory652,768621,625+31,143+5.0%$135.6M$128.6M+$6.47M0.4%0.3%+0.01
ECLEcolab Inc.ReducedHistory567,248763,660−196,412−25.7%$135.0M$176.3M−$46.7M0.4%0.5%−0.12
PSAPublic StorageAddedHistory466,504172,980+293,524+169.7%$134.2M$50.2M+$84.4M0.4%0.1%+0.22
HSTHost Hotels & Resorts, Inc.ReducedHistory7,333,5877,695,465−361,878−4.7%$131.9M$159.1M−$6.51M0.3%0.4%−0.08
CICigna GroupAddedHistory389,105292,760+96,345+32.9%$128.6M$106.3M+$31.8M0.3%0.3%+0.05
MCKMcKesson CorpAddedHistory219,118110,119+108,999+99.0%$128.0M$59.1M+$63.7M0.3%0.2%+0.18
OCOwens CorningAddedHistory728,794708,618+20,176+2.8%$126.6M$118.2M+$3.50M0.3%0.3%+0.02
COSTCostco Wholesale CorpReducedHistory147,268178,802−31,534−17.6%$125.2M$131.0M−$26.8M0.3%0.4%−0.02
KEYSKeysight Technologies, Inc.AddedHistory914,967269,361+645,606+239.7%$125.1M$42.1M+$88.3M0.3%0.1%+0.22
PDDPDD Holdings Inc.AddedHistory935,282836,448+98,834+11.8%$124.3M$97.2M+$13.1M0.3%0.3%+0.07
CCLCarnival Corp Ltd.ReducedHistory6,624,83610,988,115−4,363,279−39.7%$124.0M$179.5M−$81.7M0.3%0.5%−0.16
IBNIcici Bank LtdAddedHistory4,185,1533,510,919+674,234+19.2%$120.6M$92.7M+$19.4M0.3%0.2%+0.07
Barrick Gold Corp067901108Added–7,218,5591,786,466+5,432,093+304.1%$120.4M$29.7M+$90.6M0.3%0.1%+0.24
ANETArista Networks, Inc.AddedHistory343,35258,364+284,988+488.3%$120.3M$16.9M+$99.9M0.3%<0.1%+0.27
iShares Tr464287234Added–2,762,9912,373,422+389,569+16.4%$117.7M$97.5M+$16.6M0.3%0.3%+0.05
MGMMGM Resorts InternationalAddedHistory2,644,5242,597,569+46,955+1.8%$117.5M$122.6M+$2.09M0.3%0.3%−0.02
WIXWix.com Ltd.AddedHistory707,169447,602+259,567+58.0%$112.5M$61.5M+$41.3M0.3%0.2%+0.13
CCitigroup IncAddedHistory1,757,959457,053+1,300,906+284.6%$111.6M$28.9M+$82.6M0.3%0.1%+0.22
JNJJohnson & JohnsonReducedHistory761,189991,552−230,363−23.2%$111.3M$156.9M−$33.7M0.3%0.4%−0.13
TRMBTrimble Inc.AddedHistory1,963,347228,706+1,734,641+758.5%$109.8M$14.7M+$97.0M0.3%<0.1%+0.25
NXPINXP Semiconductors N.V.AddedHistory394,04594,659+299,386+316.3%$106.0M$23.5M+$80.6M0.3%0.1%+0.22
KMBKimberly Clark CorpAddedHistory765,395335,701+429,694+128.0%$105.8M$43.4M+$59.4M0.3%0.1%+0.16
VICIVici Properties Inc.AddedHistory3,559,640582,643+2,976,997+510.9%$101.9M$17.4M+$85.3M0.3%<0.1%+0.22
BACBank of America CorpAddedHistory2,557,577432,612+2,124,965+491.2%$101.7M$16.4M+$84.5M0.3%<0.1%+0.22
TMOThermo Fisher Scientific Inc.AddedHistory183,32112,592+170,729+1,355.9%$101.4M$7.32M+$94.4M0.3%<0.1%+0.25
MTDMettler Toledo International IncAddedHistory72,30945,036+27,273+60.6%$101.1M$60.0M+$38.1M0.3%0.2%+0.11
iShares Tips Bond ETF464287176Added–942,205435,095+507,110+116.6%$100.6M$46.7M+$54.1M0.3%0.1%+0.14
DECKDeckers Outdoor CorpReducedHistory102,458110,192−7,734−7.0%$99.2M$103.7M−$7.49M0.3%0.3%−0.02
ANFAbercrombie & Fitch CoReducedHistory551,950694,807−142,857−20.6%$98.2M$87.1M−$25.4M0.3%0.2%+0.02
UBERUber Technologies, IncAddedHistory1,348,7351,331,995+16,740+1.3%$98.0M$102.6M+$1.22M0.3%0.3%−0.02
CAHCardinal Health IncReducedHistory994,5501,388,346−393,796−28.4%$97.8M$155.4M−$38.7M0.3%0.4%−0.16
SPGIS&P Global Inc.AddedHistory217,682156,239+61,443+39.3%$97.1M$66.5M+$27.4M0.3%0.2%+0.08
GMGeneral Motors CoAddedHistory2,084,0931,720,303+363,790+21.1%$96.8M$78.0M+$16.9M0.3%0.2%+0.05
IDXXIDEXX Laboratories IncAddedHistory198,185156,398+41,787+26.7%$96.6M$84.4M+$20.4M0.3%0.2%+0.03
ETNEaton Corp plcAddedHistory307,362193,932+113,430+58.5%$96.4M$60.6M+$35.6M0.3%0.2%+0.09
UPSUnited Parcel Service IncAddedHistory696,17290,203+605,969+671.8%$95.3M$13.4M+$82.9M0.3%<0.1%+0.22
UNPUnion Pacific CorpAddedHistory419,29724,980+394,317+1,578.5%$94.9M$6.14M+$89.2M0.3%<0.1%+0.23
FERGFerguson Enterprises Inc.ReducedHistory488,125976,180−488,055−50.0%$94.5M$213.2M−$94.5M0.2%0.6%−0.32
LDOSLeidos Holdings, Inc.ReducedHistory639,444661,959−22,515−3.4%$93.3M$86.8M−$3.28M0.2%0.2%+0.01
iShares Iboxx $ Investment Grade Corporate Bond ETF464287242Reduced–867,5131,099,903−232,390−21.1%$92.9M$119.8M−$24.9M0.2%0.3%−0.08
VRTXVertex Pharmaceuticals IncReducedHistory197,296527,924−330,628−62.6%$92.5M$220.7M−$155.0M0.2%0.6%−0.35
CVNACarvana Co.ReducedHistory706,066899,767−193,701−21.5%$90.9M$79.1M−$24.9M0.2%0.2%+0.03
NRGNRG Energy, Inc.AddedHistory1,165,739581,755+583,984+100.4%$90.8M$39.4M+$45.5M0.2%0.1%+0.13
XYLXylem Inc.AddedHistory668,930629,085+39,845+6.3%$90.7M$81.3M+$5.40M0.2%0.2%+0.02
ARMArm Holdings PLCAddedHistory551,707539,458+12,249+2.3%$90.3M$67.4M+$2.00M0.2%0.2%+0.06
HIGHartford Insurance Group, Inc.ReducedHistory886,3511,501,329−614,978−41.0%$89.1M$154.7M−$61.8M0.2%0.4%−0.18
PHMPultegroup IncAddedHistory806,718682,703+124,015+18.2%$88.8M$82.3M+$13.7M0.2%0.2%+0.01
PINSPinterest, Inc.ReducedHistory1,991,4533,578,399−1,586,946−44.3%$87.8M$124.1M−$69.9M0.2%0.3%−0.10
KLACKLA CorpAddedHistory104,15084,625+19,525+23.1%$85.9M$59.1M+$16.1M0.2%0.2%+0.07
GDDYGoDaddy Inc.AddedHistory608,362415,049+193,313+46.6%$85.0M$49.3M+$27.0M0.2%0.1%+0.09

Estimated amounts multiply the change in shares by the quarter-end price implied by the filing (market value divided by shares): new positions use this quarter's value and sold-out positions last quarter's; positions reported only as principal (PRN) cannot be estimated. 13F shows only quarter-end holdings, not when trades happened or at what price.