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Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
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Large
Value
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34
14
10
1
3
1
33
8
8
BARING ASSET MANAGEMENT LTD

Time Period2017-09-30

Total Holdings184

Total Value ($x1000)1,711,512
Activities
New22

Increased46

Unchanged34

Decreased82

Sold Out21

Top 10 Stock Holdingstotal 51.53%
BABA16.59

IWO5.18

IWF5.08

IVV5.02

OEF5.01

 
JD4.41

TAL3.11

TSM2.48

YNDX2.39

SU2.26

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
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BABA
16.59%
SPONSORED ADS
IWO
5.18%
RUS 2000 GRW ETF
IWF
5.08%
RUS 1000 GRW ETF
IVV
5.02%
CORE S&P500 ETF
OEF
5.01%
S&P 100 ETF
JD
4.41%
SPON ADR CL A
TAL
3.11%
ADS REPSTG COM
TSM
2.48%
SPONSORED ADR
YNDX
2.39%
SHS CLASS A
SU
2.26%
COM
NTES
2.16%
SPONSORED ADR
EDU
2.13%
SPON ADR
EPAM
2.09%
COM
ITUB
1.99%
SPON ADR REP PFD
MBLY
1.4%
ORD
MBT
1.37%
SPONSORED ADR
YUMC
1.28%
COM
EOG
1.21%
COM
BIDU
1.19%
SPON ADR REP A
POT
1.16%
COM
HAL
1.07%
COM
COG
1.03%
COM
PBR/A
0.99%
SP ADR NON VTG
TSN
0.95%
CL A
ALB
0.95%
COM
AGU
0.83%
COM
AGCO
0.8%
COM
BBD
0.8%
SP ADR PFD NEW
AVY
0.75%
COM
MOMO
0.7%
ADR
WB
0.7%
SPONSORED ADR
SLB
0.7%
COM
DE
0.69%
COM
CVX
0.67%
COM
FET
0.65%
COM
EXP
0.64%
COM
PX
0.63%
COM
ABEV
0.57%
SPONSORED ADR
GDS
0.54%
SPONSORED ADR
NOV
0.49%
COM
PBR
0.42%
SPONSORED ADR
RS
0.38%
COM
AMX
0.38%
SPON ADR L SHS
JPM
0.36%
COM
YPF
0.35%
SPON ADR CL D
SINA
0.35%
ORD
CIB
0.34%
SPON ADR PREF
GOLD
0.33%
ADR
BDX
0.32%
COM
TJX
0.29%
COM
CX
0.28%
SPON ADR NEW
UNP
0.28%
COM
VIV
0.27%
SPONSORED ADR
MA
0.26%
CL A
FMX
0.25%
SPON ADR UNITS
TSE
0.25%
SHS
MON
0.24%
COM
ADBE
0.23%
COM
AZUL
0.23%
SPONSR ADR PFD
V
0.23%
COM CL A
LLY
0.22%
COM
COO
0.22%
COM NEW
EDN
0.22%
SPON ADR
ADM
0.21%
COM
PAAS
0.2%
COM
AOS
0.2%
COM
FBHS
0.2%
COM
GOOG
0.2%
CAP STK CL C
FB
0.19%
CL A
NKE
0.19%
CL B
BAP
0.19%
COM
HON
0.18%
COM
NWL
0.18%
COM
AAPL
0.17%
COM
ZTS
0.17%
CL A
RTN
0.17%
COM NEW
AGRO
0.17%
COM
CVS
0.17%
COM
ACWI
0.16%
MSCI ACWI ETF
CL
0.16%
COM
AMZN
0.15%
COM
MMM
0.14%
COM
INGR
0.14%
COM
FRC
0.14%
COM
ATVI
0.13%
COM
BMA
0.13%
SPON ADR B
BRFS
0.13%
SPONSORED ADR
ACHC
0.13%
COM
HD
0.13%
COM
PEP
0.13%
COM
SYK
0.13%
COM
CTAS
0.13%
COM
IFF
0.12%
COM
SCI
0.12%
COM
EWJ
0.12%
MSCI JPN ETF NEW
MU
0.12%
COM
BG
0.11%
COM
GILD
0.11%
COM
LMT
0.11%
COM
CCL
0.11%
PAIRED CTF
GPC
0.1%
COM
PG
0.1%
COM
EZU
0.1%
EMU ETF
SHW
0.1%
COM
NTRS
0.1%
COM
COST
0.1%
COM
MKC
0.1%
COM NON VTG
PNC
0.1%
COM
RSG
0.1%
COM
INTU
0.09%
COM
HSY
0.09%
COM
EA
0.09%
COM
APD
0.09%
COM
ARMK
0.09%
COM
GOOGL
0.09%
CAP STK CL A
AVGO
0.09%
SHS
WST
0.09%
COM
JNJ
0.09%
COM
EL
0.09%
CL A
WM
0.09%
COM
ITW
0.09%
COM
SBUX
0.09%
COM
CHD
0.09%
COM
OZRK
0.09%
COM
LH
0.08%
COM NEW
CNK
0.08%
COM
SDY
0.08%
S&P DIVID ETF
DTN
0.08%
DIV EX-FINL FD
DVY
0.08%
SELECT DIVID ETF
PH
0.08%
COM
SYY
0.08%
COM
GGB
0.08%
SPON ADR REP PFD
PCG
0.08%
COM
MOS
0.08%
COM
TSCO
0.08%
COM
EMB
0.08%
JP MOR EM MK ETF
PAM
0.08%
SPONS ADR LVL I
DIS
0.07%
COM DISNEY
DGX
0.07%
COM
PCLN
0.07%
COM NEW
CF
0.07%
COM
EXI
0.07%
GLOB INDSTRL ETF
APH
0.07%
CL A
EWD
0.06%
MSCI SWEDEN ETF
CLX
0.06%
COM
VWO
0.06%
FTSE EMR MKT ETF
EFA
0.05%
MSCI EAFE ETF
AMGN
0.05%
COM
CTSH
0.05%
CL A
HEWJ
0.04%
HDG MSCI JAPAN
IEV
0.04%
EUROPE ETF
HCA
0.04%
COM
MSFT
0.04%
COM
SAFM
0.04%
COM
CSCO
0.04%
COM
EWG
0.04%
MSCI GERMANY ETF
ECL
0.03%
COM
PFE
0.03%
COM
IFEU
0.03%
EUR DEV RE ETF
IAT
0.03%
US REGNL BKS ETF
QTWO
0.03%
COM
TITN
0.03%
COM
GLOB
0.03%
COM
XOM
0.03%
COM
BMRN
0.03%
COM
PEY
0.03%
HI YLD EQ DVDN
NEM
0.03%
COM
KMB
0.03%
COM
IXG
0.03%
GLOBAL FINLS ETF
SPY
0.03%
TR UNIT
RPM
0.03%
COM
GPK
0.02%
COM
RGC
0.02%
CL A
CYBR
0.02%
SHS
INDA
0.02%
MSCI INDIA ETF
IXN
0.02%
GLOBAL TECH ETF
MDT
0.02%
SHS
EEMA
0.02%
MSCI EM ASIA ETF
PPC
0.02%
COM
PSTG
0.01%
CL A
PAGP
0.01%
LTD PARTNR INT A
IPHI
0.01%
COM
DUK
0.01%
COM NEW
GG
0.01%
COM
CBPO
1.23%
COM
CTRP
0.42%
AMERICAN DEP SHS
MO
0.15%
COM
ROL
0.11%
COM
FFIV
0.11%
COM
SJM
0.1%
COM NEW
CHRW
0.08%
COM NEW
DVA
0.08%
COM
GPRE
0.08%
COM
RXI
0.08%
GLB CNS DISC ETF
HDS
0.07%
COM
WPM
0.07%
COM
ANSS
0.04%
COM
HAIN
0.04%
COM
SIVB
0.02%
COM
ELLI
0.02%
COM
ST
0.02%
SHS
KAR
0.02%
COM
AZO
0.02%
COM
EEM
0.02%
MSCI EMG MKT ETF
SRCL
0.01%
COM