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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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29
4
5
1
1
1
27
12
4
INVESTEC ASSET MANAGEMENT NORTH AMERICA INC

Time Period2019-03-31

Total Holdings118

Total Value ($x1000)1,058,410
Activities
New9

Increased44

Unchanged1

Decreased64

Sold Out11

Top 10 Stock Holdingstotal 33.15%
BABA7.24

INFY3.74

MSFT3.48

WP3.18

BKNG2.95

 
GOOGL2.69

PYPL2.57

CMCSA2.51

MA2.5

AZO2.29

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
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BABA
7.24%
SPONSORED ADS
INFY
3.74%
SPONSORED ADR
MSFT
3.48%
COM
WP
3.18%
CL A
BKNG
2.95%
COM
GOOGL
2.69%
CAP STK CL A
PYPL
2.57%
COM
CMCSA
2.51%
CL A
MA
2.5%
CL A
AZO
2.29%
COM
TMO
2.28%
COM
HON
2.22%
COM
UNH
2.2%
COM
MMC
2.14%
COM
VMW
2.1%
CL A COM
TRU
2.09%
COM
C
2.05%
COM NEW
DFS
2.03%
COM
ANTM
1.94%
COM
ALXN
1.92%
COM
UNM
1.9%
COM
FL
1.85%
COM
ICE
1.81%
COM
DVA
1.78%
COM
AVGO
1.76%
COM
WYN
1.72%
COM
LLY
1.66%
COM
STAY
1.63%
UNIT 99/99/9999B
BLD
1.62%
COM
BPOP
1.62%
COM NEW
TX
1.59%
SPON ADR
RRC
1.53%
COM
BAP
1.52%
COM
WUBA
1.13%
SPON ADR REP A
CX
1.13%
SPON ADR NEW
CTSH
1.11%
CL A
NICE
0.97%
SPONSORED ADR
ASR
0.97%
SPON ADR SER B
APD
0.69%
COM
JNJ
0.68%
COM
V
0.66%
COM CL A
TSM
0.57%
SPONSORED ADR
SIMO
0.55%
SPONSORED ADR
CIB
0.55%
SPON ADR PREF
TSU
0.54%
SPONSORED ADR
NOMD
0.53%
USD ORD SHS
VRSN
0.49%
COM
MRK
0.47%
COM
EWZ
0.45%
MSCI BRZ CAP ETF
LVS
0.42%
COM
INDA
0.41%
MSCI INDIA ETF
AAPL
0.41%
COM
AMZN
0.39%
COM
NSC
0.35%
COM
BAC
0.35%
COM
NKE
0.31%
CL B
INTU
0.3%
COM
TIF
0.29%
COM
MCO
0.29%
COM
NTAP
0.29%
COM
INTC
0.28%
COM
PM
0.28%
COM
UAE
0.27%
MSCI UAE ETF
SPGI
0.27%
COM
MDLZ
0.26%
CL A
CVX
0.26%
COM
BDX
0.26%
COM
AFL
0.26%
COM
RTN
0.24%
COM NEW
GOOG
0.23%
CAP STK CL C
EWY
0.22%
MSCI STH KOR ETF
CI
0.22%
COM
GLPI
0.2%
COM
SCHW
0.19%
COM
CBS
0.19%
CL B
GS
0.18%
COM
VLO
0.18%
COM
EWT
0.18%
MSCI TAIWAN ETF
CMG
0.17%
COM
SNA
0.16%
COM
FXI
0.16%
CHINA LG-CAP ETF
AMCX
0.16%
CL A
AFG
0.16%
COM
MO
0.16%
COM
HDB
0.15%
ADR REPS 3 SHS
GNRC
0.15%
COM
FNF
0.15%
COM
RDN
0.14%
COM
MOS
0.14%
COM
FDS
0.14%
COM
HES
0.13%
COM
SYK
0.13%
COM
DAL
0.13%
COM NEW
GMED
0.13%
CL A
JEC
0.13%
COM
ETR
0.13%
COM
ORLY
0.12%
COM
A
0.12%
COM
LEA
0.12%
COM NEW
WAT
0.11%
COM
WH
0.11%
COM
MMM
0.1%
COM
HPQ
0.1%
COM
CNQ
0.1%
COM
HBI
0.1%
COM
MSCI
0.09%
COM
WRK
0.09%
COM
FB
0.08%
CL A
FOXAV
0.08%
CL A COM
CME
0.07%
COM
MNST
0.07%
COM
PEP
0.07%
COM
BUD
0.06%
SPONSORED ADR
REZI
0.05%
COM
CL
0.05%
COM
ZTS
0.04%
CL A
NTES
0.04%
SPONSORED ADR
DELL
0.02%
CL C
BIDU
3.13%
SPON ADR REP A
VALE
2.71%
ADR
DWDP
2.02%
COM
FOXA
0.33%
CL A
PFE
0.29%
COM
MS
0.26%
COM NEW
KB
0.14%
SPONSORED ADR
PKX
0.12%
SPONSORED ADR
PRSP
0.04%
COM
WCC
0.01%
COM
BTI
0.01%
SPONSORED ADR