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Investment firm C WorldWide Group Holding A (current portfolio) buys Adobe Inc, Align Technology Inc, NovoCure, Axonics Inc, Exact Sciences Corp, sells Visa Inc, DexCom Inc, Quidel Corp, Xylem Inc, Fidelity National Information Services Inc in the 3 months ending the fourth quarter of 2021, according to the investment company’s most recent filings, C WorldWide Group Holding A. As of the fourth quarter of 2021, C WorldWide Group Holding A owns 93 shares with a total price of $10. 6 billion. These are the main points of purchase and sales.
New purchases: ADBE, VRSK, AMPS, AMPS, BEPC, TJX, HHR, MA, OR,
Added positions: ALGN, HDB, NVCR, AXNX, EXAS, PRVA, KPTI, ONEM, INFY, LH, OSH, SCI, DLO, MELI,
Reduced positions: V, TMO, HD, AMZN, GOOG, AMT, SPGI, FRC, NEE, ECL, SE, MSFT, FISV, DXCM, PG, QDEL, CNC, ISRG, HUM, XYL, PODD, HZNP, BHVN, IBN , EW, TSM, TCOM, GLACE, RHI, GLOB, DG, WTW, ADP,
Sold out: FIS, MCD, PAGS, ARCE, MKC,
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To learn more about the purchase and promotion of shares of C WorldWide Group Holding A, https://www. gurufocus. com/guru/c international organization that owns a/current-portfolio/portfolio
Here are the five most sensible holdings of C WorldWide Group Holding A
Alphabet Inc (GOOG) – 388,223 shares, 10. 61% of the total portfolio. Shares reduced by up to 1. 85%
Thermo Fisher Scientific Inc (TMO) – 1,582,013 shares, 9. 97% of the total portfolio. Shares were down as much as 3. 42%
The Home Depot Inc (HD) – 2,308,331 shares, 9. 05% of the total portfolio. Shares down as much as 3. 33%
Microsoft Corp (MSFT) – 2,817,957 shares, 8. 95% of the total portfolio. Shares reduced by up to 1. 24%
Amazon. com Inc (AMZN) – 230,611 shares, 7. 26% of the total portfolio. Shares reduced by up to 2. 91%
New purchase: Adobe Inc (ADBE)
C WorldWide Group Holding A has initiated a stake in Adobe Inc. Purchase values ranged from $549. 77 to $688. 37, with an estimated average value of $625. 62. Inventory is now trading at around $535,275,000. The effect on the portfolio of this purchase is 4. 21%. The holding was 785,781 stocks as of 12/31/2021.
New purchase: Verisk Analytics Inc (VRSK)
C WorldWide Group Holding A has initiated a stake in Verisk Analytics Inc. Purchase values ranged from $198. 81 to $230. 03, with an estimated average value of $218. 74. Inventory is now trading at around $198,880,000. The effect on the portfolio of this acquisition is 0. 03%. The share was 14,260 stocks as of 12/31/2021.
New purchase: Altus Power Inc (AMPS)
C WorldWide Group Holding A has initiated a stake in Altus Power Inc. Purchase values ranged from $9. 25 to $10. 95, with an estimated average value of $10. 1. Inventory is now trading at around $6,640,000. The effect on the portfolio of this purchase is 0. 02%. The holding was 223,890 stocks as of 12/31/2021.
New purchase: TJX Companies Inc (TJX)
C WorldWide Group Holding A has initiated a stake in TJX Companies Inc. Purchase values ranged from $62. 97 to $75. 92, with an estimated average value of $69. 51. Inventory is now trading at around $71,895,000. The effect on the portfolio of this purchase is 0. 02%. The holding was 32,221 inventories as of 12/31/2021.
New purchase: Brookfield Renewable Corp (BEPC)
C WorldWide Group Holding A has initiated a stake in Brookfield Renewable Corp. Purchase values ranged from $33. 76 to $42. 58, with an estimated average value of $38. 11. Inventory is now trading at around $33,805,000. The effect on the portfolio of this purchase is 0. 02%. The holding was 56,272 stocks as of 12/31/2021.
New purchase: Altus Power Inc (AMPS)
C WorldWide Group Holding A has initiated a stake in Altus Power Inc. Purchase values ranged from $9. 25 to $10. 95, with an estimated average value of $10. 1. Inventory is now trading at around $6,640,000. The effect on the portfolio of this purchase is 0. 02%. The holding was 223,890 stocks as of 12/31/2021.
Added: Align Technology Inc (ALGN)
C WorldWide Group Holding A added a 77. 78% stake in Align Technology Inc. Purchase values ranged from $589. 61 to $711. 02, with an estimated average value of $642. 97. Inventory is now trading at around $504,735,000. The effect on the portfolio of this purchase is 0. 16%. The holding was 59,428 stocks as of 12/31/2021.
Added: NovoCure Ltd (NVCR)
C WorldWide Group Holding A added a 116. 30% stake in NovoCure Ltd. Purchase values ranged from $75. 08 to $121. 99, with an estimated average value of $99. 87. Inventory is now trading at around $73,610,000. The effect on the portfolio of this purchase is 0. 09%. The holding was 241,784 stocks as of 12/31/2021.
Added: Axonics Inc (AXNX)
C WorldWide Group Holding A added a 52. 16% stake in Axonics Inc. Purchase values ranged from $50. 01 to $73. 35, with an estimated average value of $60. 96. Inventory is now trading at around $49,610,000. The effect on the portfolio of this acquisition was 0. 07%. The share was 380,400 stocks as of 12/31/2021.
Addendum: Exact Sciences Corp (EXAS)
C WorldWide Group Holding A added a 26. 15% stake in Exact Sciences Corp. Purchase values ranged from $72. 5 to $100. 68, with an estimated average value of $87. 97. Inventory is now trading at around $75,275,000. The effect on the portfolio of this purchase is 0. 05%. The holding was 332,341 inventories as of 12/31/2021.
Added: Privia Health Group Inc (PRVA)
C WorldWide Group Holding A added a 28. 85% stake in Privia Health Group Inc. Purchase values ranged from $21. 14 to $32. 49, with an estimated average value of $24. 98. Inventory is now trading at around $20,760,000. The effect on the portfolio of this acquisition is 0. 04%. The share was 670,000 stocks as of 12/31/2021.
Added: Karyopharm Therapeutics Inc (KPTI)
C WorldWide Group Holding A added a 25. 00% stake in Karyopharm Therapeutics Inc. Purchase values ranged from $5. 21 to $8. 61, with an estimated average value of $6. 68. Inventory is now trading at around $9,330,000. The effect on the portfolio of this acquisition is 0. 02%. The share was 1,500,000 stocks as of 12/31/2021.
Sold out: Fidelity National Information Services Inc (FIS)
C WorldWide Group Holding A sold a stake in Fidelity National Information Services Inc. Sales values ranged from $102. 36 to $125. 04, with an estimated average value of $112. 73.
Sold out: McDonald’s Corp (MCD)
C WorldWide Group Holding A sold a stake in McDonald’s Corp. Sale values ranged from $236. 42 to $268. 49, with an estimated average value of $252. 91.
Sold out: Pagseguro Digital Ltd (PAGS)
C WorldWide Group Holding A has sold a stake in PagSeguro Digital Ltd. Sale values ranged from $24. 15 to $49. 43, with an estimated average value of $32. 06.
Sold out: Arco Platform Ltd (ARCE)
C WorldWide Group Holding A sold a stake in Arco Platform Ltd. Sales values ranged from $16. 42 to $23, with an estimated average value of $19. 42.
Out of print: McCormick
C WorldWide Group Holding A sold one in McCormick
Here is the complete portfolio of C WorldWide Group Holding A. See also: 1. Undervalued shares of C WorldWide Group Holding A2. Fastest growing companies of C WorldWide Group Holding A, and 3. High-yield shares of C WorldWide Group Holding A4. Shares that C WorldWide Group Holding A continues to buy This article was first published on GuruFocus.