TCW GROUP INCTCW GROUP INC

Institutional investor · Portfolio as of Q1 2021

SEC EDGAR SourceSEC Filings

Top Holdings329 positions

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Activity:
Stock
Shares
Value
Weight
Avg Buy
Est. P&L
Held
Conviction

AMAZON.COM INC

143,819$445M4.3%$103.17+48.06%
9 qtrssince 2019-Q1
Decreased
0

SERVICENOW INC

730,190$365.2M3.5%$56.05+73.98%
9 qtrssince 2019-Q1
Decreased
0

ADOBE INC

761,131$361.8M3.5%$306.52+55.09%
9 qtrssince 2019-Q1
Decreased
0

ALPHABET INC-CL C

171,898$355.6M3.4%$63.24+61.30%
9 qtrssince 2019-Q1
Decreased
0

PAYPAL HOLDINGS INC

1.4M$347.4M3.3%$126.61+86.39%
9 qtrssince 2019-Q1
Decreased
0

META PLATFORMS INC-CLASS A

1.1M$326.6M3.1%$185.79+53.94%
9 qtrssince 2019-Q1
Decreased
0

VISA INC-CLASS A SHARES

1.3M$275M2.6%$161.03+26.24%
9 qtrssince 2019-Q1
Decreased
0

NVIDIA CORP

482,126$257.4M2.5%$5.77+122.47%
9 qtrssince 2019-Q1
Decreased
0
AMTAMT
REIT

AMERICAN TOWER CORP

1M$243.1M2.3%$168.33+21.66%
9 qtrssince 2019-Q1
Decreased
0

SALESFORCE.COM INC

1.1M$238.7M2.3%$164.09+26.45%
9 qtrssince 2019-Q1
Decreased
0

TRADE DESK INC/THE -CLASS A

333,907$217.6M2.1%$21.63+189.36%
9 qtrssince 2019-Q1
Decreased
0

MASTERCARD INC - A

603,343$214.8M2.1%$252.55+37.84%
9 qtrssince 2019-Q1
Decreased
0

ASML HOLDING NV-NY REG SHS

316,582$195.4M1.9%$218.44+168.87%
9 qtrssince 2019-Q1
Decreased
0

ALIGN TECHNOLOGY INC

347,591$188.2M1.8%$323.95+61.86%
9 qtrssince 2019-Q1
Decreased
0
1.6M$155.8M1.5%
9 qtrssince 2019-Q1
Decreased
0
EQIXEQIX
REIT

EQUINIX INC

228,606$155.4M1.5%$425.79+44.57%
9 qtrssince 2019-Q1
Decreased
0

ZOETIS INC

984,621$155.1M1.5%$104.95+41.47%
9 qtrssince 2019-Q1
Decreased
0

HOME DEPOT INC

469,773$143.4M1.4%$175.83+54.45%
9 qtrssince 2019-Q1
Decreased
0

TRANSUNION

1.5M$131.2M1.3%$69.45+26.02%
9 qtrssince 2019-Q1
Decreased
0

COSTCO WHOLESALE CORP

349,765$123.3M1.2%$243.48+36.64%
9 qtrssince 2019-Q1
Decreased
0
$10.4B
AUM
329
Positions
Q1 2021
Filing
Rating · 1.5
Quarterly Portfolio Change
+3%Q4'19$9B-20%Q1'20$7.2B+19%Q2'20$8.6B+7%Q3'20$9.2B+25%Q4'20$11.5B-9%Q1'21$10.4B
Activity profile
$ moved · Q1'21
New13%Increased15%Decreased63%Exited9%
Composition
Equity vs derivatives
Equity100%Puts0%Calls0%
Holding period
Avg 1.4 years
<1Q9%1-4Q19%1-2Y17%2Y+55%

TCW GROUP INC manages $10.4B across 329 positions as of Q1 2021. Top holdings: AMZN (4.3%), NOW (3.5%), ADBE (3.5%). Fund DNA: Steady Compounder. HoldingsIntel Rating: 1.5/5.0.

Q1 2021 Summary

Active quarter - 38 new positions, 39 exits, 82 increased. No standout high-conviction moves this quarter. Portfolio: $10.4B across 329 positions.

Top holdings by portfolio weight

Total AUM$10B
AMZN4.26%
NOW3.50%
ADBE3.47%
GOOG3.41%
PYPL3.33%
META3.13%
V2.64%
NVDA2.47%
AMT2.33%
CRM2.29%
Other2.08%

Portfolio allocation by GICS sector

Sectors11
Technology23.24%
Financial Services17.40%
Communication Services13.52%
Healthcare11.24%
Consumer Cyclical10.09%
Real Estate7.01%
Unknown5.39%
Industrials5.33%
Consumer Defensive2.63%
Energy1.68%
Other2.46%

Behavioral investing profile

7-dimension quality assessment
Below Average(1.5 / 5.0)
Track Record61
Conviction43
Concentration48
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Position Outcomes

Best and worst performing positions by estimated return

Cost basis estimates based on full filing history using quarter-end prices. Actual transaction prices are not disclosed in 13F filings.

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Data sourced from SEC EDGAR 13F filings. Not financial advice. Full disclaimer

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