Man Group PLC
The positions Man Group PLC reported on its Form 13F for Q2 2026, the quarter ending 30 Jun 2026, filed on 14 Aug 2026. Every figure below is the filing’s own: US-listed long equity, valued at the quarter end, with the change measured against the same manager’s previous filing.
Opened this quarter
A new position is the clearest thing a filing says. Somebody argued for it recently, and it is the easiest question to be ready for.
- State STR SPDR S&P 500 ETF T$856m · 1.4%
- SPDR Series Trust$120m · 0.2%
- American Beacon Select Funds$87m · 0.1%
Sold out of this quarter
Exits are valued at what the position was worth in the previous filing, because by this one it is gone.
- Clearwater Analytics HLDGS I$85m held before
- Hologic Inc$58m held before
- Onestream Inc$53m held before
- Carnival Corp (CCL)$50m held before
- Dupont de Nemours Inc (DD)$50m held before
- Honeywell Intl Inc$50m held before
- CSG Sys Intl Inc$37m held before
- Apellis Pharmaceuticals Inc$37m held before
- Masimo Corp$30m held before
- Sealed Air Corp New$26m held before
- Restaurant Brands Intl Inc$23m held before
- Hasbro Inc (HAS)$21m held before
- and 88 more.
Every reported position, Q2 2026
200 positions, sorted by weight · page 2 of 2
| Position | Weight ↑ | Value | Shares | Change on the quarter | Action |
|---|---|---|---|---|---|
Servicenow Inc (NOW) COM · CUSIP 81762P102 | 0.2% | $135m | 1,358,590 | -$97m -860,891 shares | Trimmed |
Expedia Group Inc (EXPE) COM NEW · CUSIP 30212P303 | 0.2% | $136m | 532,403 | +$23m +42,900 shares | Added |
Boston Scientific Corp (BSX) COM · CUSIP 101137107 | 0.2% | $138m | 3,225,164 | -$96m -493,567 shares | Trimmed |
Sysco Corp (SYY) COM · CUSIP 871829107 | 0.2% | $140m | 1,679,724 | +$83m +874,879 shares | Added |
Micron Technology Inc (MU) COM CALL · CUSIP 595112103 | 0.2% | $141m | 121,700 | +$92m -20,600 shares | Trimmed |
Netflix Inc. (NFLX) COM CALL · CUSIP 64110L106 | 0.2% | $141m | 1,970,800 | +$44m +964,600 shares | Added |
Ecolab Inc (ECL) COM · CUSIP 278865100 | 0.2% | $144m | 514,890 | -$60m -248,969 shares | Trimmed |
Micron Technology Inc (MU) COM PUT · CUSIP 595112103 | 0.2% | $145m | 125,900 | +$98m -13,400 shares | Trimmed |
General Dynamics Corp (GD) COM · CUSIP 369550108 | 0.2% | $147m | 413,811 | +$19m +42,919 shares | Added |
Northern TR Corp COM · CUSIP 665859104 | 0.2% | $148m | 849,733 | +$120m +654,324 shares | Added |
Expand Energy Corporation (EXE) COM · CUSIP 165167735 | 0.2% | $148m | 1,625,479 | +$21m +462,672 shares | Added |
HP Inc (HPQ) COM · CUSIP 40434L105 | 0.2% | $149m | 6,801,428 | +$17m -72,831 shares | Trimmed |
United Microelectronics Corp (UMC) SPON ADR NEW · CUSIP 910873405 | 0.2% | $152m | 5,593,427 | +$101m -135,474 shares | Trimmed |
Alphabet Inc CAP STK CL A CALL · CUSIP 02079K305 | 0.2% | $153m | 427,500 | +$4.7m -87,500 shares | Trimmed |
Alphabet Inc CAP STK CL A PUT · CUSIP 02079K305 | 0.2% | $153m | 427,500 | +$4.5m -88,200 shares | Trimmed |
Synchrony Financial COM · CUSIP 87165B103 | 0.2% | $154m | 2,024,943 | +$14m -36,598 shares | Trimmed |
Gilead Sciences Inc (GILD) COM · CUSIP 375558103 | 0.2% | $156m | 1,235,196 | +$62m +557,130 shares | Added |
Qualcomm Inc COM · CUSIP 747525103 | 0.2% | $157m | 847,297 | -$22m -535,858 shares | Trimmed |
Parker-hannifin Corp (PH) COM · CUSIP 701094104 | 0.3% | $157m | 160,372 | +$71m +64,507 shares | Added |
American Tower Corp COM · CUSIP 03027X100 | 0.3% | $162m | 989,462 | +$19m +163,324 shares | Added |
State STR Corp COM · CUSIP 857477103 | 0.3% | $162m | 955,472 | +$53m +93,872 shares | Added |
Intuit (INTU) COM · CUSIP 461202103 | 0.3% | $163m | 622,434 | +$66m +399,579 shares | Added |
L3harris Technologies Inc COM · CUSIP 502431109 | 0.3% | $164m | 563,720 | +$160m +553,255 shares | Added |
Ciena Corp (CIEN) COM NEW · CUSIP 171779309 | 0.3% | $164m | 334,805 | +$155m +311,418 shares | Added |
Ford MTR Co COM · CUSIP 345370860 | 0.3% | $164m | 11,812,989 | -$121m -12,932,127 shares | Trimmed |
Sherwin Williams Co (SHW) COM · CUSIP 824348106 | 0.3% | $165m | 479,415 | +$21m +29,928 shares | Added |
iShares TR IBOXX HI YD ETF · CUSIP 464288513 | 0.3% | $169m | 2,111,030 | +$146m +1,828,306 shares | Added |
Lyondellbasell Industries NV SHS - A - · CUSIP N53745100 | 0.3% | $172m | 3,260,990 | +$167m +3,196,533 shares | Added |
Amazon Com Inc (AMZN) COM PUT · CUSIP 023135106 | 0.3% | $172m | 723,400 | +$2.4m -92,900 shares | Trimmed |
Ase Technology HLDG Co LTD SPONSORED ADS · CUSIP 00215W100 | 0.3% | $174m | 3,856,454 | +$166m +3,505,899 shares | Added |
Analog Devices Inc (ADI) COM · CUSIP 032654105 | 0.3% | $175m | 439,908 | +$51m +51,429 shares | Added |
Comcast Corp New CL A · CUSIP 20030N101 | 0.3% | $179m | 7,300,157 | +$104m +4,672,773 shares | Added |
Agilent Technologies Inc (A) COM · CUSIP 00846U101 | 0.3% | $179m | 1,349,523 | +$27m +17,611 shares | Added |
Centene Corp Del COM · CUSIP 15135B101 | 0.3% | $179m | 2,795,138 | +$130m +1,280,026 shares | Added |
Hubbell Inc (HUBB) COM · CUSIP 443510607 | 0.3% | $180m | 343,460 | +$176m +336,584 shares | Added |
Amazon Com Inc (AMZN) COM CALL · CUSIP 023135106 | 0.3% | $180m | 756,100 | +$10m -59,400 shares | Trimmed |
Pg&e Corp COM · CUSIP 69331C108 | 0.3% | $189m | 11,207,670 | -$22m -760,216 shares | Trimmed |
Schwab Charles Corp COM · CUSIP 808513105 | 0.3% | $190m | 2,063,766 | +$131m +1,427,569 shares | Added |
Cadence Design System Inc COM · CUSIP 127387108 | 0.3% | $192m | 510,302 | +$42m -29,725 shares | Trimmed |
Chevron Corporation (CVX) COM · CUSIP 166764100 | 0.3% | $192m | 1,157,465 | +$109m +754,622 shares | Added |
Uber Technologies Inc (UBER) COM · CUSIP 90353T100 | 0.3% | $193m | 2,674,031 | +$51m +699,721 shares | Added |
iShares TR MSCI INDIA ETF · CUSIP 46429B598 | 0.3% | $194m | 3,928,010 | +$15m +107,700 shares | Added |
Arista Networks Inc (ANET) COM SHS · CUSIP 040413205 | 0.3% | $197m | 1,161,756 | -$39m -761,583 shares | Trimmed |
NXP Semiconductors N V (NXPI) COM · CUSIP N6596X109 | 0.3% | $205m | 727,581 | +$46m -77,224 shares | Trimmed |
Autodesk Inc (ADSK) COM · CUSIP 052769106 | 0.3% | $216m | 1,111,657 | -$21m +119,875 shares | Added |
TJX Cos Inc New COM · CUSIP 872540109 | 0.3% | $217m | 1,435,127 | +$28m +246,108 shares | Added |
Ross Stores Inc (ROST) COM · CUSIP 778296103 | 0.3% | $218m | 1,025,756 | +$96m +461,507 shares | Added |
Cardinal Health Inc (CAH) COM · CUSIP 14149Y108 | 0.4% | $222m | 934,556 | +$24m -1,203 shares | Trimmed |
General MTRS Co COM · CUSIP 37045V100 | 0.4% | $222m | 2,883,679 | -$55m -842,770 shares | Trimmed |
Ameriprise Finl Inc COM · CUSIP 03076C106 | 0.4% | $228m | 497,670 | +$88m +181,714 shares | Added |
Booking Holdings Inc (BKNG) COM · CUSIP 09857L108 | 0.4% | $234m | 1,314,031 | -$14m +1,255,039 shares | Added |
Ge Aerospace COM NEW · CUSIP 369604301 | 0.4% | $238m | 635,627 | +$2.0m -194,531 shares | Trimmed |
Chipotle Mexican Grill Inc (CMG) COM · CUSIP 169656105 | 0.4% | $240m | 7,070,279 | +$149m +4,198,465 shares | Added |
Airbnb Inc (ABNB) COM CL A · CUSIP 009066101 | 0.4% | $262m | 1,828,140 | +$116m +677,595 shares | Added |
Microsoft Corp (MSFT) COM PUT · CUSIP 594918104 | 0.4% | $262m | 702,000 | -$60m -167,800 shares | Trimmed |
American Intl Group Inc COM NEW · CUSIP 026874784 | 0.4% | $269m | 3,612,368 | +$136m +1,847,194 shares | Added |
Bristol-myers Squibb Co COM · CUSIP 110122108 | 0.4% | $270m | 4,682,000 | -$73m -976,497 shares | Trimmed |
Regeneron Pharmaceuticals (REGN) COM · CUSIP 75886F107 | 0.4% | $273m | 436,956 | +$29m +121,744 shares | Added |
Microsoft Corp (MSFT) COM CALL · CUSIP 594918104 | 0.4% | $276m | 739,700 | -$51m -143,000 shares | Trimmed |
Kla Corp (KLAC) COM NEW · CUSIP 482480100 | 0.4% | $277m | 917,383 | +$161m +838,685 shares | Added |
T-mobile US Inc COM · CUSIP 872590104 | 0.4% | $277m | 1,651,753 | +$61m +623,978 shares | Added |
Tesla Inc (TSLA) COM · CUSIP 88160R101 | 0.4% | $277m | 658,974 | +$14m -49,024 shares | Trimmed |
Oreilly Automotive Inc COM · CUSIP 67103H107 | 0.4% | $281m | 3,048,747 | +$166m +1,807,418 shares | Added |
Kinross Gold Corp COM · CUSIP 496902404 | 0.5% | $298m | 12,621,448 | -$85m +57,330 shares | Added |
Adobe Inc (ADBE) COM · CUSIP 00724F101 | 0.5% | $315m | 1,536,426 | +$9.5m +279,646 shares | Added |
Vici Pptys Inc COM · CUSIP 925652109 | 0.5% | $318m | 11,986,780 | +$20m +1,059,919 shares | Added |
Apple Inc (AAPL) COM CALL · CUSIP 037833100 | 0.5% | $320m | 1,105,400 | +$26m -51,200 shares | Trimmed |
Apple Inc (AAPL) COM PUT · CUSIP 037833100 | 0.5% | $320m | 1,105,400 | +$33m -24,900 shares | Trimmed |
Applied Matls Inc COM · CUSIP 038222105 | 0.5% | $322m | 445,289 | +$138m -93,525 shares | Trimmed |
Pepsico Inc (PEP) COM · CUSIP 713448108 | 0.5% | $329m | 2,427,045 | +$33m +520,697 shares | Added |
Lam Research Corp (LRCX) COM NEW · CUSIP 512807306 | 0.5% | $337m | 777,269 | +$83m -410,444 shares | Trimmed |
Keysight Technologies Inc (KEYS) COM · CUSIP 49338L103 | 0.5% | $338m | 965,855 | +$180m +406,075 shares | Added |
Bank of Amer Corp COM · CUSIP 060505104 | 0.5% | $339m | 5,939,843 | +$154m +2,157,188 shares | Added |
Trane Technologies PLC (TT) SHS · CUSIP G8994E103 | 0.6% | $346m | 703,658 | +$188m +326,150 shares | Added |
Ametek Inc (AME) COM · CUSIP 031100100 | 0.6% | $357m | 1,473,501 | +$112m +333,809 shares | Added |
JPMorgan Chase & Co COM · CUSIP 46625H100 | 0.6% | $365m | 1,113,682 | +$23m -46,092 shares | Trimmed |
Visa Inc (V) COM CL A · CUSIP 92826C839 | 0.6% | $370m | 1,079,526 | +$183m +457,817 shares | Added |
Citigroup Inc COM NEW · CUSIP 172967424 | 0.6% | $371m | 2,646,994 | +$186m +1,023,389 shares | Added |
Te Connectivity PLC (TEL) ORD SHS · CUSIP G87052109 | 0.6% | $389m | 1,927,478 | -$30m -75,340 shares | Trimmed |
Nvidia Corporation (NVDA) COM CALL · CUSIP 67066G104 | 0.6% | $407m | 2,035,100 | +$51m -6,400 shares | Trimmed |
Costco Wholesale Corporation (COST) COM · CUSIP 22160K105 | 0.7% | $410m | 437,789 | +$53m +80,098 shares | Added |
Abbvie Inc (ABBV) COM · CUSIP 00287Y109 | 0.7% | $429m | 1,704,016 | +$43m -70,399 shares | Trimmed |
Amphenol Corp CL A · CUSIP 032095101 | 0.7% | $437m | 2,480,397 | +$194m +554,577 shares | Added |
Advanced Micro Devices Inc (AMD) COM · CUSIP 007903107 | 0.7% | $454m | 781,491 | +$294m -4,587 shares | Trimmed |
Nvidia Corporation (NVDA) COM PUT · CUSIP 67066G104 | 0.7% | $469m | 2,345,400 | +$46m -80,700 shares | Trimmed |
Mastercard Incorporated (MA) CL A · CUSIP 57636Q104 | 0.8% | $471m | 916,619 | +$93m +160,636 shares | Added |
Eli Lilly & Co (LLY) COM · CUSIP 532457108 | 0.8% | $478m | 398,861 | +$90m -23,155 shares | Trimmed |
Meta Platforms Inc (META) CL A · CUSIP 30303M102 | 0.8% | $483m | 857,224 | -$122m -199,645 shares | Trimmed |
Alphabet Inc CAP STK CL C · CUSIP 02079K107 | 0.8% | $489m | 1,382,434 | +$24m -237,748 shares | Trimmed |
Taiwan Semiconductor Manufac SPONSORED ADS · CUSIP 874039100 | 0.8% | $527m | 1,103,279 | +$153m -3,674 shares | Trimmed |
Micron Technology Inc (MU) COM · CUSIP 595112103 | 0.9% | $533m | 461,926 | +$345m -96,330 shares | Trimmed |
State STR SPDR S&P 500 ETF T TR UNIT PUT · CUSIP 78462F103 | 0.9% | $577m | 772,200 | +$351m +424,700 shares | Added |
State STR SPDR S&P 500 ETF T TR UNIT CALL · CUSIP 78462F103 | 1.0% | $641m | 857,700 | +$474m +601,300 shares | Added |
Broadcom Inc (AVGO) COM · CUSIP 11135F101 | 1.3% | $789m | 2,087,421 | +$134m -25,883 shares | Trimmed |
State STR SPDR S&P 500 ETF T TR UNIT · CUSIP 78462F103 | 1.4% | $856m | 1,146,541 | No earlier filing | New |
Alphabet Inc CAP STK CL A · CUSIP 02079K305 | 1.4% | $879m | 2,459,575 | +$4.2m -582,536 shares | Trimmed |
Microsoft Corp (MSFT) COM · CUSIP 594918104 | 1.6% | $1.0bn | 2,759,777 | -$229m -639,895 shares | Trimmed |
Amazon Com Inc (AMZN) COM · CUSIP 023135106 | 1.7% | $1.0bn | 4,362,727 | +$266m +645,573 shares | Added |
Apple Inc (AAPL) COM · CUSIP 037833100 | 3.0% | $1.9bn | 6,606,605 | +$391m +613,568 shares | Added |
Nvidia Corporation (NVDA) COM · CUSIP 67066G104 | 3.5% | $2.2bn | 10,915,067 | +$426m +837,036 shares | Added |
Every filing on file
| Quarter | Period end | Filed | Book | Positions | Top 10 | Filing |
|---|---|---|---|---|---|---|
| Q2 2026 | 30 Jun 2026 | 14 Aug 2026 | $62.7bn | 2,316 | 17% | 13F-HR |
| Q1 2026 | 31 Mar 2026 | 15 May 2026 | $55.1bn | 2,367 | 16% | 13F-HR |
| Q4 2025 | 31 Dec 2025 | 17 Feb 2026 | $58.8bn | 2,224 | 18% | 13F-HR |
| Q3 2025 | 30 Sept 2025 | 14 Nov 2025 | $57.5bn | 2,182 | 18% | 13F-HR |
| Q2 2025 | 30 Jun 2025 | 14 Aug 2025 | $52.5bn | 2,150 | 17% | 13F-HR |
| Q1 2025 | 31 Mar 2025 | 15 May 2025 | $39.4bn | 2,152 | 13% | 13F-HR |
| Q4 2024 | 31 Dec 2024 | 14 Feb 2025 | $38.0bn | 1,964 | 13% | 13F-HR |
| Q3 2024 | 30 Sept 2024 | 14 Nov 2024 | $38.4bn | 1,943 | 12% | 13F-HR |
Taking this into the room
Pick one name from the top of the book and one from the new positions, and know both properly: what the company earns, what it is priced at, and what has to be true for the position to work. That is a conversation. Reciting the whole table is not, and the interviewer wrote it.
A position sold out of is worth as much preparation as one opened. Ask what changed rather than asserting the fund was wrong, and be ready for the answer that the thesis played out and the money went somewhere better.
What this filing leaves out
A 13F covers US-listed long equity at one moment in time. Shorts, bonds, cash, private positions and non-US listings never appear, and options are reported in a form that will mislead you if you read them as a position. A long/short manager showing $8bn here may run a book several times that size.
The lag matters too. Positions are as at the quarter end and the filing arrives up to forty-five days later, so what you are reading is at least six weeks old and possibly four months. Phrase it as what the filing showed, not what the fund holds today.
Company names, tickers and logos are the trademarks of their respective owners and appear here to identify the company whose public figures are being used. L3VLUP is not affiliated with, sponsored by or endorsed by any company shown, and nothing here is a statement by or about that company. More