Wellington Management Group LLP
The positions Wellington Management Group LLP 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.
- Honeywell Aerospace Inc (HONA)$1.7bn · 0.3%
- Honeywell Intl Inc$1.3bn · 0.2%
- Space Exploration Techn Corp$1.1bn · 0.2%
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.
- Honeywell Intl Inc$3.8bn held before
- Coterra Energy Inc$1.9bn held before
- Ascendis Pharma A/s (ASND)$402m held before
- Avantor Inc (AVTR)$190m held before
- Carnival Corp (CCL)$188m held before
- Shake Shack Inc (SHAK)$152m held before
- Soleno Therapeutics Inc$148m held before
- Invesco Exchange Traded FD T$120m held before
- Regency CTRS Corp$109m held before
- Booz Allen Hamilton HLDG Cor$107m held before
- KBR Inc (KBR)$74m held before
- Leonardo DRS Inc (DRS)$67m held before
- and 88 more.
Every reported position, Q2 2026
200 positions, sorted by weight · page 1 of 2
| Position | Weight ↑ | Value | Shares | Change on the quarter | Action |
|---|---|---|---|---|---|
Cytokinetics Inc (CYTK) COM NEW · CUSIP 23282W605 | 0.1% | $591m | 6,931,770 | +$63m -1,077,719 shares | Trimmed |
Gsk plc SPONSORED ADR · CUSIP 37733W204 | 0.1% | $597m | 11,396,249 | -$49m -321,364 shares | Trimmed |
Netapp Inc (NTAP) COM · CUSIP 64110D104 | 0.1% | $597m | 3,860,019 | +$119m -810,702 shares | Trimmed |
Palantir Technologies Inc (PLTR) CL A · CUSIP 69608A108 | 0.1% | $601m | 5,150,519 | -$741m -4,025,792 shares | Trimmed |
Ionis Pharmaceuticals Inc (IONS) COM · CUSIP 462222100 | 0.1% | $607m | 7,651,415 | +$127m +1,259,599 shares | Added |
Regal Rexnord Corporation (RRX) COM · CUSIP 758750103 | 0.1% | $616m | 2,584,056 | +$340m +1,113,888 shares | Added |
Tradeweb MKTS Inc CL A · CUSIP 892672106 | 0.1% | $618m | 6,204,054 | -$265m -1,300,121 shares | Trimmed |
Ftai Aviation LTD SHS · CUSIP G3730V105 | 0.1% | $630m | 2,326,754 | +$254m +794,253 shares | Added |
MKS Inc. (MKSI) COM · CUSIP 55306N104 | 0.1% | $630m | 1,416,034 | +$209m -417,103 shares | Trimmed |
Regions Financial Corp New COM · CUSIP 7591EP100 | 0.1% | $634m | 20,992,390 | -$310m -15,144,333 shares | Trimmed |
Alnylam Pharmaceuticals Inc (ALNY) COM · CUSIP 02043Q107 | 0.1% | $635m | 2,110,407 | -$5.2m +174,482 shares | Added |
Interactive Brokers Group In COM CL A · CUSIP 45841N107 | 0.1% | $643m | 7,382,141 | -$13m -2,392,651 shares | Trimmed |
Corteva Inc (CTVA) COM · CUSIP 22052L104 | 0.1% | $645m | 7,612,704 | +$584m +6,881,875 shares | Added |
Viking Holdings LTD (VIK) ORD SHS · CUSIP G93A5A101 | 0.1% | $645m | 6,157,982 | +$585m +5,341,580 shares | Added |
Sun Cmntys Inc COM · CUSIP 866674104 | 0.1% | $646m | 5,390,114 | -$90m -452,804 shares | Trimmed |
Boston Scientific Corp (BSX) COM · CUSIP 101137107 | 0.1% | $653m | 15,301,828 | -$529m -3,531,578 shares | Trimmed |
Nutrien LTD (NTR) COM · CUSIP 67077M108 | 0.1% | $654m | 10,389,040 | -$560m -5,703,675 shares | Trimmed |
C H Robinson Worldwide In COM NEW · CUSIP 12541W209 | 0.1% | $666m | 3,537,307 | +$20m -352,035 shares | Trimmed |
Parker-hannifin Corp (PH) COM · CUSIP 701094104 | 0.1% | $667m | 681,600 | -$479m -597,631 shares | Trimmed |
Pfizer Inc (PFE) COM · CUSIP 717081103 | 0.1% | $670m | 27,826,078 | -$732m -22,090,883 shares | Trimmed |
Biogen Inc (BIIB) COM · CUSIP 09062X103 | 0.1% | $674m | 3,117,469 | +$131m +155,828 shares | Added |
Zoetis Inc (ZTS) CL A · CUSIP 98978V103 | 0.1% | $677m | 9,423,895 | -$523m -726,201 shares | Trimmed |
Wesco Intl Inc COM · CUSIP 95082P105 | 0.1% | $697m | 2,018,251 | -$288m -1,581,864 shares | Trimmed |
Doordash Inc (DASH) CL A · CUSIP 25809K105 | 0.1% | $709m | 3,841,016 | -$274m -2,700,723 shares | Trimmed |
Kimberly-clark Corp (KMB) COM · CUSIP 494368103 | 0.1% | $712m | 6,486,357 | -$152m -2,470,167 shares | Trimmed |
Monster Beverage Corp New (MNST) COM · CUSIP 61174X109 | 0.1% | $718m | 7,465,974 | +$294m +1,624,416 shares | Added |
Prologis Inc. COM · CUSIP 74340W103 | 0.1% | $718m | 5,301,623 | -$41m -444,398 shares | Trimmed |
Revolution Medicines Inc COM · CUSIP 76155X100 | 0.1% | $720m | 3,843,415 | +$134m -2,184,404 shares | Trimmed |
Ametek Inc (AME) COM · CUSIP 031100100 | 0.1% | $724m | 2,994,077 | +$125m +196,986 shares | Added |
Aaon Inc (AAON) COM PAR $0.004 · CUSIP 000360206 | 0.1% | $732m | 5,772,476 | +$72m -2,204,688 shares | Trimmed |
Schwab Charles Corp COM · CUSIP 808513105 | 0.1% | $736m | 7,971,114 | +$695m +7,537,489 shares | Added |
Steris PLC (STE) SHS USD · CUSIP G8473T100 | 0.1% | $738m | 3,502,897 | +$102m +629,532 shares | Added |
Yum Brands Inc (YUM) COM · CUSIP 988498101 | 0.1% | $741m | 4,631,940 | +$692m +4,317,526 shares | Added |
United Therapeutics Corp Del COM · CUSIP 91307C102 | 0.1% | $747m | 1,379,025 | -$596m -885,222 shares | Trimmed |
Abbott Laboratories (ABT) COM · CUSIP 002824100 | 0.1% | $754m | 8,304,709 | -$2.0bn -18,765,809 shares | Trimmed |
Applied Matls Inc COM · CUSIP 038222105 | 0.1% | $768m | 1,061,899 | +$646m +704,629 shares | Added |
Lowes Cos Inc COM · CUSIP 548661107 | 0.1% | $775m | 3,514,809 | -$187m -557,347 shares | Trimmed |
PPL Corp COM · CUSIP 69351T106 | 0.1% | $777m | 21,372,119 | -$159m -3,137,182 shares | Trimmed |
Duke Energy Corp New COM NEW · CUSIP 26441C204 | 0.1% | $790m | 6,243,806 | -$76m -373,349 shares | Trimmed |
Regeneron Pharmaceuticals (REGN) COM · CUSIP 75886F107 | 0.1% | $792m | 1,270,087 | -$628m -567,372 shares | Trimmed |
Uber Technologies Inc (UBER) COM · CUSIP 90353T100 | 0.1% | $798m | 11,051,623 | +$337m +4,647,646 shares | Added |
Darden Restaurants Inc (DRI) COM · CUSIP 237194105 | 0.1% | $800m | 3,884,070 | -$543m -2,964,922 shares | Trimmed |
Sunbelt Rentals Holdings Inc (SUNB) SHS · CUSIP 866966104 | 0.1% | $807m | 11,057,926 | +$104m -163,447 shares | Trimmed |
Airbnb Inc (ABNB) COM CL A · CUSIP 009066101 | 0.1% | $828m | 5,785,665 | +$423m +2,581,539 shares | Added |
Marathon Pete Corp COM · CUSIP 56585A102 | 0.1% | $832m | 3,252,153 | -$545m -2,385,034 shares | Trimmed |
McDonald's Corp (MCD) COM · CUSIP 580135101 | 0.1% | $832m | 3,075,944 | -$230m -338,831 shares | Trimmed |
Echostar Corp (ECHO) CL A · CUSIP 278768106 | 0.1% | $853m | 8,407,289 | -$17m +973,336 shares | Added |
Centene Corp Del COM · CUSIP 15135B101 | 0.1% | $854m | 13,301,215 | +$771m +10,757,914 shares | Added |
Datadog Inc (DDOG) CL A COM · CUSIP 23804L103 | 0.1% | $860m | 3,301,465 | +$635m +1,402,519 shares | Added |
Argenx Se (ARGX) SPONSORED ADR · CUSIP 04016X101 | 0.1% | $863m | 930,548 | +$117m -90,909 shares | Trimmed |
Roper Technologies Inc (ROP) COM · CUSIP 776696106 | 0.2% | $890m | 2,631,070 | -$53m -35,999 shares | Trimmed |
Equinix Inc (EQIX) COM · CUSIP 29444U700 | 0.2% | $894m | 857,391 | -$82m -137,712 shares | Trimmed |
NIKE Inc (NKE) CL B · CUSIP 654106103 | 0.2% | $912m | 22,208,933 | -$1.1bn -16,143,310 shares | Trimmed |
iShares TR RUSSELL 2000 ETF · CUSIP 464287655 | 0.2% | $922m | 3,068,234 | +$652m +1,978,171 shares | Added |
Icon Pub LTD Co SHS · CUSIP G4705A100 | 0.2% | $924m | 5,320,054 | +$270m -592,983 shares | Trimmed |
CMS Energy Corp COM · CUSIP 125896100 | 0.2% | $930m | 12,158,296 | +$414m +5,502,352 shares | Added |
Freeport Mcmoran Inc (FCX) CL B · CUSIP 35671D857 | 0.2% | $938m | 14,918,066 | +$168m +1,810,698 shares | Added |
Exelon Corp (EXC) COM · CUSIP 30161N101 | 0.2% | $939m | 20,145,585 | -$62m -283,580 shares | Trimmed |
Avery Dennison Corp (AVY) COM · CUSIP 053611109 | 0.2% | $940m | 5,788,479 | +$23m +482,054 shares | Added |
Kroger Co (KR) COM · CUSIP 501044101 | 0.2% | $940m | 16,920,677 | -$759m -6,549,346 shares | Trimmed |
Clean Harbors Inc (CLH) COM · CUSIP 184496107 | 0.2% | $943m | 3,155,233 | -$83m -421,801 shares | Trimmed |
Palo Alto Networks Inc (PANW) COM · CUSIP 697435105 | 0.2% | $946m | 2,774,225 | +$682m +1,129,480 shares | Added |
Procter & Gamble Co (PG) COM · CUSIP 742718109 | 0.2% | $948m | 6,467,523 | -$254m -1,857,776 shares | Trimmed |
Sherwin Williams Co (SHW) COM · CUSIP 824348106 | 0.2% | $959m | 2,784,679 | +$577m +1,593,009 shares | Added |
Becton Dickinson & Co (BDX) COM · CUSIP 075887109 | 0.2% | $962m | 6,357,986 | -$78m -257,244 shares | Trimmed |
Agilent Technologies Inc (A) COM · CUSIP 00846U101 | 0.2% | $990m | 7,454,686 | +$163m +198,253 shares | Added |
Walmart Inc (WMT) COM · CUSIP 931142103 | 0.2% | $993m | 8,763,067 | -$149m -421,532 shares | Trimmed |
Cloudflare Inc (NET) CL A COM · CUSIP 18915M107 | 0.2% | $993m | 4,048,753 | +$166m +37,923 shares | Added |
Amgen Inc (AMGN) COM · CUSIP 031162100 | 0.2% | $993m | 2,742,271 | +$913m +2,514,254 shares | Added |
Canadian Natl Ry Co COM · CUSIP 136375102 | 0.2% | $1.0bn | 8,537,192 | -$165m -2,985,994 shares | Trimmed |
Trane Technologies PLC (TT) SHS · CUSIP G8994E103 | 0.2% | $1.0bn | 2,097,038 | +$78m -186,669 shares | Trimmed |
Weyerhaeuser Co (WY) COM NEW · CUSIP 962166104 | 0.2% | $1.0bn | 43,574,118 | +$112m +5,437,685 shares | Added |
PPG Inds Inc COM · CUSIP 693506107 | 0.2% | $1.0bn | 8,612,746 | -$64m -1,760,099 shares | Trimmed |
Space Exploration Techn Corp CLASS A COM STK · CUSIP 84615Q103 | 0.2% | $1.1bn | 6,154,854 | No earlier filing | New |
WW Grainger Inc COM · CUSIP 384802104 | 0.2% | $1.1bn | 775,644 | -$72m -257,208 shares | Trimmed |
Ares Management Corporation CL A COM STK · CUSIP 03990B101 | 0.2% | $1.1bn | 9,526,077 | -$158m -1,636,725 shares | Trimmed |
James Hardie Inds PLC ORD SHS · CUSIP G4253H101 | 0.2% | $1.1bn | 40,841,163 | +$69m -11,962,062 shares | Trimmed |
Morgan Stanley COM NEW · CUSIP 617446448 | 0.2% | $1.1bn | 5,129,203 | +$306m +471,432 shares | Added |
American Express Co (AXP) COM · CUSIP 025816109 | 0.2% | $1.1bn | 3,219,942 | -$177m -965,037 shares | Trimmed |
Dell Technologies Inc (DELL) CL C · CUSIP 24703L202 | 0.2% | $1.1bn | 2,526,987 | +$918m +1,474,347 shares | Added |
Natera Inc (NTRA) COM · CUSIP 632307104 | 0.2% | $1.1bn | 4,040,738 | +$143m -727,855 shares | Trimmed |
Pinnacle Finl Partners Inc COM · CUSIP 72348N109 | 0.2% | $1.1bn | 11,141,397 | +$338m +2,016,827 shares | Added |
Qualcomm Inc COM · CUSIP 747525103 | 0.2% | $1.1bn | 6,142,047 | +$59m -2,210,675 shares | Trimmed |
Goldman Sachs Group Inc COM · CUSIP 38141G104 | 0.2% | $1.1bn | 1,136,909 | +$252m +75,464 shares | Added |
Johnson Controls Internation SHS · CUSIP G51502105 | 0.2% | $1.2bn | 7,937,508 | +$43m -593,204 shares | Trimmed |
Bank of Ny Mellon Corp COM · CUSIP 064058100 | 0.2% | $1.2bn | 8,129,285 | +$649m +3,687,887 shares | Added |
Axon Enterprise Inc (AXON) COM · CUSIP 05464C101 | 0.2% | $1.2bn | 2,103,142 | +$152m -314,974 shares | Trimmed |
Eqt Corp (EQT) COM · CUSIP 26884L109 | 0.2% | $1.2bn | 22,565,479 | +$184m +6,603,286 shares | Added |
Emerson Elec Co COM · CUSIP 291011104 | 0.2% | $1.2bn | 8,464,091 | -$49m -1,153,964 shares | Trimmed |
Caterpillar Inc (CAT) COM · CUSIP 149123101 | 0.2% | $1.2bn | 1,144,800 | +$427m +26,078 shares | Added |
Progressive Corp COM · CUSIP 743315103 | 0.2% | $1.3bn | 5,729,113 | -$33m -749,882 shares | Trimmed |
Vertiv Holdings Co (VRT) COM CL A · CUSIP 92537N108 | 0.2% | $1.3bn | 3,794,360 | +$437m +468,380 shares | Added |
Abbvie Inc (ABBV) COM · CUSIP 00287Y109 | 0.2% | $1.3bn | 5,055,589 | -$228m -1,842,227 shares | Trimmed |
Cencora Inc (COR) COM · CUSIP 03073E105 | 0.2% | $1.3bn | 4,559,761 | -$139m +11,149 shares | Added |
Honeywell Intl Inc COM · CUSIP 438516205 | 0.2% | $1.3bn | 5,845,806 | No earlier filing | New |
Snowflake Inc (SNOW) COM SHS · CUSIP 833445109 | 0.2% | $1.3bn | 5,150,663 | +$504m -197,005 shares | Trimmed |
Crown Castle Inc (CCI) COM · CUSIP 22822V101 | 0.2% | $1.3bn | 17,325,403 | -$215m -1,453,757 shares | Trimmed |
Fifth Third Bancorp COM · CUSIP 316773100 | 0.2% | $1.3bn | 23,653,758 | +$419m +3,972,795 shares | Added |
KKR & Co Inc COM · CUSIP 48251W104 | 0.2% | $1.3bn | 14,569,959 | -$319m -3,333,226 shares | Trimmed |
Archer Daniels Midland Co (ADM) COM · CUSIP 039483102 | 0.2% | $1.4bn | 17,670,220 | +$93m +382,460 shares | Added |
Every filing on file
| Quarter | Period end | Filed | Book | Positions | Top 10 | Filing |
|---|---|---|---|---|---|---|
| Q2 2026 | 30 Jun 2026 | 14 Aug 2026 | $580bn | 1,921 | 25% | 13F-HR |
| Q1 2026 | 31 Mar 2026 | 15 May 2026 | $535bn | 1,869 | 26% | 13F-HR |
| Q4 2025 | 31 Dec 2025 | 17 Feb 2026 | $571bn | 1,912 | 28% | 13F-HR |
| Q3 2025 | 30 Sept 2025 | 14 Nov 2025 | $571bn | 1,969 | 27% | 13F-HR |
| Q2 2025 | 30 Jun 2025 | 14 Aug 2025 | $551bn | 1,933 | 25% | 13F-HR |
| Q1 2025 | 31 Mar 2025 | 13 May 2025 | $520bn | 1,933 | 23% | 13F-HR |
| Q4 2024 | 31 Dec 2024 | 12 Feb 2025 | $546bn | 1,924 | 25% | 13F-HR |
| Q3 2024 | 30 Sept 2024 | 14 Nov 2024 | $571bn | 1,910 | 23% | 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